
Sumitomo Corporation
SSUMY
24.12
USD-0.06
(-0.25%)Day's range
24
24.18
52 wk Range
19
28.9
SSUMY Cash Flow
Period Ending | Mar 31, 2024 | Mar 31, 2023 | Mar 31, 2022 | Mar 31, 2021 | Mar 31, 2020 | Mar 31, 2019 | Mar 31, 2018 | Mar 31, 2017 | Mar 31, 2016 | Mar 31, 2015 | Mar 31, 2014 | Mar 31, 2013 | Mar 31, 2012 | Mar 31, 2011 | Mar 31, 2010 | Mar 31, 2009 | Mar 31, 2008 | Mar 31, 2007 | Mar 31, 2006 | Mar 31, 2005 | Mar 31, 2004 | Mar 31, 2003 | Mar 31, 2002 | Mar 31, 2001 | Mar 31, 2000 | Mar 31, 1999 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | 386,352,000,000 | 565,178,000,000 | 463,694,000,000 | -153,067,000,000 | 171,359,000,000 | 320,523,000,000 | 308,521,000,000 | 170,889,000,000 | 74,546,000,000 | -70,817,000,000 | 233,858,000,000 | 243,695,000,000 | 263,672,000,000 | 209,792,000,000 | 169,366,000,000 | 223,332,000,000 | 238,928,000,000 | 211,004,000,000 | 160,237,000,000 | 85,073,000,000 | 66,621,000,000 | 13,874,000,000 | 45,216,000,000 | 40,344,000,000 | 35,065,000,000 | -13,076,000,000 | |
Depreciation & Amortization | 200,172,000,000 | 183,749,000,000 | 170,363,000,000 | 170,906,000,000 | 165,340,000,000 | 111,838,000,000 | 118,907,000,000 | 108,542,000,000 | 120,459,000,000 | 117,687,000,000 | 106,525,000,000 | 94,117,000,000 | 155,126,000,000 | 160,553,000,000 | 165,133,000,000 | 157,454,000,000 | 146,624,000,000 | 113,278,000,000 | 94,239,000,000 | 77,967,000,000 | 81,177,000,000 | 71,817,000,000 | 65,624,000,000 | 57,424,000,000 | 62,124,000,000 | 53,363,000,000 | |
Deferred Income Tax | 0 | -683,054,000,000 | -438,473,000,000 | 3,133,000,000 | 0 | -222,231,000,000 | -343,725,000,000 | -99,926,000,000 | 38,194,000,000 | 272,119,000,000 | 1,858,000,000 | -49,304,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Stock-Based Compensation | 0 | 1,627,000,000 | 823,000,000 | 480,000,000 | 0 | 618,000,000 | 228,000,000 | 173,000,000 | 190,000,000 | 215,000,000 | 227,000,000 | 259,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Change in Working Capital | -182,078,000,000 | -442,786,000,000 | -375,021,000,000 | 248,857,000,000 | -91,644,000,000 | -134,138,000,000 | -128,547,000,000 | 53,430,000,000 | 283,376,000,000 | -36,007,000,000 | -50,167,000,000 | 20,097,000,000 | -123,508,000,000 | -132,176,000,000 | 353,789,000,000 | -48,857,000,000 | 25,933,000,000 | -59,663,000,000 | -270,829,000,000 | -161,594,000,000 | -52,206,000,000 | -80,500,000,000 | -36,175,000,000 | -29,099,000,000 | 65,839,000,000 | -53,298,000,000 | |
Accounts Receivable Change | -76,554,000,000 | -9,911,000,000 | -200,792,000,000 | -10,383,000,000 | 127,337,000,000 | -60,634,000,000 | -70,468,000,000 | 21,169,000,000 | 174,890,000,000 | 94,399,000,000 | -33,197,000,000 | 154,575,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Inventory Change | -4,034,000,000 | -264,356,000,000 | -148,056,000,000 | 217,409,000,000 | 505,000,000 | -46,038,000,000 | -126,008,000,000 | -8,866,000,000 | 148,190,000,000 | -48,657,000,000 | 16,309,000,000 | -6,362,000,000 | -32,637,000,000 | -72,141,000,000 | 156,526,000,000 | -131,177,000,000 | -41,415,000,000 | -87,503,000,000 | -96,570,000,000 | -90,807,000,000 | -3,449,000,000 | -31,151,000,000 | 22,577,000,000 | -33,115,000,000 | 20,442,000,000 | 14,687,000,000 | |
Accounts Payable Change | -83,175,000,000 | -39,662,000,000 | 251,924,000,000 | 138,399,000,000 | -97,292,000,000 | 108,735,000,000 | 90,793,000,000 | 105,028,000,000 | -43,778,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Other Working Capital Change | -18,315,000,000 | -128,857,000,000 | -278,097,000,000 | -96,568,000,000 | -122,194,000,000 | -136,201,000,000 | -22,864,000,000 | -63,901,000,000 | 4,074,000,000 | -81,749,000,000 | -33,279,000,000 | -128,116,000,000 | -90,871,000,000 | -60,035,000,000 | 197,263,000,000 | 82,320,000,000 | 67,348,000,000 | 27,840,000,000 | -174,259,000,000 | -70,787,000,000 | -48,757,000,000 | -49,349,000,000 | -58,752,000,000 | 4,016,000,000 | 45,397,000,000 | -67,985,000,000 | |
Other Non-Cash Items | 204,404,000,000 | 608,087,000,000 | 372,680,000,000 | 196,788,000,000 | 81,563,000,000 | 192,273,000,000 | 339,880,000,000 | 12,754,000,000 | 121,137,000,000 | 232,617,000,000 | -12,206,000,000 | -77,863,000,000 | -104,873,000,000 | -18,667,000,000 | -184,459,000,000 | 16,850,000,000 | -90,834,000,000 | -73,384,000,000 | -46,399,000,000 | -22,277,000,000 | -33,838,000,000 | 61,847,000,000 | -1,939,000,000 | 17,079,000,000 | -52,468,000,000 | 28,557,000,000 | |
Net Cash Provided by Operating Activities | 608,850,000,000 | 232,801,000,000 | 194,066,000,000 | 467,097,000,000 | 326,618,000,000 | 268,883,000,000 | 295,264,000,000 | 345,788,000,000 | 599,708,000,000 | 243,695,000,000 | 278,237,000,000 | 280,305,000,000 | 190,417,000,000 | 219,502,000,000 | 503,829,000,000 | 348,779,000,000 | 320,651,000,000 | 191,235,000,000 | -62,752,000,000 | -20,831,000,000 | 61,754,000,000 | 67,038,000,000 | 72,726,000,000 | 85,748,000,000 | 110,560,000,000 | 15,546,000,000 | |
Investments in Property, Plant & Equipment | -93,380,000,000 | -70,295,000,000 | -69,716,000,000 | -66,342,000,000 | -76,935,000,000 | -110,028,000,000 | -97,762,000,000 | -73,004,000,000 | -120,442,000,000 | -241,934,000,000 | -196,740,000,000 | -183,576,000,000 | -87,340,000,000 | -74,413,000,000 | -70,733,000,000 | -330,070,000,000 | -496,554,000,000 | -317,034,000,000 | -188,505,000,000 | -122,062,000,000 | -148,212,000,000 | -90,432,000,000 | -156,527,000,000 | -132,313,000,000 | -145,631,000,000 | -97,626,000,000 | |
Net Acquisitions | -46,287,000,000 | 30,521,000,000 | 65,825,000,000 | -6,533,000,000 | -55,241,000,000 | 47,553,000,000 | -15,126,000,000 | -112,611,000,000 | 65,736,000,000 | 18,267,000,000 | -46,805,000,000 | 7,128,000,000 | 81,847,000,000 | -10,990,000,000 | -32,516,000,000 | 61,327,000,000 | 63,562,000,000 | 43,174,000,000 | 163,500,000,000 | 60,768,000,000 | 79,938,000,000 | 38,163,000,000 | 39,459,000,000 | 86,352,000,000 | 47,227,000,000 | 55,429,000,000 | |
Purchases of Investments | -266,533,000,000 | -175,986,000,000 | -101,522,000,000 | -131,257,000,000 | -178,271,000,000 | -196,876,000,000 | -147,126,000,000 | -152,441,000,000 | -149,864,000,000 | -78,252,000,000 | -124,440,000,000 | -118,693,000,000 | -123,629,000,000 | -315,854,000,000 | -517,167,000,000 | -162,012,000,000 | -165,303,000,000 | -336,241,000,000 | -316,248,000,000 | -170,297,000,000 | -86,511,000,000 | -115,585,000,000 | -169,868,000,000 | -337,386,000,000 | -133,537,000,000 | -178,043,000,000 | |
Sales & Maturities of Investments | 176,993,000,000 | 117,360,000,000 | 124,607,000,000 | 107,179,000,000 | 115,648,000,000 | 165,333,000,000 | 66,286,000,000 | 101,436,000,000 | 147,093,000,000 | 170,061,000,000 | 147,326,000,000 | 80,257,000,000 | 67,460,000,000 | 49,048,000,000 | 552,200,000,000 | 118,374,000,000 | 136,734,000,000 | 86,084,000,000 | 153,973,000,000 | 98,692,000,000 | 163,280,000,000 | 152,116,000,000 | 161,711,000,000 | 335,227,000,000 | 306,229,000,000 | 178,235,000,000 | |
Other Investing Activities | 9,997,000,000 | 4,291,000,000 | 28,425,000,000 | -23,059,000,000 | -9,592,000,000 | 25,452,000,000 | 35,532,000,000 | 36,801,000,000 | -29,601,000,000 | -267,728,000,000 | -29,193,000,000 | 28,681,000,000 | 25,966,000,000 | -117,169,000,000 | 16,650,000,000 | 112,191,000,000 | 225,280,000,000 | 114,071,000,000 | 209,352,000,000 | 137,834,000,000 | 129,372,000,000 | -5,977,000,000 | 85,861,000,000 | 71,649,000,000 | 132,537,000,000 | -56,762,000,000 | |
Net Cash Used for Investing Activities | -219,210,000,000 | -94,109,000,000 | 47,619,000,000 | -120,012,000,000 | -204,391,000,000 | -68,566,000,000 | -158,196,000,000 | -199,819,000,000 | -87,078,000,000 | -399,586,000,000 | -249,852,000,000 | -186,203,000,000 | -35,696,000,000 | -469,378,000,000 | -51,566,000,000 | -261,517,000,000 | -299,843,000,000 | -453,120,000,000 | -141,428,000,000 | -55,833,000,000 | 57,929,000,000 | -59,878,000,000 | -78,823,000,000 | -62,823,000,000 | 159,598,000,000 | -154,196,000,000 | |
Debt Repayment | -135,907,000,000 | -105,514,000,000 | -83,571,000,000 | -305,995,000,000 | 58,648,000,000 | -156,039,000,000 | -142,527,000,000 | -152,810,000,000 | -446,629,000,000 | 4,366,000,000 | 206,785,000,000 | 52,786,000,000 | 24,342,000,000 | 198,835,000,000 | -108,922,000,000 | 93,143,000,000 | 127,056,000,000 | 211,834,000,000 | 292,615,000,000 | 17,258,000,000 | -14,848,000,000 | 48,857,000,000 | 37,066,000,000 | 17,977,000,000 | -350,437,000,000 | 35,923,000,000 | |
Common Stock Issued | 0 | 0 | 52,000,000 | 34,000,000 | 80,000,000 | 195,000,000 | 178,000,000 | 32,000,000 | 86,000,000 | 0 | 0 | 0 | 0 | 30,000,000 | 54,000,000 | 82,000,000 | 0 | 0 | 0 | 98,625,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | |
Common Stock Repurchased | -32,065,000,000 | -37,914,000,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | -3,822,000,000 | 0 | 0 | 0 | 0 | 0 | -70,789,000,000 | -105,000,000 | -214,000,000 | -2,199,000,000 | -775,000,000 | -373,000,000 | 0 | 0 | 0 | 0 | |
Dividends Paid | -147,326,000,000 | -153,139,000,000 | -99,985,000,000 | -87,461,000,000 | -103,675,000,000 | -88,653,000,000 | -66,160,000,000 | -62,407,000,000 | -62,397,000,000 | -61,135,000,000 | -55,022,000,000 | -63,760,000,000 | -55,003,000,000 | -38,752,000,000 | -30,001,000,000 | -48,750,000,000 | -44,874,000,000 | -36,188,000,000 | -22,140,000,000 | -9,070,000,000 | -8,508,000,000 | -8,513,000,000 | -8,513,000,000 | -8,515,000,000 | -8,516,000,000 | -8,516,000,000 | |
Other Financing Activities | -100,180,000,000 | 48,692,000,000 | 43,580,000,000 | -73,041,000,000 | -11,821,000,000 | 11,301,000,000 | -21,101,000,000 | -39,263,000,000 | 1,783,000,000 | -18,122,000,000 | -2,033,000,000 | -14,140,000,000 | -2,631,000,000 | -4,234,000,000 | -12,433,000,000 | -50,319,000,000 | 1,286,000,000 | 565,000,000 | -8,116,000,000 | 11,211,000,000 | 549,000,000 | 3,040,000,000 | -1,902,000,000 | 4,555,000,000 | 9,164,000,000 | 0 | |
Net Cash Used/Provided by Financing Activities | -415,478,000,000 | -247,875,000,000 | -138,504,000,000 | -466,463,000,000 | -56,768,000,000 | -233,196,000,000 | -229,610,000,000 | -235,302,000,000 | -505,527,000,000 | -74,776,000,000 | 145,908,000,000 | -24,667,000,000 | -33,273,000,000 | 155,879,000,000 | -151,302,000,000 | -5,844,000,000 | 12,679,000,000 | 176,106,000,000 | 262,145,000,000 | 115,825,000,000 | -23,582,000,000 | 43,011,000,000 | 26,651,000,000 | 14,017,000,000 | -349,789,000,000 | 27,407,000,000 | |
Effect of Forex Changes on Cash | 32,921,000,000 | 26,959,000,000 | 40,668,000,000 | 8,151,000,000 | -15,943,000,000 | 4,821,000,000 | -14,688,000,000 | -2,958,000,000 | -34,223,000,000 | 15,350,000,000 | 12,386,000,000 | 33,163,000,000 | -3,846,000,000 | -15,978,000,000 | 1,569,000,000 | -26,877,000,000 | -15,823,000,000 | 4,414,000,000 | 8,284,000,000 | -844,000,000 | -4,885,000,000 | -2,539,000,000 | 4,640,000,000 | 3,205,000,000 | -9,369,000,000 | -4,477,000,000 | |
Net Change in Cash | 10,993,000,000 | -76,965,000,000 | 134,811,000,000 | -111,358,000,000 | 50,012,000,000 | -6,793,000,000 | -109,312,000,000 | -92,291,000,000 | -27,120,000,000 | -215,317,000,000 | 186,679,000,000 | 102,598,000,000 | 117,602,000,000 | -109,975,000,000 | 302,530,000,000 | 54,541,000,000 | 19,995,000,000 | -85,186,000,000 | 68,109,000,000 | 38,317,000,000 | 91,216,000,000 | 47,632,000,000 | 25,194,000,000 | 40,147,000,000 | -89,000,000,000 | -115,720,000,000 | |
Cash at End of Period | 667,852,000,000 | 656,859,000,000 | 733,824,000,000 | 599,013,000,000 | 710,371,000,000 | 660,359,000,000 | 667,152,000,000 | 776,464,000,000 | 868,755,000,000 | 895,875,000,000 | 1,111,192,000,000 | 924,513,000,000 | 821,915,000,000 | 704,313,000,000 | 814,288,000,000 | 511,350,000,000 | 456,809,000,000 | 436,814,000,000 | 522,000,000,000 | 453,891,000,000 | 415,574,000,000 | 324,358,000,000 | 276,726,000,000 | 251,532,000,000 | 211,385,000,000 | 300,385,000,000 | |
Cash at Beginning of Period | 656,859,000,000 | 733,824,000,000 | 599,013,000,000 | 710,371,000,000 | 660,359,000,000 | 667,152,000,000 | 776,464,000,000 | 868,755,000,000 | 895,875,000,000 | 1,111,192,000,000 | 924,513,000,000 | 821,915,000,000 | 704,313,000,000 | 814,288,000,000 | 511,758,000,000 | 456,809,000,000 | 436,814,000,000 | 522,000,000,000 | 453,891,000,000 | 415,574,000,000 | 324,358,000,000 | 276,726,000,000 | 251,532,000,000 | 211,385,000,000 | 300,385,000,000 | 416,105,000,000 | |
Operating Cash Flow | 608,850,000,000 | 232,801,000,000 | 194,066,000,000 | 467,097,000,000 | 326,618,000,000 | 268,883,000,000 | 295,264,000,000 | 345,788,000,000 | 599,708,000,000 | 243,695,000,000 | 278,237,000,000 | 280,305,000,000 | 190,417,000,000 | 219,502,000,000 | 503,829,000,000 | 348,779,000,000 | 320,651,000,000 | 191,235,000,000 | -62,752,000,000 | -20,831,000,000 | 61,754,000,000 | 67,038,000,000 | 72,726,000,000 | 85,748,000,000 | 110,560,000,000 | 15,546,000,000 | |
Capital Expenditure | -93,380,000,000 | -70,295,000,000 | -69,716,000,000 | -66,342,000,000 | -76,935,000,000 | -110,028,000,000 | -97,762,000,000 | -73,004,000,000 | -120,442,000,000 | -241,934,000,000 | -196,740,000,000 | -183,576,000,000 | -87,340,000,000 | -74,413,000,000 | -70,733,000,000 | -330,070,000,000 | -496,554,000,000 | -317,034,000,000 | -188,505,000,000 | -122,062,000,000 | -148,212,000,000 | -90,432,000,000 | -156,527,000,000 | -132,313,000,000 | -145,631,000,000 | -97,626,000,000 | |
Free Cash Flow | 515,470,000,000 | 162,506,000,000 | 124,350,000,000 | 400,755,000,000 | 249,683,000,000 | 158,855,000,000 | 197,502,000,000 | 272,784,000,000 | 479,266,000,000 | 1,761,000,000 | 81,497,000,000 | 96,729,000,000 | 103,077,000,000 | 145,089,000,000 | 433,096,000,000 | 18,709,000,000 | -175,903,000,000 | -125,799,000,000 | -251,257,000,000 | -142,893,000,000 | -86,458,000,000 | -23,394,000,000 | -83,801,000,000 | -46,565,000,000 | -35,071,000,000 | -82,080,000,000 |