Okasan Securities Group Stock

Okasan Securities Group P/S 2024

Okasan Securities Group P/S

1.97

Ticker

8609.T

ISIN

JP3190800007

WKN

871213

As of Nov 26, 2024, Okasan Securities Group's P/S ratio stood at 1.97, a 44.85% change from the 1.36 P/S ratio recorded in the previous year.

The Okasan Securities Group P/S history

Okasan Securities Group Aktienanalyse

What does Okasan Securities Group do?

Okasan Securities Group Inc. is a Japanese financial services company based in Tokyo. The company was founded in 1936 and has since become one of the largest financial companies in Japan and Asia. It is listed on the Tokyo Stock Exchange (TSE) and is among the top 10 Japanese brokerage firms. Okasan Securities Group operates in various areas including investment banking, stock trading, mergers and acquisitions, asset management, insurance, and real estate. The company has diversified its business activities and expanded its geographic reach in Asia in recent years. It has branches in Hong Kong, Singapore, Shanghai, Sydney, and New York. Okasan Securities Group offers a wide range of financial services to individuals, companies, and institutional clients. Its core business areas include investment banking and asset management for institutional clients and high-net-worth individuals. The company is also a major player in the Japanese stock market, offering stock trading services for institutional clients, qualitative research reports, and investment advice for retail clients. In addition, the company specializes in the sale of investment funds, bonds, structured products, and derivatives. Okasan Securities Group is also active in the real estate industry, offering real estate investment and management services, as well as consulting services to its clients. Its real estate division is one of the key players in the industry and is involved in various major real estate transactions in Japan. The company also provides insurance services through its subsidiary, Okasan Life Insurance Co. Ltd., offering life and health insurance, as well as private pension insurance. Okasan Securities Group is also active in the retail business, legal and trust services, and information technology. For example, the company offers online trading platforms and mobile applications for its clients. While Okasan Securities Group is still primarily active in Japan, it is expanding into Asia. The company aims to expand its portfolio of international clients and enter new markets. It plans to expand its geographic activities in Asia and establish itself in China, India, and other emerging markets in the future. In summary, Okasan Securities Group Inc. is an important and diverse financial services company operating in various business areas. The company offers a wide range of services and has focused on diversifying its business and expanding its geographic reach in the past. It has a strong local presence in Japan and aims to establish itself as a major player in Asia. Okasan Securities Group ist eines der beliebtesten Unternehmen auf Eulerpool.com.

P/S Details

Decoding Okasan Securities Group's P/S Ratio

Okasan Securities Group's Price to Sales (P/S) Ratio is a crucial financial metric that measures the company's market valuation relative to its total sales revenue. It's calculated by dividing the company's market capitalization by its total sales over a specific period. A lower P/S ratio can indicate that the company is undervalued, while a higher ratio may suggest overvaluation.

Year-to-Year Comparison

Comparing Okasan Securities Group's P/S ratio yearly provides insights into how the market perceives the company’s value relative to its sales. An increasing ratio over time can indicate growing investor confidence, while a decreasing trend might reflect concerns about the company’s revenue generation capabilities or market conditions.

Impact on Investments

The P/S ratio is instrumental for investors evaluating Okasan Securities Group's stock. It offers insights into the company’s efficiency in generating sales and its market valuation. Investors use this ratio to compare similar companies within the same industry, aiding in selecting stocks that offer the best value for investment.

Interpreting P/S Ratio Fluctuations

Variations in Okasan Securities Group’s P/S ratio can result from changes in the stock price, sales revenue, or both. Understanding these fluctuations is crucial for investors to evaluate the company’s current valuation and future growth potential, aligning their investment strategies accordingly.

Frequently Asked Questions about Okasan Securities Group stock

What is the price-to-earnings ratio of Okasan Securities Group?

The price-earnings ratio of Okasan Securities Group is currently 1.97.

How has the price-earnings ratio of Okasan Securities Group changed compared to last year?

The price-to-earnings ratio of Okasan Securities Group has increased by 44.85% increased compared to last year.

What consequences does a high price-earnings ratio have for investors?

A high price-to-earnings ratio indicates that the company's stock is relatively expensive and investors may potentially achieve a lower return.

What does a low price-earnings ratio mean?

A low price-earnings ratio means that the company's stock is relatively cheap and investors may potentially achieve a higher return.

Is the price-earnings ratio of Okasan Securities Group high compared to other companies?

Yes, the price-to-earnings ratio of Okasan Securities Group is high compared to other companies.

How does an increase in the price-earnings ratio of Okasan Securities Group affect the company?

An increase in the price-earnings ratio of Okasan Securities Group would lead to a higher market capitalization of the company, which in turn would lead to a higher valuation of the company.

How does a reduction in the price-to-earnings ratio of Okasan Securities Group affect the company?

A decrease in the price-earnings ratio of Okasan Securities Group would result in a lower market capitalization of the company, which in turn would lead to a lower valuation of the company.

What are some factors that influence the price-earnings ratio of Okasan Securities Group?

Some factors that influence the price-earnings ratio of Okasan Securities Group are the company's growth, financial position, industry development, and the overall economic situation.

How much dividend does Okasan Securities Group pay?

Over the past 12 months, Okasan Securities Group paid a dividend of 30 JPY . This corresponds to a dividend yield of about 4.7 %. For the coming 12 months, Okasan Securities Group is expected to pay a dividend of 30 JPY.

What is the dividend yield of Okasan Securities Group?

The current dividend yield of Okasan Securities Group is 4.7 %.

When does Okasan Securities Group pay dividends?

Okasan Securities Group pays a quarterly dividend. This is distributed in the months of April, April, April, April.

How secure is the dividend of Okasan Securities Group?

Okasan Securities Group paid dividends every year for the past 20 years.

What is the dividend of Okasan Securities Group?

For the upcoming 12 months, dividends amounting to 30 JPY are expected. This corresponds to a dividend yield of 4.7 %.

In which sector is Okasan Securities Group located?

Okasan Securities Group is assigned to the 'Finance' sector.

Wann musste ich die Aktien von Okasan Securities Group kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Okasan Securities Group from 6/1/2024 amounting to 30 JPY, you needed to have the stock in your portfolio before the ex-date on 3/28/2024.

When did Okasan Securities Group pay the last dividend?

The last dividend was paid out on 6/1/2024.

What was the dividend of Okasan Securities Group in the year 2023?

In the year 2023, Okasan Securities Group distributed 10 JPY as dividends.

In which currency does Okasan Securities Group pay out the dividend?

The dividends of Okasan Securities Group are distributed in JPY.

Stock savings plans offer an attractive way for investors to build wealth over the long term. One of the main advantages is the so-called cost-average effect: by regularly investing a fixed amount in stocks or stock funds, you automatically buy more shares when prices are low, and fewer when they are high. This can lead to a more favorable average price per share over time. In addition, stock savings plans allow small investors access to expensive stocks, as they can participate with small amounts. Regular investment also promotes a disciplined investment strategy and helps to avoid emotional decisions, such as impulsive buying or selling. Furthermore, investors benefit from the potential appreciation of the stocks as well as from dividend distributions, which can be reinvested, enhancing the compounding effect and thus the growth of the invested capital.

Andere Kennzahlen von Okasan Securities Group

Our stock analysis for Okasan Securities Group Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Okasan Securities Group Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.