KM1 : Key metrics

Sumitomo Mitsui Financial Group, Inc. and Subsidiaries

(Millions of yen, except percentages)

a

b

c

d

e

Basel

Template

As of

As of

As of

As of

As of

No.

March 31,

December 31,

September 30,

June 30,

March 31,

2021

2020

2020

2020

2020

Available capital

1

Common Equity Tier 1 capital (CET1)

10,562,772

10,356,926

9,994,152

9,861,707

9,581,264

2

Tier 1 capital

11,199,300

10,996,973

10,763,814

10,530,749

10,249,936

3

Total capital

12,289,271

12,115,715

12,027,978

11,759,945

11,552,000

Risk-weighted assets

4

Total risk-weighted assets (RWA)

66,008,023

Capital ratio (consolidated)

5

ratio (consolidated)

16.00%

6

Tier 1 risk-weighted capital ratio

16.96%

(consolidated)

7

(consolidated)

18.61%

Additional CET1 buffer requirements as a percentage of RWA

8

Capital conservation buffer requirement

2.50%

9

Countercyclical buffer requirement

0.02%

10

G-SIB/D-SIB additional requirement

1.00%

11

Total of CET1 specific buffer requirements

3.52%

12

CET1 available after meeting the minimum

10.61%

capital requirements

Leverage ratio (consolidated)

64,771,494

62,379,156

62,493,410

61,599,066

15.98%

16.02%

15.78%

15.55%

16.97%

17.25%

16.85%

16.63%

18.70%

19.28%

18.81%

18.75%

2.50%

2.50%

2.50%

2.50%

0.02%

0.02%

0.02%

0.02%

1.00%

1.00%

1.00%

1.00%

3.52%

3.52%

3.52%

3.52%

10.70%

11.25%

10.81%

10.63%

13

Total exposures

198,170,783

191,039,921

183,938,673

189,061,080

237,488,658

14

Leverage ratio (consolidated)

5.65%

5.75%

5.85%

5.57%

4.31%

KM1 : Key metrics

Sumitomo Mitsui Financial Group, Inc. and Subsidiaries

(Millions of yen, except percentages)

Basel

Template

No.

a

b

c

d

e

Fourth Quarter

Third Quarter

Second Quarter

First Quarter

Fourth Quarter

of fiscal 2020

of fiscal 2020

of fiscal 2020

of fiscal 2020

of fiscal 2019

(From 2021/1/1

(From 2020/10/1

(From 2020/7/1

(From 2020/4/1

(From 2020/1/1

To 2021/3/31)

To 2020/12/31)

To 2020/9/30)

To 2020/6/30)

To 2020/3/31)

Consolidated Liquidity Coverage Ratio

15

Total HQLA allowed to be included

73,111,608

73,123,811

68,887,366

64,703,478

65,105,452

in the calculation

16

Net cash outflows

52,168,840

51,755,662

50,646,941

52,472,816

51,800,744

17

Consolidated

140.1%

141.2%

136.0%

123.3%

125.6%

liquidity coverage ratio (LCR)

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Sumitomo Mitsui Financial Group Inc. published this content on 14 May 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 May 2021 14:58:03 UTC.