Recent Annual Filings for SMBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,604,316,000 $248,375,000 $185,265,000 $54,652,000 $70,268,000 $182,392,000 $6,925,000
2023 $4,360,211,000 $176,416,000 $34,799,000 $62,023,000 $118,552,000 $-32,830,000
2022 $3,214,782,000 $116,867,000 $26,800,000 $67,342,000 $199,803,000 $-36,783,000
2021 $2,700,530,000 $109,475,000 $45,615,000 $51,762,000 $119,503,000 $69,347,000
2020 $2,542,157,000 $107,052,000 $30,745,000 $40,301,000 $250,904,000 $18,845,000
2019 $2,214,402,000 $97,482,000 $32,496,000 $38,601,000 $83,465,000 $9,074,000
2018 $1,886,115,000 $77,174,000 $18,057,000 $30,644,000 $73,375,000 $-4,460,000
2017 $1,707,712,000 $61,488,000 $14,417,000 $25,618,000 $105,730,000 $8,232,000