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Capital Structure Information Sumitomo Mitsui Financial Group, Inc. and Subsidiaries Basel III Template No. Items Common Equity Tier 1 capital: instruments and reserves 1a+2-1c-26 1a 2 1c 26 1b 3 5 6 As of December 31, 2017 Amounts excluded under transitional arrangements (Millions of yen, except percentages) As of September 30, 2017 Directly issued qualifying common share capital 8,550,974 8,322,973 plus related capital surplus and retained earnings of which: capital and capital surplus 3,096,950 3,096,937 of which: retained earnings 5,466,542 5,351,360 of which: treasury stock (-) 12,518 12,480 of which: cash dividends to be paid (-) - 112,844 of which: other than the above - - Stock acquisition rights to common shares 2,894 2,900 Amounts excluded under transitional arrangements Accumulated other comprehensive income and 1,606,477 401,619 1,389,359 347,339 other disclosed reserves Adjusted non-controlling interests, etc. (amount allowed 178,120 174,786 to be included in group Common Equity Tier 1) Total of items included in Common Equity Tier 1 31,111 30,754 capital: instruments and reserves subject to transitional arrangements of which: non-controlling interests and other items 31,111 30,754 corresponding to common share capital issued by consolidated subsidiaries (amount allowed to be included in group Common Equity Tier 1) Common Equity Tier 1 capital: instruments and 10,369,577 9,920,774 reserves (A) Common Equity Tier 1 capital: regulatory adjustments 8+9 8 9 10 11 12 13 Total intangible assets (excluding those relating 605,130 151,282 613,394 153,348 to mortgage servicing rights) of which: goodwill (including those equivalent) 257,084 64,271 262,790 65,697 of which: other intangible assets other than 348,046 87,011 350,603 87,650 goodwill and mortgage servicing rights Deferred tax assets that rely on future profitability 1,549 387 1,432 358 excluding those arising from temporary differences (net of related tax liability) Net deferred gains or losses on hedges (42,035) (10,508) (35,770) (8,942) Shortfall of eligible provisions to expected losses 41,601 10,400 38,579 9,644 Gain on sale on securitization transactions 49,702 12,425 49,323 12,330

14 Gains and losses due to changes in own credit 2,196 549 1,861 465 15 risk on fair valued liabilities Net defined benefit asset 186,160 46,540 183,563 45,890 16 Investments in own shares (excluding those 8,874 2,218 7,958 1,989 17 reported in the Net assets section) Reciprocal cross-holdings in common equity - - - - 18 Investments in the capital of banking, financial - - - - 19+20+21 and insurance entities that are outside the scope of regulatory consolidation ( Other Financial Institutions ), net of eligible short positions, where the bank does not own more than 10% of the issued share capital ( Non-significant Investment ) (amount above the 10% threshold) Amount exceeding the 10% threshold on - - - - 19 specified items of which: significant investments in the - - - - 20 common stock of Other Financial Institutions, net of eligible short positions of which: mortgage servicing rights - - - - 21 of which: deferred tax assets arising from - - - - 22 temporary differences (net of related tax liability) Amount exceeding the 15% threshold on - - - - 23 specified items of which: significant investments in the - - - - 24 common stock of Other Financial Institutions, net of eligible short positions of which: mortgage servicing rights - - - - 25 of which: deferred tax assets arising from - - - - 27 temporary differences (net of related tax liability) Regulatory adjustments applied to Common - - 28 Equity Tier 1 due to insufficient Additional Tier 1 and Tier 2 to cover deductions Common Equity Tier 1 capital: regulatory 853,181 860,341 adjustments (B) Common Equity Tier 1 capital (CET1) 29 Common Equity Tier 1 capital (CET1) ((A)-(B)) (C) 9,516,396 9,060,432

Additional Tier 1 capital: instruments 31a Directly issued qualifying Additional Tier 1 - - instruments plus related capital surplus of which: classified as equity under applicable accounting standards and the breakdown 31b Stock acquisition rights to Additional Tier 1 - - instruments 30 32 Directly issued qualifying Additional Tier 1 598,800 450,000 instruments plus related capital surplus of which: classified as liabilities under applicable accounting standards Qualifying Additional Tier 1 instruments plus - - related capital surplus issued by special purpose vehicles and other equivalent entities 34-35 Adjusted non-controlling interests, etc. (amount allowed 228,593 219,963 33+35 to be included in group Additional Tier 1) Eligible Tier 1 capital instruments subject to 812,928 812,928 33 transitional arrangements included in Additional Tier 1 capital: instruments of which: instruments issued by bank holding 812,928 812,928 35 companies and their special purpose vehicles of which: instruments issued by subsidiaries - - (excluding bank holding companies special purpose vehicles) Total of items included in Additional Tier 1 capital: 11,554 8,214 items subject to transitional arrangements of which: foreign currency translation adjustments 11,554 8,214 36 Additional Tier 1 capital: instruments (D) 1,651,877 1,491,107 Additional Tier 1 capital: regulatory adjustments 37 Investments in own Additional Tier 1 instruments - - - - 38 Reciprocal cross-holdings in Additional Tier 1 - - - - 39 instruments Non-significant Investments in the Additional - - - - 40 Tier 1 capital of Other Financial Institutions, net of eligible short positions (amount above 10% threshold) Significant investments in the Additional Tier 1 65,312 16,328 65,312 16,328 capital of Other Financial Institutions (net of eligible short positions)

Total of items included in Additional Tier 1 capital: 100,608 102,179 regulatory adjustments subject to transitional arrangements of which: goodwill and others 82,982 85,025 of which: gain on sale on securitization transactions 12,425 12,330 of which: amount equivalent to 50% of shortfall 5,200 4,822 42 of eligible provisions to expected losses Regulatory adjustments applied to Additional - - 43 Tier 1 due to insufficient Tier 2 to cover deductions Additional Tier 1 capital: regulatory adjustments (E) 165,920 167,491 Additional Tier 1 capital (AT1) 44 Additional Tier 1 capital ((D)-(E)) (F) 1,485,956 1,323,616 Tier 1 capital (T1 = CET1 + AT1) 45 Tier 1 capital (T1 = CET1 + AT1) ((C)+(F)) (G) 11,002,353 10,384,048 Tier 2 capital: instruments and provisions Directly issued qualifying Tier 2 instruments plus - - related capital surplus of which: classified as equity under applicable accounting standards and its breakdown Stock acquisition rights to Tier 2 instruments - - 46 Directly issued qualifying Tier 2 instruments plus 901,418 901,505 related capital surplus of which: classified as liabilities under applicable accounting standards Qualifying Tier 2 instruments plus related capital - - 48-49 surplus issued by special purpose vehicles and other equivalent entities Adjusted non-controlling interests, etc. (amount allowed 51,947 49,182 47+49 to be included in group Tier 2) Eligible Tier 2 capital instruments subject to 777,297 810,786 47 transitional arrangements included in Tier 2: instruments and provisions of which: instruments issued by bank holding - - 49 companies and their special purpose vehicles of which: instruments issued by subsidiaries 777,297 810,786 50 (excluding bank holding companies special purpose vehicles) Total of general reserve for possible loan losses 78,625 77,722 50a and eligible provisions included in Tier 2 of which: general reserve for possible loan losses 78,625 77,722 50b of which: eligible provisions - -

Total of items included in Tier 2 capital: instruments 250,299 216,478 and provisions subject to transitional arrangements of which: unrealized gains on other securities 244,131 210,292 after 55% discount of which: land revaluation excess after 6,168 6,186 51 55% discount Tier 2 capital: instruments and provisions (H) 2,059,589 2,055,676 Tier 2 capital: regulatory adjustments 52 Investments in own Tier 2 instruments 0 0 0 0 53 Reciprocal cross-holdings in Tier 2 instruments - - - - 54 Non-significant Investments in the Tier 2 capital - - - - 55 of Other Financial Institutions, net of eligible short positions (amount above the 10% threshold) Significant investments in the Tier 2 capital of 40,000 10,000 40,000 10,000 Other Financial Institutions (net of eligible short positions) Total of items included in Tier 2 capital: regulatory 27,375 27,198 adjustments subject to transitional arrangements of which: Tier 2 and deductions under Basel II 27,375 27,198 57 Tier 2 capital: regulatory adjustments (I) 67,375 67,198 Tier 2 capital (T2) 58 Tier 2 capital (T2) ((H)-(I)) (J) 1,992,214 1,988,478 Total capital (TC = T1 + T2) 59 Total capital (TC = T1 + T2) ((G)+(J)) (K) 12,994,568 12,372,527 Risk weighted assets Total of items included in risk weighted assets 39,579 39,911 subject to transitional arrangements of which: intangible assets (excluding those 17,340 17,160 relating to mortgage servicing rights) of which: net defined benefit asset 12,894 12,909 of which: significant investments in Tier 2 6,592 6,966 capital of Other Financial Institutions (net of eligible short positions) 60 Risk weighted assets (L) 71,336,827 69,905,640

Capital ratio (consolidated) 61 Common Equity Tier 1 risk-weighted capital ratio 13.34% 12.96% 62 (consolidated) ((C)/(L)) Tier 1 risk-weighted capital ratio 15.42% 14.85% 63 (consolidated) ((G)/(L)) Total risk-weighted capital ratio 18.21% 17.69% (consolidated) ((K)/(L)) Regulatory adjustments 72 Non-significant Investments in the capital of 749,872 707,716 73 Other Financial Institutions that are below the thresholds for deduction (before risk weighting) Significant investments in the common stock of 572,467 558,284 74 Other Financial Institutions that are below the thresholds for deduction (before risk weighting) Mortgage servicing rights that are below the - - 75 thresholds for deduction (before risk weighting) Deferred tax assets arising from temporary 3,686 3,909 differences that are below the thresholds for deduction (before risk weighting) Provisions included in Tier 2 capital: instruments and provisions 76 Provisions (general reserve for possible loan losses) 78,625 77,722 77 Cap on inclusion of provisions (general reserve for 90,177 89,383 78 possible loan losses) Provisions eligible for inclusion in Tier 2 in respect - - 79 of exposures subject to internal ratings-based approach (prior to application of cap) Cap for inclusion of provisions in Tier 2 under 330,392 321,873 internal ratings-based approach Capital instruments subject to transitional arrangements 82 Current cap on Additional Tier 1 instruments 812,928 812,928 83 subject to transitional arrangements Amount excluded from Additional Tier 1 due to 62,118 61,617 84 cap (excess over cap after redemptions and maturities) Current cap on Tier 2 instruments subject to 1,017,141 1,017,141 85 transitional arrangements Amount excluded from Tier 2 due to cap (excess - - over cap after redemptions and maturities)