Toyo Securities Co., Ltd. provides financial products brokerage services in Japan. The company offers asset management and investment advice; consultancy on capital policies; support for IR; and other services. It is also involved in the buying and selling of securities; entrustment of buying and selling; underwriting and secondary distribution of securities; handling of public offering and secondary distribution of securities; and other financial instruments business activities. The company was formerly known as Hiroshima Shoken Shoji K.K. and changed its name to Toyo Securities Co., Ltd. in December 1971. Toyo Securities Co., Ltd. was founded in 1916 and is headquartered in Chuo, Japan.
Frequently asked questions
What sector does Toyo Securities Co Ltd (8614) operate in?
Toyo Securities Co Ltd belongs to the Financials sector and operates in the Capital Markets industry.
What is Toyo Securities Co Ltd (8614) current stock price?
As of the latest data, Toyo Securities Co Ltd stock price is ¥679, with a previous close of ¥669. Toyo Securities Co Ltd gained ¥10 in the last trading session, representing a 1.49% increase.
What is Toyo Securities Co Ltd (8614) current market capitalization?
Toyo Securities Co Ltd market cap is approximately 46.11 billion.
What is Toyo Securities Co Ltd (8614) Earnings Per Share (EPS)?
The trailing EPS is ¥58.
What is Toyo Securities Co Ltd (8614) Price-to-Earnings (P/E) ratio?
Toyo Securities Co Ltd current P/E ratio is 11.72.
What is Toyo Securities Co Ltd (8614) EBITDA?
Toyo Securities Co Ltd EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 2.02 billion.
Does Toyo Securities Co Ltd (8614) pay dividends?
Yes. Toyo Securities Co Ltd pays annual dividends with an annualized yield of 7.36% and an estimated annual payout of ¥50 per share.
When is the next ex-dividend date for Toyo Securities Co Ltd (8614)?
The next ex-dividend date is scheduled for March 30, 2027.
What is Toyo Securities Co Ltd (8614) beta (volatility) score?
Toyo Securities Co Ltd has a beta of 0.501, indicating lower volatility than the overall market.