SBI Holdings Inc
Research SBI Holdings Inc (ZOF) on Bullrun: valuation model: 119.0% undervalued, market cap EUR 9.23B, P/E 4.2, dividend yield 3.6%. Explore financials, valuation history, model signals, and stock context.
Key Metrics
- TickerZOF
- ExchangeF
- CountryJapan
- SectorFinancial Services
- IndustryFinancial Conglomerates
- CurrencyEUR
- Valuation signal119.0% undervalued
- Market capEUR 9.23B
- P/E4.2
- Dividend yield3.6%
- Financial periodFY2025
- RevenueEUR 1.44T
- Revenue growth19.3%
- Net incomeEUR 162.12B
- Free cash flowEUR 1.46T
- Gross margin57.8%
Valuation Snapshot
Bullrun's latest valuation model marks SBI Holdings Inc as 119.0% undervalued; latest market cap is EUR 9.23B; P/E is 4.2; dividend yield is 3.6%.
About SBI Holdings Inc
SBI Holdings, Inc. engages in investment businesses in Japan and internationally. The company operates through five business segments: Financial Services Business, Asset Management Business, PE Investment Business, Crypto-Asset Business, and Next Gen Business segments. Its Financial Services Business segment consists of a range of finance-related business, including securities brokerage business; banking services business; and life, property, and casualty insurance businesses.
Frequently asked questions
Is SBI Holdings Inc overvalued or undervalued?
Bullrun's valuation model currently marks SBI Holdings Inc as 119.0% undervalued.
What is SBI Holdings Inc's market cap?
SBI Holdings Inc's market capitalization is EUR 9.23B.
What is SBI Holdings Inc's P/E ratio?
SBI Holdings Inc's price-to-earnings (P/E) ratio is 4.2.
Does SBI Holdings Inc pay a dividend?
SBI Holdings Inc has a dividend yield of 3.6%.
What does SBI Holdings Inc do?
SBI Holdings, Inc. engages in investment businesses in Japan and internationally. The company operates through five business segments: Financial Services Business, Asset Management Business, PE Investment Business, Crypto-Asset Business, and Next Gen Business segments.