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Aizawa Securities Co Ltd

8708 TSE
¥1,725.00+¥30.00  (1.77%)
Estimate
P/E
19.5
EPS
88.41
Beta
0.012
Growth
Revenue, YoY
34.45%
Net income, YoY
729.92%
Dividends
Dividend yield
8%
Annual payout
¥138.00
Next ex. div date
September 30, 26
Payout
111.16%
Div.growth, 5y
34.27%
Dividend growth streak
2 y
Div.rating
About the company
Ticker
8708
ISIN
JP3101850000
Country
Japan
Sector (GICS)
Financials
Aizawa Securities Group Co., Ltd. operates financial securities, investment, asset management, and financial instruments brokerage businesses in Japan. Aizawa Securities Group Co., Ltd. was founded in 1918 and is headquartered in Minato, Japan.

Frequently asked questions

What sector does Aizawa Securities Co Ltd (8708) operate in?

Aizawa Securities Co Ltd belongs to the Financials sector and operates in the Capital Markets industry.

What is Aizawa Securities Co Ltd (8708) current stock price?

As of the latest data, Aizawa Securities Co Ltd stock price is ¥1,725, with a previous close of ¥1,695. Aizawa Securities Co Ltd gained ¥30 in the last trading session, representing a 1.77% increase.

What is Aizawa Securities Co Ltd (8708) current market capitalization?

Aizawa Securities Co Ltd market cap is approximately 53.80 billion.

What is Aizawa Securities Co Ltd (8708) Earnings Per Share (EPS)?

The trailing EPS is ¥88.

What is Aizawa Securities Co Ltd (8708) Price-to-Earnings (P/E) ratio?

Aizawa Securities Co Ltd current P/E ratio is 19.51.

What is Aizawa Securities Co Ltd (8708) EBITDA?

Aizawa Securities Co Ltd EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 1.49 billion.

Does Aizawa Securities Co Ltd (8708) pay dividends?

Yes. Aizawa Securities Co Ltd pays semiannual dividends with an annualized yield of 8% and an estimated annual payout of ¥138 per share.

When is the next ex-dividend date for Aizawa Securities Co Ltd (8708)?

The next ex-dividend date is scheduled for September 30, 2026.

What is Aizawa Securities Co Ltd (8708) beta (volatility) score?

Aizawa Securities Co Ltd has a beta of 0.012, indicating lower volatility than the overall market.