The Bank of Nagoya, Ltd. provides various banking, financial leasing, and credit card services in Japan. The company operates through three segments: Investment; Leasing; and Credit Card. It offers deposit, lending, domestic exchange, foreign exchange, and securities investment operations; trading of commodity securities; and underwriting and registration of corporate bonds. The company also engages in clerical outsourcing businesses. In addition, it provides business management and support; fundraising; overseas business support; accounting and fund management; and corporate and other services. The company was incorporated in 1949 and is headquartered in Nagoya, Japan.
Frequently asked questions
What sector does Bank of Nagoya Ltd (8522) operate in?
Bank of Nagoya Ltd belongs to the Financials sector and operates in the Banks - Regional industry.
What is Bank of Nagoya Ltd (8522) current stock price?
As of the latest data, Bank of Nagoya Ltd stock price is ¥6,910, with a previous close of ¥6,910.
What is Bank of Nagoya Ltd (8522) current market capitalization?
Bank of Nagoya Ltd market cap is approximately 339.95 billion.
What is Bank of Nagoya Ltd (8522) Earnings Per Share (EPS)?
The trailing EPS is ¥412.
What is Bank of Nagoya Ltd (8522) Price-to-Earnings (P/E) ratio?
Bank of Nagoya Ltd current P/E ratio is 16.77.
What is Bank of Nagoya Ltd (8522) EBITDA?
Bank of Nagoya Ltd EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 9.93 billion.
Does Bank of Nagoya Ltd (8522) pay dividends?
Yes. Bank of Nagoya Ltd pays semiannual dividends with an annualized yield of 3.47% and an estimated annual payout of ¥240 per share.
When is the next ex-dividend date for Bank of Nagoya Ltd (8522)?
The next ex-dividend date is scheduled for September 30, 2026.
When is Bank of Nagoya Ltd (8522) next earnings report?
Bank of Nagoya Ltd is expected to release its next earnings report on June 30, 2026.
What is Bank of Nagoya Ltd (8522) beta (volatility) score?
Bank of Nagoya Ltd has a beta of 0.154, indicating lower volatility than the overall market.