SBI Global Asset Management Co Stock

SBI Global Asset Management Co Liabilities 2024

SBI Global Asset Management Co Liabilities

2.66 B JPY

Ticker

4765.T

ISIN

JP3922100007

WKN

615335

In 2024, SBI Global Asset Management Co's total liabilities amounted to 2.66 B JPY, a 18.22% difference from the 2.25 B JPY total liabilities in the previous year.

SBI Global Asset Management Co Aktienanalyse

What does SBI Global Asset Management Co do?

Morningstar Japan KK is a subsidiary of the global financial research and investment analysis firm Morningstar Inc. The company is headquartered in Tokyo, Japan and was founded in 2001. The company initially focused on performance evaluation and analysis of investment funds in Japan. Over the years, Morningstar Japan KK expanded its offerings to cover the comprehensive spectrum of the investment industry and now provides a variety of products and services. In 2020, the company formed a partnership with Japanese FinTech company Kabu.com Securities to expand their trading and investment platforms. Morningstar Japan KK's business model is centered around providing a broad range of financial data and analysis that can be used by both professionals and individual investors. The company specializes in three core areas: investment fund analysis, stock research, and ETF rating products. They also offer services such as consulting, training, and market intelligence. The main divisions of Morningstar Japan KK are investment fund analysis and stock analysis. In the investment fund area, the company offers comprehensive fund evaluation including ratings and performance statistics. Additionally, Morningstar Japan KK provides a wide range of resources to assist investors in decision-making, including commentary, research reports, and industry news. In the stock analysis area, the company offers analyst reports, stock rating assessments, stock screens, and various tools and resources for stock valuation and analysis. Morningstar Japan KK offers a variety of products, including data and analysis tools for investment funds and stocks. The company has also developed a range of ETF analysis tools, such as Morningstar Analyst Ratings for ETFs. Other products include Morningstar Direct, a web-based platform for financial professionals and individual investors with access to global investment research and portfolio analytics tools, Morningstar Advisor Workstation, a premium suite of investment management tools for financial advisors, and Morningstar Office Cloud, a SaaS-based solution for independent asset managers. In summary, Morningstar Japan KK is a leading provider of investment research and analysis tools in Japan. The company offers a wide range of products for various clients, from financial professionals to individual investors. Morningstar Japan KK focuses on providing comprehensive analysis of investment funds, stocks, and ETFs to create transparency for investors and assist in decision-making. Morningstar Japan KK is a leading provider of investment research and analysis tools in Japan. SBI Global Asset Management Co ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Liabilities Details

Assessing SBI Global Asset Management Co's Liabilities

SBI Global Asset Management Co's liabilities constitute the company's financial obligations and debts owed to external parties and stakeholders. They are categorized into current liabilities, due within a year, and long-term liabilities, which are due over a longer period. A detailed assessment of these liabilities is crucial for evaluating SBI Global Asset Management Co's financial stability, operational efficiency, and long-term viability.

Year-to-Year Comparison

By comparing SBI Global Asset Management Co's liabilities year-over-year, investors can identify trends, shifts, and anomalies in the company’s financial positioning. A decrease in total liabilities often signals financial strengthening, while an increase might indicate enhanced investments, acquisitions, or potential financial strain.

Impact on Investments

SBI Global Asset Management Co's total liabilities play a significant role in determining the company's leverage and risk profile. Investors and analysts examine this aspect meticulously to ascertain the firm’s ability to meet its financial obligations, which influences investment attractiveness and credit ratings.

Interpreting Liability Fluctuations

Shifts in SBI Global Asset Management Co’s liability structure indicate changes in its financial management and strategy. A reduction in liabilities reflects efficient financial management or debt payoffs, while an increase may suggest expansion, acquisition activities, or accruing operational expenses, each carrying distinct implications for investors.

Frequently Asked Questions about SBI Global Asset Management Co stock

What is the level of liabilities of SBI Global Asset Management Co this year?

SBI Global Asset Management Co has a debt balance of 2.66 B JPY this year.

What were the liabilities of SBI Global Asset Management Co compared to the previous year?

The liabilities of SBI Global Asset Management Co have increased by 18.22% increased compared to the previous year.

What are the consequences of high debt for investors of SBI Global Asset Management Co?

High liabilities can pose a risk for investors of SBI Global Asset Management Co, as they can weaken the company's financial position and impair its ability to meet its obligations.

What consequences do low liabilities have for investors in SBI Global Asset Management Co?

Low liabilities mean that SBI Global Asset Management Co has a strong financial position and is able to meet its obligations without overburdening its finances.

How does an increase in liabilities of SBI Global Asset Management Co affect the company?

An increase in liabilities of SBI Global Asset Management Co can lead to the company having more obligations and potentially find it more difficult to meet its financial commitments.

How does a reduction in the liabilities of SBI Global Asset Management Co affect the company?

A decrease in the liabilities of SBI Global Asset Management Co can lead to the company having fewer obligations and a stronger financial position, which can make it easier for the company to fulfill its financial commitments.

What are some factors that influence the liabilities of SBI Global Asset Management Co?

Some factors that can influence the liabilities of SBI Global Asset Management Co include investments, acquisitions, operating costs, and sales development.

Why is the level of liabilities of SBI Global Asset Management Co so important for investors?

The liabilities of SBI Global Asset Management Co are important for investors as they serve as an indicator of the company's financial stability and provide investors with information on how the company meets its financial obligations.

What strategic measures can SBI Global Asset Management Co take to modify the liabilities?

To change its liabilities, SBI Global Asset Management Co can take measures such as cost savings, increasing revenue, selling assets, raising investments, or forming partnerships. It is important for the company to conduct a thorough review of its financial situation to choose the best strategic actions.

How much dividend does SBI Global Asset Management Co pay?

Over the past 12 months, SBI Global Asset Management Co paid a dividend of 13 JPY . This corresponds to a dividend yield of about 2.06 %. For the coming 12 months, SBI Global Asset Management Co is expected to pay a dividend of 13 JPY.

What is the dividend yield of SBI Global Asset Management Co?

The current dividend yield of SBI Global Asset Management Co is 2.06 %.

When does SBI Global Asset Management Co pay dividends?

SBI Global Asset Management Co pays a quarterly dividend. This is distributed in the months of October, April, October, April.

How secure is the dividend of SBI Global Asset Management Co?

SBI Global Asset Management Co paid dividends every year for the past 20 years.

What is the dividend of SBI Global Asset Management Co?

For the upcoming 12 months, dividends amounting to 13 JPY are expected. This corresponds to a dividend yield of 2.06 %.

In which sector is SBI Global Asset Management Co located?

SBI Global Asset Management Co is assigned to the 'Finance' sector.

Wann musste ich die Aktien von SBI Global Asset Management Co kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of SBI Global Asset Management Co from 6/1/2024 amounting to 13 JPY, you needed to have the stock in your portfolio before the ex-date on 3/28/2024.

When did SBI Global Asset Management Co pay the last dividend?

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

What was the dividend of SBI Global Asset Management Co in the year 2023?

In the year 2023, SBI Global Asset Management Co distributed 11.5 JPY as dividends.

In which currency does SBI Global Asset Management Co pay out the dividend?

The dividends of SBI Global Asset Management Co are distributed in JPY.

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Andere Kennzahlen von SBI Global Asset Management Co

Our stock analysis for SBI Global Asset Management Co 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 SBI Global Asset Management Co Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.