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 |