Sumitomo Mitsui Financial Group

SMFG · NYSE · USD

$25.40Change from previous close: +0.47%Absolute change: +$0.12

Close · October 2, 2026

At a glance

Revenue growth
+33.73%
FY to Mar 2026 vs FY to Mar 2025
Net income growth
+132.93%
FY to Mar 2026 vs FY to Mar 2025
Net margin
27.1%
FY to Mar 2025: 15.6%

Financial data

Amounts in millions of JPY; per-share values in JPY; shares in millions.

Cash flow · Annual
ItemFY to Mar 2026FY to Mar 2025FY to Mar 2024FY to Mar 2023FY to Mar 2022FY to Mar 2021FY to Mar 2020FY to Mar 2019FY to Mar 2018FY to Mar 2017
Operating cash flow-17,334,929-4,985,841-6,884,711-14,814,732-996,5251,614,4074,508,095-2,343,6805,290,949-764,601
Depreciation and amortization291,084280,780293,069267,928——————
Capital expenditure-171,518-98,498-119,710-87,989-81,367—————
Investing cash flow2,760,051-4,530,784-816,5545,799,264-2,663,391-7,780,862-2,992,7191,201,570-3,593,677851,580
Financing cash flow10,682,8137,439,6688,087,5259,115,2785,499,85716,023,5393,243,5094,398,1215,520,2304,330,949
Dividends paid-589,939-443,756-361,773-312,910-284,789-280,241-268,135-257,470-228,291-213,007
Share repurchases-250,624-251,629-211,434-138,839——————
Debt issued1,003,775659,442981,660217,000——————
Debt repaid-256,000-470,067-30,000-133,000——————
Effect of exchange rates1,279,163-110,7251,707,311900,472955,315488,072-271,87344,062-45,865-300,075
Net change in cash-2,612,902-2,187,6822,093,5711,000,2822,795,25610,345,1564,487,0123,300,0737,171,6374,117,853
Free cash flow-17,506,447-5,084,339-7,004,421-14,902,721-1,077,892—————