美股市場個股詳情

SUMITOMO MITSUI FINANCIAL GROUP INC (SMFNF)

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  • 34.775
  • -0.485-1.38%
延時15分鐘行情收盤價 01/22 15:48 (美東)
1331.23億總市值15.36市盈率TTM

SUMITOMO MITSUI FINANCIAL GROUP INC (SMFNF) 現金流量表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/03/31
(FY)2024/03/31
(FY)2023/03/31
(FY)2022/03/31
(FY)2021/03/31
(FY)2020/03/31
(FY)2019/03/31
(FY)2018/03/31
(FY)2017/03/31
(FY)2016/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額
654.21%4.85萬億
110.90%6,428.57億
-481.46%-5.9萬億
-91.78%1.55萬億
165.20%18.8萬億
54.20%7.09萬億
-50.80%4.6萬億
106.96%9.34萬億
500.46%4.51萬億
-113.68%-1.13萬億
持續經營淨收入
26.64%1.7萬億
22.20%1.34萬億
18.17%1.1萬億
38.28%9,295.88億
-24.35%6,722.37億
-20.91%8,886.46億
1.33%1.12萬億
13.23%1.11萬億
-0.09%9,793.05億
-25.14%9,801.7億
持續經營損益
61.10%-4,423.19億
-45.03%-1.14萬億
6.53%-7,839.68億
-39.30%-8,387.27億
-642.78%-6,020.92億
73.57%-810.59億
-309.30%-3,066.98億
246.10%1,465.35億
-128.17%-1,002.95億
143.61%3,560.86億
折舊和攤銷
-4.19%2,807.8億
9.38%2,930.69億
10.75%2,679.28億
6.49%2,419.16億
0.20%2,271.8億
-23.12%2,267.31億
-3.86%2,949.29億
0.82%3,067.6億
14.38%3,042.6億
6.96%2,660.18億
其他非現金項目
-112.74%-1.86萬億
46.03%-8,742.43億
11.53%-1.62萬億
-20.10%-1.83萬億
-61.70%-1.52萬億
-11.64%-9,428.73億
60.88%-8,445.67億
-12.98%-2.16萬億
7.77%-1.91萬億
-46.22%-2.07萬億
營運資金變動
552.38%3.28萬億
88.21%-7,251.07億
-467.04%-6.15萬億
-91.08%1.67萬億
217.36%18.77萬億
80.11%5.91萬億
-61.94%3.28萬億
107.43%8.63萬億
330.52%4.16萬億
-123.29%-1.8萬億
-應收款項(增)減
-135.20%-169.93億
131.90%482.8億
-20.68%208.19億
776.84%262.48億
-122.40%-38.78億
132.07%173.09億
-302.98%-539.75億
149.38%265.91億
-29.30%-538.54億
30.29%-416.49億
-應付款項及遞延費用(減)增
61.10%-2,045.37億
-1,629.13%-5,257.94億
-124.79%-304.08億
-75.94%1,226.49億
11.18%5,098.68億
1,771.61%4,585.81億
-83.37%245.02億
--1,472.94億
----
----
-貸款(增)減
-26.82%-7.03萬億
67.22%-5.54萬億
-1,939.36%-16.9萬億
-136.10%-8,288.19億
-23.79%2.3萬億
294.26%3.01萬億
-142.56%-1.55萬億
252.42%3.64萬億
66.09%-2.39萬億
-1,825.84%-7.05萬億
-其他流動資產變化
-501.11%-6,469.36億
-112.12%-1,076.23億
241.84%8,882.95億
-469.26%-6,262.64億
68.25%-1,100.14億
-177.67%-3,465.03億
198.47%4,461.36億
-593.96%-4,530.61億
-83.05%917.21億
723.15%5,411.15億
-其他流動負債變化
-178.43%-1.1萬億
473.20%1.4萬億
145.22%2,447.13億
128.25%997.92億
-218.97%-3,532.1億
-0.56%2,968.9億
62.69%2,985.5億
145.88%1,835.04億
-1,667.10%-4,000.01億
-103.62%-226.36億
-其他營運資本變化
207.06%12.28萬億
-58.49%4萬億
234.28%9.63萬億
-82.46%2.88萬億
563.74%16.43萬億
-39.90%2.48萬億
-18.92%4.12萬億
-26.50%5.08萬億
44.99%6.91萬億
-30.52%4.77萬億
非持續經營活動現金流
經營活動現金淨額
654.20%4.85萬億
110.90%6,428.62億
-481.46%-5.9萬億
-91.78%1.55萬億
165.20%18.8萬億
54.20%7.09萬億
-50.80%4.6萬億
106.96%9.34萬億
500.46%4.51萬億
-113.68%-1.13萬億
投資活動現金流量
持續投資活動現金淨額
-391.12%-4.51萬億
-115.49%-9,189.03億
346.43%5.93萬億
68.66%-2.41萬億
-155.00%-7.68萬億
-399.29%-3.01萬億
129.64%1.01萬億
-684.04%-3.4萬億
-88.91%5,813.46億
459.66%5.24萬億
投資產品交易淨現金流
-625.89%-4.15萬億
-109.16%-5,710.72億
429.43%6.23萬億
74.35%-1.89萬億
-164.45%-7.38萬億
-294.71%-2.79萬億
177.85%1.43萬億
-247.32%-1.84萬億
-64.54%1.25萬億
480.84%3.52萬億
固定資產交易的淨現金流
25.40%-1,039.25億
-52.81%-1,393.01億
0.28%-911.57億
23.51%-914.12億
-42.54%-1,195.12億
79.34%-838.46億
1.08%-4,057.62億
-25.67%-4,102.01億
14.39%-3,264億
2.40%-3,812.69億
無形資產交易的淨現金流
-2.33%-2,560.35億
-25.65%-2,501.93億
-1.80%-1,991.14億
-9.42%-1,955.96億
-20.96%-1,787.65億
-6.07%-1,477.84億
-2.39%-1,393.29億
5.93%-1,360.76億
8.77%-1,446.54億
-9.30%-1,585.56億
業務交易的淨現金流
-98.17%9.57億
--522.58億
--0
-5,180.39%-2,273.21億
-144.58%-43.05億
-91.78%96.56億
111.63%1,175.2億
-409.00%-1.01萬億
-108.80%-1,985.62億
3,890,258.62%2.26萬億
其他投資活動的淨現金流
18.73%-86.11億
19.13%-105.96億
-1,310,100.00%-131.02億
-102.33%-100萬
10.26%4,300萬
-96.43%3,900萬
-44.22%10.91億
12.16%19.56億
-9.36%17.44億
-45.42%19.24億
非持續投資現金淨額
投資活動現金流淨額
-391.12%-4.51萬億
-115.49%-9,189.04億
346.43%5.93萬億
68.66%-2.41萬億
-155.00%-7.68萬億
-399.29%-3.01萬億
129.64%1.01萬億
-684.04%-3.4萬億
-88.91%5,813.47億
459.66%5.24萬億
融資活動現金流量
持續融資活動現金淨額
-271.06%-4,801.49億
178.46%2,806.95億
26.28%-3,577.77億
13.73%-4,853.38億
45.09%-5,625.8億
-61.90%-1.02萬億
-80.56%-6,328.18億
-110.46%-3,504.68億
-197.39%-1,665.24億
81.49%-559.95億
債務發行/償還的淨現金流
-80.10%1,893.75億
1,032.93%9,516.6億
139.81%840億
28.36%-2,110.17億
-1,700.31%-2,945.37億
151.79%184.05億
-154.92%-355.39億
445.88%647.14億
-96.82%118.55億
409.31%3,728.29億
普通股發行/償還的淨現金流
-19.05%-2,514.48億
-52.50%-2,112.18億
-56,403.66%-1,385.07億
11.82%2.46億
100.22%2.2億
-42.70%-996.05億
-18,516.89%-698億
-99.79%3.79億
131,236.50%1,796.57億
4.86%-1.37億
現金股利支付
-18.42%-4,121.2億
-15.39%-3,480.1億
-10.05%-3,016億
-2.60%-2,740.58億
-4.44%-2,671.19億
-4.14%-2,557.71億
-12.36%-2,455.94億
-6.58%-2,185.69億
3.24%-2,050.78億
-24.01%-2,119.52億
其他融資活動的淨現金流額
94.67%-59.56億
-6,586.95%-1,117.39億
-228.29%-16.71億
55.51%-5.09億
99.83%-11.44億
-143.92%-6,875.83億
-43.10%-2,818.86億
-28.79%-1,969.92億
29.43%-1,529.58億
-5.86%-2,167.35億
非持續融資活動現金淨額
融資活動現金流淨額
-271.06%-4,801.49億
178.45%2,806.93億
26.28%-3,577.78億
13.73%-4,853.38億
45.09%-5,625.8億
-61.90%-1.02萬億
-80.56%-6,328.19億
-110.46%-3,504.68億
-197.39%-1,665.24億
81.49%-559.95億
現金淨流量
期初現金流
0.78%66.38萬億
0.05%65.86萬億
-1.47%65.83萬億
19.10%66.81萬億
5.60%56.1萬億
10.71%53.12萬億
12.96%47.98萬億
13.10%42.48萬億
11.78%37.56萬億
24.47%33.6萬億
當期現金流變化
-3,209.61%-1,446.28億
101.44%46.51億
76.10%-3,219.04億
-112.76%-1.35萬億
245.87%10.55萬億
-38.60%3.05萬億
-11.21%4.97萬億
13.55%5.6萬億
21.48%4.93萬億
-37.39%4.06萬億
利率變動影響
-109.39%-480.27億
44.44%5,114.3億
-3.67%3,540.81億
129.87%3,675.84億
314.70%1,599.12億
-144.69%-744.8億
277.52%1,666.46億
-789.38%-938.74億
89.40%-105.55億
-156.04%-995.79億
期末現金流
-0.29%66.19萬億
0.78%66.38萬億
0.05%65.86萬億
-1.47%65.83萬億
19.10%66.81萬億
5.60%56.1萬億
10.71%53.12萬億
12.96%47.98萬億
13.10%42.48萬億
11.78%37.56萬億
自由現金流
1,685.59%4.48萬億
104.05%2,509.81億
-592.69%-6.19萬億
-93.19%1.26萬億
170.18%18.47萬億
73.22%6.84萬億
-53.54%3.95萬億
119.30%8.49萬億
313.36%3.87萬億
-124.15%-1.82萬億
貨幣單位
日元
日元
日元
日元
日元
日元
日元
日元
日元
日元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
無保留意見
無保留意見
無保留意見
無保留意見
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無保留意見
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無保留意見
(FY)2025/03/31(FY)2024/03/31(FY)2023/03/31(FY)2022/03/31(FY)2021/03/31(FY)2020/03/31(FY)2019/03/31(FY)2018/03/31(FY)2017/03/31(FY)2016/03/31
經營活動現金流量(間接法)
持續經營活動現金淨額 654.21%4.85萬億110.90%6,428.57億-481.46%-5.9萬億-91.78%1.55萬億165.20%18.8萬億54.20%7.09萬億-50.80%4.6萬億106.96%9.34萬億500.46%4.51萬億-113.68%-1.13萬億
持續經營淨收入 26.64%1.7萬億22.20%1.34萬億18.17%1.1萬億38.28%9,295.88億-24.35%6,722.37億-20.91%8,886.46億1.33%1.12萬億13.23%1.11萬億-0.09%9,793.05億-25.14%9,801.7億
持續經營損益 61.10%-4,423.19億-45.03%-1.14萬億6.53%-7,839.68億-39.30%-8,387.27億-642.78%-6,020.92億73.57%-810.59億-309.30%-3,066.98億246.10%1,465.35億-128.17%-1,002.95億143.61%3,560.86億
折舊和攤銷 -4.19%2,807.8億9.38%2,930.69億10.75%2,679.28億6.49%2,419.16億0.20%2,271.8億-23.12%2,267.31億-3.86%2,949.29億0.82%3,067.6億14.38%3,042.6億6.96%2,660.18億
其他非現金項目 -112.74%-1.86萬億46.03%-8,742.43億11.53%-1.62萬億-20.10%-1.83萬億-61.70%-1.52萬億-11.64%-9,428.73億60.88%-8,445.67億-12.98%-2.16萬億7.77%-1.91萬億-46.22%-2.07萬億
營運資金變動 552.38%3.28萬億88.21%-7,251.07億-467.04%-6.15萬億-91.08%1.67萬億217.36%18.77萬億80.11%5.91萬億-61.94%3.28萬億107.43%8.63萬億330.52%4.16萬億-123.29%-1.8萬億
-應收款項(增)減 -135.20%-169.93億131.90%482.8億-20.68%208.19億776.84%262.48億-122.40%-38.78億132.07%173.09億-302.98%-539.75億149.38%265.91億-29.30%-538.54億30.29%-416.49億
-應付款項及遞延費用(減)增 61.10%-2,045.37億-1,629.13%-5,257.94億-124.79%-304.08億-75.94%1,226.49億11.18%5,098.68億1,771.61%4,585.81億-83.37%245.02億--1,472.94億--------
-貸款(增)減 -26.82%-7.03萬億67.22%-5.54萬億-1,939.36%-16.9萬億-136.10%-8,288.19億-23.79%2.3萬億294.26%3.01萬億-142.56%-1.55萬億252.42%3.64萬億66.09%-2.39萬億-1,825.84%-7.05萬億
-其他流動資產變化 -501.11%-6,469.36億-112.12%-1,076.23億241.84%8,882.95億-469.26%-6,262.64億68.25%-1,100.14億-177.67%-3,465.03億198.47%4,461.36億-593.96%-4,530.61億-83.05%917.21億723.15%5,411.15億
-其他流動負債變化 -178.43%-1.1萬億473.20%1.4萬億145.22%2,447.13億128.25%997.92億-218.97%-3,532.1億-0.56%2,968.9億62.69%2,985.5億145.88%1,835.04億-1,667.10%-4,000.01億-103.62%-226.36億
-其他營運資本變化 207.06%12.28萬億-58.49%4萬億234.28%9.63萬億-82.46%2.88萬億563.74%16.43萬億-39.90%2.48萬億-18.92%4.12萬億-26.50%5.08萬億44.99%6.91萬億-30.52%4.77萬億
非持續經營活動現金流
經營活動現金淨額 654.20%4.85萬億110.90%6,428.62億-481.46%-5.9萬億-91.78%1.55萬億165.20%18.8萬億54.20%7.09萬億-50.80%4.6萬億106.96%9.34萬億500.46%4.51萬億-113.68%-1.13萬億
投資活動現金流量
持續投資活動現金淨額 -391.12%-4.51萬億-115.49%-9,189.03億346.43%5.93萬億68.66%-2.41萬億-155.00%-7.68萬億-399.29%-3.01萬億129.64%1.01萬億-684.04%-3.4萬億-88.91%5,813.46億459.66%5.24萬億
投資產品交易淨現金流 -625.89%-4.15萬億-109.16%-5,710.72億429.43%6.23萬億74.35%-1.89萬億-164.45%-7.38萬億-294.71%-2.79萬億177.85%1.43萬億-247.32%-1.84萬億-64.54%1.25萬億480.84%3.52萬億
固定資產交易的淨現金流 25.40%-1,039.25億-52.81%-1,393.01億0.28%-911.57億23.51%-914.12億-42.54%-1,195.12億79.34%-838.46億1.08%-4,057.62億-25.67%-4,102.01億14.39%-3,264億2.40%-3,812.69億
無形資產交易的淨現金流 -2.33%-2,560.35億-25.65%-2,501.93億-1.80%-1,991.14億-9.42%-1,955.96億-20.96%-1,787.65億-6.07%-1,477.84億-2.39%-1,393.29億5.93%-1,360.76億8.77%-1,446.54億-9.30%-1,585.56億
業務交易的淨現金流 -98.17%9.57億--522.58億--0-5,180.39%-2,273.21億-144.58%-43.05億-91.78%96.56億111.63%1,175.2億-409.00%-1.01萬億-108.80%-1,985.62億3,890,258.62%2.26萬億
其他投資活動的淨現金流 18.73%-86.11億19.13%-105.96億-1,310,100.00%-131.02億-102.33%-100萬10.26%4,300萬-96.43%3,900萬-44.22%10.91億12.16%19.56億-9.36%17.44億-45.42%19.24億
非持續投資現金淨額
投資活動現金流淨額 -391.12%-4.51萬億-115.49%-9,189.04億346.43%5.93萬億68.66%-2.41萬億-155.00%-7.68萬億-399.29%-3.01萬億129.64%1.01萬億-684.04%-3.4萬億-88.91%5,813.47億459.66%5.24萬億
融資活動現金流量
持續融資活動現金淨額 -271.06%-4,801.49億178.46%2,806.95億26.28%-3,577.77億13.73%-4,853.38億45.09%-5,625.8億-61.90%-1.02萬億-80.56%-6,328.18億-110.46%-3,504.68億-197.39%-1,665.24億81.49%-559.95億
債務發行/償還的淨現金流 -80.10%1,893.75億1,032.93%9,516.6億139.81%840億28.36%-2,110.17億-1,700.31%-2,945.37億151.79%184.05億-154.92%-355.39億445.88%647.14億-96.82%118.55億409.31%3,728.29億
普通股發行/償還的淨現金流 -19.05%-2,514.48億-52.50%-2,112.18億-56,403.66%-1,385.07億11.82%2.46億100.22%2.2億-42.70%-996.05億-18,516.89%-698億-99.79%3.79億131,236.50%1,796.57億4.86%-1.37億
現金股利支付 -18.42%-4,121.2億-15.39%-3,480.1億-10.05%-3,016億-2.60%-2,740.58億-4.44%-2,671.19億-4.14%-2,557.71億-12.36%-2,455.94億-6.58%-2,185.69億3.24%-2,050.78億-24.01%-2,119.52億
其他融資活動的淨現金流額 94.67%-59.56億-6,586.95%-1,117.39億-228.29%-16.71億55.51%-5.09億99.83%-11.44億-143.92%-6,875.83億-43.10%-2,818.86億-28.79%-1,969.92億29.43%-1,529.58億-5.86%-2,167.35億
非持續融資活動現金淨額
融資活動現金流淨額 -271.06%-4,801.49億178.45%2,806.93億26.28%-3,577.78億13.73%-4,853.38億45.09%-5,625.8億-61.90%-1.02萬億-80.56%-6,328.19億-110.46%-3,504.68億-197.39%-1,665.24億81.49%-559.95億
現金淨流量
期初現金流 0.78%66.38萬億0.05%65.86萬億-1.47%65.83萬億19.10%66.81萬億5.60%56.1萬億10.71%53.12萬億12.96%47.98萬億13.10%42.48萬億11.78%37.56萬億24.47%33.6萬億
當期現金流變化 -3,209.61%-1,446.28億101.44%46.51億76.10%-3,219.04億-112.76%-1.35萬億245.87%10.55萬億-38.60%3.05萬億-11.21%4.97萬億13.55%5.6萬億21.48%4.93萬億-37.39%4.06萬億
利率變動影響 -109.39%-480.27億44.44%5,114.3億-3.67%3,540.81億129.87%3,675.84億314.70%1,599.12億-144.69%-744.8億277.52%1,666.46億-789.38%-938.74億89.40%-105.55億-156.04%-995.79億
期末現金流 -0.29%66.19萬億0.78%66.38萬億0.05%65.86萬億-1.47%65.83萬億19.10%66.81萬億5.60%56.1萬億10.71%53.12萬億12.96%47.98萬億13.10%42.48萬億11.78%37.56萬億
自由現金流 1,685.59%4.48萬億104.05%2,509.81億-592.69%-6.19萬億-93.19%1.26萬億170.18%18.47萬億73.22%6.84萬億-53.54%3.95萬億119.30%8.49萬億313.36%3.87萬億-124.15%-1.82萬億
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