v3.26.1
Consolidated Statements of Changes in Equity - JPY (¥)
¥ in Millions
Total
Capital stock [member]
Capital surplus [member]
Retained earnings [member]
Treasury stock [member]
Remeasurements of defined benefit plans reserve [member]
Financial instruments at fair value through other comprehensive income reserve [member]
Own credit on financial liabilities designated at fair value through profit or loss reserve [member]
Exchange differences on translating foreign operations reserve [member]
Equity attributable to SMFG's shareholders [member]
Non-controlling interests [member]
Equity attributable to other equity instruments holders [member]
At beginning of period at Mar. 31, 2023 ¥ 13,536,965 ¥ 2,342,537 ¥ 645,774 ¥ 7,199,479 ¥ (151,799) ¥ 159,584 ¥ 1,575,193 ¥ 9,433 ¥ 884,790 ¥ 12,664,991 ¥ 106,172 ¥ 765,802
Comprehensive income:                        
Net profit 895,750     873,346           873,346 8,641 13,763
Other comprehensive income 1,685,140         35,526 1,136,616 (8,256) 517,868 1,681,754 3,386  
Total comprehensive income 2,580,890     873,346   35,526 1,136,616 (8,256) 517,868 2,555,100 12,027 13,763
Issuance of shares under share-based payment transactions 3,002 1,501 1,501             3,002    
Issuance of other equity instruments 698,552                     698,552
Acquisition and disposal of subsidiaries and businesses-net 39,854                   39,854  
Transaction with non-controlling interest shareholders (102,987)   (85,410)             (85,410) (17,577)  
Dividends to shareholders (352,789)     (348,177)           (348,177) (4,612)  
Coupons on other equity instruments (13,763)                     (13,763)
Purchases of other equity instruments and sales of other equity instruments-net (2,010)                     (2,010)
Purchases of treasury stock (211,434)       (211,434)         (211,434)    
Sales of treasury stock 402       402         402    
Loss on sales of treasury stock (185)     (185)           (185)    
Cancellation of treasury stock       (195,160) 195,160              
Share-based payment transactions (1,092)   (1,092)             (1,092)    
Transfer from other reserves to retained earnings       239,920   (35,386) (204,534)          
Put options written on non-controlling interests 102,637   102,637             102,637    
Others 1,056   (145) (1)           (146) 1,202  
At end of period at Mar. 31, 2024 16,279,098 2,344,038 663,265 7,769,222 (167,671) 159,724 2,507,275 1,177 1,402,658 14,679,688 137,066 1,462,344
Comprehensive income:                        
Net profit 516,444     478,132           478,132 6,676 31,636
Other comprehensive income (25,564)         (29,443) (7,891) 6,498 5,179 (25,657) 93  
Total comprehensive income 490,880     478,132   (29,443) (7,891) 6,498 5,179 452,475 6,769 31,636
Issuance of shares under share-based payment transactions 3,845 1,923 1,922             3,845    
Issuance of other equity instruments 409,972                     409,972
Acquisition and disposal of subsidiaries and businesses-net 15,646                   15,646  
Transaction with non-controlling interest shareholders     (643)             (643) 643  
Dividends to shareholders (418,197)     (412,240)           (412,240) (5,957)  
Coupons on other equity instruments (31,636)                     (31,636)
Purchases of other equity instruments and sales of other equity instruments-net (3,939)                     (3,939)
Purchases of treasury stock (251,629)       (251,629)         (251,629)    
Sales of treasury stock 612       612         612    
Loss on sales of treasury stock (431)     (431)           (431)    
Cancellation of treasury stock       (380,176) 380,176              
Share-based payment transactions (1,386)   (1,386)             (1,386)    
Transfer from other reserves to retained earnings       382,042   (42,777) (339,265)          
Others (4,241)   (95) (1)           (96) (4,145)  
At end of period at Mar. 31, 2025 16,488,594 2,345,961 663,063 7,836,548 (38,512) 87,504 2,160,119 7,675 1,407,837 14,470,195 150,022 1,868,377
Comprehensive income:                        
Net profit 1,194,960     1,137,557           1,137,557 7,535 49,868
Other comprehensive income 1,066,695         66,297 579,712 435 419,761 1,066,205 490  
Total comprehensive income 2,261,655     1,137,557   66,297 579,712 435 419,761 2,203,762 8,025 49,868
Issuance of shares under share-based payment transactions 1,854 927 927             1,854    
Issuance of other equity instruments 468,762                     468,762
Acquisition and disposal of subsidiaries and businesses-net 5,613                   5,613  
Transaction with non-controlling interest shareholders 15,700   (58)             (58) 15,758  
Share of changes in capital surplus of associates and joint ventures (29,383)   (29,383)             (29,383)    
Dividends to shareholders (545,352)     (540,292)           (540,292) (5,060)  
Coupons on other equity instruments (49,868)                     (49,868)
Redemption of other equity instruments (85,000)   (34)             (34)   (84,966)
Purchases of other equity instruments and sales of other equity instruments-net 673                     673
Purchases of treasury stock (250,625)       (250,625)         (250,625)    
Sales of treasury stock 759       759         759    
Loss on sales of treasury stock (499)     (499)           (499)    
Cancellation of treasury stock       (239,527) 239,527              
Share-based payment transactions 1,313   1,313             1,313    
Transfer from other reserves to retained earnings       391,408   (58,805) (332,603)          
Others 4,798   (97)             (97) 4,895  
At end of period at Mar. 31, 2026 ¥ 18,288,994 ¥ 2,346,888 ¥ 635,731 ¥ 8,585,195 ¥ (48,851) ¥ 94,996 ¥ 2,407,228 ¥ 8,110 ¥ 1,827,598 ¥ 15,856,895 ¥ 179,253 ¥ 2,252,846