Aichi Financial Group, Inc., through with its subsidiaries, provides various banking products and services in Japan. The company operates through Banking and Lease segments. It offers deposit business, lending business, exchange business, and over-the-counter sales of investment trusts and life insurance products, as well as credit card, credit guarantee, and leasing services. The company was incorporated in 2022 and is headquartered in Nagoya, Japan.
Frequently asked questions
What sector does AICHI FINANCIAL GROUP INC (7389) operate in?
AICHI FINANCIAL GROUP INC belongs to the Financials sector and operates in the Banks - Regional industry.
What is AICHI FINANCIAL GROUP INC (7389) current stock price?
As of the latest data, AICHI FINANCIAL GROUP INC stock price is ¥2,092, with a previous close of ¥2,126. AICHI FINANCIAL GROUP INC lost -¥34 in the last trading session, representing a -1.6% loss.
What is AICHI FINANCIAL GROUP INC (7389) current market capitalization?
AICHI FINANCIAL GROUP INC market cap is approximately 509.89 billion.
What is AICHI FINANCIAL GROUP INC (7389) Earnings Per Share (EPS)?
The trailing EPS is ¥89.
What is AICHI FINANCIAL GROUP INC (7389) Price-to-Earnings (P/E) ratio?
AICHI FINANCIAL GROUP INC current P/E ratio is 23.51.
What is AICHI FINANCIAL GROUP INC (7389) EBITDA?
AICHI FINANCIAL GROUP INC EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 20.96 billion.
Does AICHI FINANCIAL GROUP INC (7389) pay dividends?
Yes. AICHI FINANCIAL GROUP INC pays semiannual dividends with an annualized yield of 1.63% and an estimated annual payout of ¥34 per share.
When is the next ex-dividend date for AICHI FINANCIAL GROUP INC (7389)?
The next ex-dividend date is scheduled for September 30, 2026.
When is AICHI FINANCIAL GROUP INC (7389) next earnings report?
AICHI FINANCIAL GROUP INC is expected to release its next earnings report on September 30, 2026.
What is AICHI FINANCIAL GROUP INC (7389) beta (volatility) score?
AICHI FINANCIAL GROUP INC has a beta of 0.226, indicating lower volatility than the overall market.