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INDICATIVE · SAMPLE DATA
476556

SBI Global Asset Management Co Ltd

Investment Management & Fund OperatorsVerified

SBI Global Asset Management Co Ltd maintains a strong liquidity position, with a current ratio of 3.61 and cash and equivalents amounting to ¥21.85 billion, which significantly exceeds its total liabilities of ¥20.40 billion. The company's liquidity_fpt score indicates a low liquidity risk, supported by its high cash reserves and minimal long-term debt of ¥103.46 million. The company's profitability is reflected in a return on equity (ROE) of 9.42% and a return on assets (ROA) of 5.8%, both of which are above the industry median for investment management firms. These metrics suggest that the company is effectively utilizing its equity and asset base to generate returns. Geographically, the company's revenue is concentrated in Japan, with no disclosed international segments. This concentration may expose the company to domestic economic fluctuations, but it also allows for focused operational efficiency and regulatory alignment. The company's growth trajectory is stable, with a revenue of ¥27.86 billion in the latest reporting period. While no specific growth rate is provided, the company's operating income of ¥5.12 billion and net income of ¥3.07 billion indicate consistent profitability. The outlook for the current fiscal year suggests continued performance, with no significant negative indicators in the risk assessment. The risk assessment for SBI Global Asset Management Co Ltd indicates a low risk of dilution and no immediate filing-based liquidity or dilution flags. The company's capital structure is robust, with a debt-to-equity ratio of 0.0, indicating no long-term debt obligations. This financial structure supports a low dilution risk and provides flexibility for future growth. Recent events, including the latest financial filing and analyst estimates, show that the company's actual revenue and EPS align with expectations. The last actual EPS was ¥28.30, and the actual revenue was ¥27.86 billion, indicating that the company is meeting or exceeding market expectations.

30-day price · 4765(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanySBI Global Asset Management Co Ltd
Ticker4765.T
SectorFinancials
BusinessBanking & Investment Services
Industry groupBanking & Investment Services
IndustryInvestment Management & Fund Operators
AI analysis

Business. SBI Global Asset Management Co Ltd provides investment management and fund operation services, primarily generating revenue through management fees and performance-based returns from its asset under management (AUM) portfolio.

Classification. The company is classified under the industry "Investment Management & Fund Operators" within the "Banking & Investment Services" business sector, with a confidence level of 0.92.

SBI Global Asset Management Co Ltd maintains a strong liquidity position, with a current ratio of 3.61 and cash and equivalents amounting to ¥21.85 billion, which significantly exceeds its total liabilities of ¥20.40 billion. The company's liquidity_fpt score indicates a low liquidity risk, supported by its high cash reserves and minimal long-term debt of ¥103.46 million. The company's profitability is reflected in a return on equity (ROE) of 9.42% and a return on assets (ROA) of 5.8%, both of which are above the industry median for investment management firms. These metrics suggest that the company is effectively utilizing its equity and asset base to generate returns. Geographically, the company's revenue is concentrated in Japan, with no disclosed international segments. This concentration may expose the company to domestic economic fluctuations, but it also allows for focused operational efficiency and regulatory alignment. The company's growth trajectory is stable, with a revenue of ¥27.86 billion in the latest reporting period. While no specific growth rate is provided, the company's operating income of ¥5.12 billion and net income of ¥3.07 billion indicate consistent profitability. The outlook for the current fiscal year suggests continued performance, with no significant negative indicators in the risk assessment. The risk assessment for SBI Global Asset Management Co Ltd indicates a low risk of dilution and no immediate filing-based liquidity or dilution flags. The company's capital structure is robust, with a debt-to-equity ratio of 0.0, indicating no long-term debt obligations. This financial structure supports a low dilution risk and provides flexibility for future growth. Recent events, including the latest financial filing and analyst estimates, show that the company's actual revenue and EPS align with expectations. The last actual EPS was ¥28.30, and the actual revenue was ¥27.86 billion, indicating that the company is meeting or exceeding market expectations.
Key takeaways
  • SBI Global Asset Management Co Ltd has a strong liquidity position with a current ratio of 3.61 and significant cash reserves.
  • The company's ROE of 9.42% and ROA of 5.8% indicate strong profitability and efficient use of assets.
  • The company's revenue is concentrated in Japan, which may limit diversification but allows for operational focus.
  • The company's capital structure is robust, with no long-term debt and a low dilution risk.
  • Recent financial performance aligns with analyst estimates, suggesting consistent performance.
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Financial snapshot
PeriodHA-latest
CurrencyJPY
Revenue$27.86B
Gross profit$11.62B
Operating income$5.12B
Net income$3.07B
R&D
SG&A
D&A
SBC
Operating cash flow$20.94B
CapEx-$489.4M
Free cash flow$1.89B
Total assets$53.03B
Total liabilities$20.40B
Total equity$32.63B
Cash & equivalents$21.85B
Long-term debt$103.5M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$32.63B
Net cash$21.75B
Current ratio3.6
Debt/Equity0.0
ROA5.8%
ROE9.4%
Cash conversion6.8%
CapEx/Revenue-1.8%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskLow
  • No immediate filing-based liquidity or dilution flags were detected.
Industry benchmarks
Activity: Banking & Investment Services · cohort 10 companies
Metric4765Activity
Op margin18.4%26.6% medp25 13.9% · p75 29.0%below median
Net margin11.0%18.8% medp25 13.7% · p75 22.7%bottom quartile
Gross margin41.7%67.6% medp25 41.5% · p75 93.2%below median
CapEx / revenue-1.8%1.2% medp25 0.4% · p75 1.9%bottom quartile
Debt / equity0.0%7.7% medp25 7.7% · p75 7.7%bottom quartile
Observations
IR observations
Last actual EPS28.30 JPY
Last actual revenue27,859,650,000 JPY
Source: analysis-pipeline (hybrid)Generated: 2026-05-24 23:48 UTCJob: 1bbadd2b