Condensed Financial Information of Registrant (SMFG) (Tables)
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12 Months Ended |
Mar. 31, 2026 |
| Text Block1 [Abstract] |
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| Condensed Statement of Financial Position |
Condensed Statements of Financial Position
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¥ |
551,330 |
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¥ |
530,273 |
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4,613,984 |
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4,613,984 |
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14,480,073 |
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12,416,502 |
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| Loans to other subsidiaries |
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50,000 |
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— |
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Investments in other subsidiaries, associates and joint ventures |
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2,481,066 |
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2,480,680 |
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388,664 |
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310,671 |
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17,616 |
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1,393 |
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¥ |
22,582,733 |
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¥ |
20,353,503 |
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Short-term borrowings from SMBC |
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¥ |
1,675,000 |
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¥ |
1,679,650 |
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402,838 |
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380,100 |
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| Debt securities in issue due to subsidiaries |
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31,623 |
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20,758 |
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11,490,697 |
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9,889,186 |
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149,833 |
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102,273 |
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13,749,991 |
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12,071,967 |
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6,585,588 |
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6,418,083 |
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Other equity instruments holders’ equity |
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2,247,154 |
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1,863,453 |
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8,832,742 |
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8,281,536 |
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Total equity and liabilities |
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¥ |
22,582,733 |
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¥ |
20,353,503 |
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| Condensed Income Statement |
Condensed Income Statements
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For the fiscal year ended March 31, |
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Interest income from SMBC |
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¥ |
464,381 |
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¥ |
391,543 |
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¥ |
334,964 |
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| Interest income from other subsidiaries |
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508 |
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— |
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— |
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868,070 |
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731,201 |
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542,929 |
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Dividends from other subsidiaries, associates and joint ventures |
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75,851 |
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287,848 |
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37,246 |
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Fees and commission income from subsidiaries |
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23,611 |
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21,498 |
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21,722 |
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30,066 |
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5,197 |
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9,655 |
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1,462,487 |
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1,437,287 |
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946,516 |
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20,754 |
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12,071 |
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5,586 |
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Interest expense to other subsidiaries |
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11,897 |
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9,363 |
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9,961 |
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401,553 |
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350,428 |
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313,356 |
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Operating and other expense |
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63,906 |
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71,586 |
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58,418 |
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498,110 |
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443,448 |
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387,321 |
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964,377 |
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993,839 |
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559,195 |
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(11,345 |
) |
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(12,355 |
) |
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(8,670 |
) |
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¥ |
975,722 |
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¥ |
1,006,194 |
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¥ |
567,865 |
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925,854 |
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974,558 |
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554,102 |
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Other equity instruments holders |
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49,868 |
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31,636 |
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13,763 |
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| Condensed Statement of Cash Flows |
Condensed Statements of Cash Flows
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For the fiscal year ended March 31, |
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¥ |
964,377 |
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¥ |
993,839 |
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¥ |
559,195 |
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14,021 |
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32,052 |
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78,036 |
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Other operating activities—net |
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(17,214 |
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(34,924 |
) |
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63,260 |
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Net cash and cash equivalents provided by operating activities |
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961,184 |
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990,967 |
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700,491 |
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| Loans provided to subsidiaries |
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(1,365,996 |
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(490,827 |
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(1,269,130 |
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Investments in subsidiaries |
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(3,559 |
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(93,679 |
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(377,437 |
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Investments in associates and joint ventures |
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— |
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(507 |
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(26,962 |
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Other investing activities—net |
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(5,961 |
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(4,697 |
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(5,995 |
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Net cash and cash equivalents used in investing activities |
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(1,375,516 |
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(589,710 |
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(1,679,524 |
) |
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Net increase (decrease) of short-term borrowings from SMBC |
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(4,650 |
) |
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(28,000 |
) |
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220,000 |
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Proceeds from issuance of long-term borrowings |
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3,198 |
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— |
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1,263,169 |
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Redemption of long-term borrowings |
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(8,000 |
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(13,000 |
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(1,259,255 |
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Proceeds from issuance of debt securities |
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2,142,650 |
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1,403,275 |
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1,260,767 |
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Proceeds from issuance of other equity instruments |
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466,383 |
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407,939 |
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694,862 |
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Redemption of debt securities |
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(1,238,587 |
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(1,255,520 |
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(564,970 |
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Redemption of other equity instruments |
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(85,000 |
) |
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— |
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— |
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| Payments for the principal portion of lease liabilities |
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(301 |
) |
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— |
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— |
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Dividends paid to shareholders |
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(540,071 |
) |
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(412,120 |
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(348,010 |
) |
Coupons paid to other equity instruments holders |
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(49,868 |
) |
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(31,636 |
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(13,763 |
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Purchases of treasury stock and proceeds from sales of treasury stock—net |
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(250,365 |
) |
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(251,448 |
) |
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(211,218 |
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Net cash and cash equivalents provided by (used in) financing activities |
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435,389 |
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(180,510 |
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1,041,582 |
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| Net increase of cash and cash equivalents |
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21,057 |
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220,747 |
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62,549 |
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Cash and cash equivalents at beginning of period |
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530,273 |
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309,526 |
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|
246,977 |
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Cash and cash equivalents at end of period |
|
¥ |
551,330 |
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¥ |
530,273 |
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¥ |
309,526 |
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