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INDICATIVE · SAMPLE DATA
984956

Kyodo Paper Holdings

Paper ProductsVerified

Kyodo Paper Holdings maintains a strong liquidity position, with cash and equivalents amounting to ¥10.63 billion, representing 10.7% of total assets. The company's liquidity FPT (free cash flow to total liabilities) is robust, supported by an operating cash flow of ¥333.31 million and a current ratio of 1.25, indicating a solid ability to meet short-term obligations. Profitability metrics, however, are weak. The company's return on equity (ROE) is 0.12%, and return on assets (ROA) is 0.05%, both significantly below the industry median for Paper Products. This suggests that the company is not effectively utilizing its equity or assets to generate returns. Geographically, Kyodo Paper Holdings is heavily concentrated in Japan, with no disclosed international revenue segments. This concentration increases exposure to domestic economic conditions and regulatory changes. The company's revenue is derived from a single business segment, paper products, which limits diversification and exposes it to sector-specific risks. Looking ahead, the company's growth trajectory appears modest. Revenue for the latest period was ¥4.22 billion, and while the company has a positive operating cash flow, capital expenditures are minimal at ¥31.66 million. There is no indication of significant revenue growth in the next fiscal year, with the outlook remaining stable. Risk factors for Kyodo Paper Holdings are currently low, with no immediate liquidity or dilution concerns. The company has no long-term debt and a low debt-to-equity ratio of 0.0, indicating a conservative capital structure. However, the weak ROE and ROA suggest operational inefficiencies that could become more pronounced in a downturn. Recent filings and transcripts do not indicate any material events or strategic shifts. The company's last actual EPS was 41.45 JPY, and revenue was ¥16.89 billion, both in line with historical performance. No significant changes in management strategy or capital allocation have been disclosed.

30-day price · 9849(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanyKyodo Paper Holdings
Ticker9849.T
SectorBasic Materials
BusinessApplied Resources
Industry groupApplied Resources
IndustryPaper Products
AI analysis

Business. Kyodo Paper Holdings is a Japanese company engaged in the production and distribution of paper products, primarily serving the packaging and printing industries.

Classification. Kyodo Paper Holdings is classified under the Basic Materials economic sector, Applied Resources business sector, and Paper Products industry, with a high confidence level of 0.92 based on verified market data.

Kyodo Paper Holdings maintains a strong liquidity position, with cash and equivalents amounting to ¥10.63 billion, representing 10.7% of total assets. The company's liquidity FPT (free cash flow to total liabilities) is robust, supported by an operating cash flow of ¥333.31 million and a current ratio of 1.25, indicating a solid ability to meet short-term obligations. Profitability metrics, however, are weak. The company's return on equity (ROE) is 0.12%, and return on assets (ROA) is 0.05%, both significantly below the industry median for Paper Products. This suggests that the company is not effectively utilizing its equity or assets to generate returns. Geographically, Kyodo Paper Holdings is heavily concentrated in Japan, with no disclosed international revenue segments. This concentration increases exposure to domestic economic conditions and regulatory changes. The company's revenue is derived from a single business segment, paper products, which limits diversification and exposes it to sector-specific risks. Looking ahead, the company's growth trajectory appears modest. Revenue for the latest period was ¥4.22 billion, and while the company has a positive operating cash flow, capital expenditures are minimal at ¥31.66 million. There is no indication of significant revenue growth in the next fiscal year, with the outlook remaining stable. Risk factors for Kyodo Paper Holdings are currently low, with no immediate liquidity or dilution concerns. The company has no long-term debt and a low debt-to-equity ratio of 0.0, indicating a conservative capital structure. However, the weak ROE and ROA suggest operational inefficiencies that could become more pronounced in a downturn. Recent filings and transcripts do not indicate any material events or strategic shifts. The company's last actual EPS was 41.45 JPY, and revenue was ¥16.89 billion, both in line with historical performance. No significant changes in management strategy or capital allocation have been disclosed.
Key takeaways
  • Kyodo Paper Holdings has a strong liquidity position with ¥10.63 billion in cash and equivalents.
  • The company's profitability is weak, with ROE and ROA well below industry medians.
  • Revenue is concentrated in a single business segment and geographic region, increasing exposure to domestic risks.
  • Growth is expected to remain stable, with no significant capital expenditures or revenue expansion anticipated.
  • The company's conservative capital structure with no long-term debt reduces financial risk.
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Financial snapshot
PeriodHA-latest
CurrencyJPY
Revenue$4.22B
Gross profit$524.9M
Operating income$10.5M
Net income$4.7M
R&D
SG&A
D&A
SBC
Operating cash flow$333.3M
CapEx-$31.7M
Free cash flow
Total assets$9.98B
Total liabilities$6.00B
Total equity$3.98B
Cash & equivalents$1.06B
Long-term debt$0.00
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$13.22B$4.5M$39.4M$49.7M
FY-3$14.09B$182.7M$171.7M$136.2M
FY-2$17.02B$144.1M$101.2M$173.9M
FY-1$16.73B$88.3M$58.8M$115.3M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
PeriodAssetsEquityCashDebt
FY-4$8.45B$3.50B$1.54B
FY-3$9.69B$3.69B$781.8M
FY-2$10.20B$3.83B$869.4M
FY-1$9.98B$3.98B$1.06B
PeriodOCFCapExFCFSBC
FY-4$98.3M-$69.9M$49.7M
FY-3-$325.2M-$104.0M$136.2M
FY-2$163.5M-$12.9M$173.9M
FY-1$333.3M-$31.7M$115.3M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$4.22B$10.5M$4.7M
FQ-6$4.13B-$63.8M-$14.2M
FQ-5$3.99B$9.0M$21.1M
FQ-4$4.40B-$29.0M-$26.3M
FQ-3$4.36B$49.3M$47.5M
FQ-2$4.26B$2.3M$7.6M
FQ-1$3.82B-$31.4M-$15.7M
FQ0$4.06B-$53.9M-$32.9M
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$9.98B$3.98B$1.06B
FQ-6$9.78B$3.89B$1.20B
FQ-5$9.15B$3.92B$1.00B
FQ-4$10.09B$3.89B$1.21B
FQ-3$9.52B$3.90B$807.8M
FQ-2$9.54B$3.88B$939.4M
FQ-1$9.25B$3.90B$1.20B
FQ0$9.74B$3.91B$1.55B
PeriodOCFCapExFCFSBC
FQ-7$333.3M-$31.7M
FQ-6
FQ-5-$137.8M-$3.1M
FQ-4
FQ-3-$257.8M-$30.5M
FQ-2
FQ-1-$36.8M-$497.0k
FQ0
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$3.98B
Net cash$1.06B
Current ratio1.2
Debt/Equity0.0
ROA0.1%
ROE0.1%
Cash conversion70.3%
CapEx/Revenue-0.8%
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: Paper Products · cohort 123 companies
Metric9849Activity
Op margin0.2%3.6% medp25 0.7% · p75 7.0%bottom quartile
Net margin0.1%2.5% medp25 -0.8% · p75 6.1%below median
Gross margin12.4%15.9% medp25 11.6% · p75 23.9%below median
CapEx / revenue-0.8%-5.3% medp25 -11.8% · p75 -1.9%top quartile
Debt / equity0.0%45.7% medp25 10.1% · p75 82.9%bottom quartile
Observations
IR observations
Last actual EPS41.45 JPY
Last actual revenue16,888,000,000 JPY
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-04 00:57 UTC#364eb842
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 05:31 UTCJob: 22c9b860