Sho-Bond Holdings Co Ltd
TSE:1414
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Sho-Bond Holdings Co Ltd
Cash from Operating Activities
Sho-Bond Holdings Co Ltd
Cash from Operating Activities Peer Comparison
Competitors Analysis
Latest Figures & CAGR of Competitors
| Company | Cash from Operating Activities | CAGR 3Y | CAGR 5Y | CAGR 10Y | ||
|---|---|---|---|---|---|---|
|
Sho-Bond Holdings Co Ltd
TSE:1414
|
Cash from Operating Activities
¥23B
|
CAGR 3-Years
46%
|
CAGR 5-Years
44%
|
CAGR 10-Years
34%
|
|
|
Kajima Corp
TSE:1812
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Cash from Operating Activities
¥181.2B
|
CAGR 3-Years
N/A
|
CAGR 5-Years
-6%
|
CAGR 10-Years
12%
|
|
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Taisei Corp
TSE:1801
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Cash from Operating Activities
¥163.9B
|
CAGR 3-Years
N/A
|
CAGR 5-Years
14%
|
CAGR 10-Years
15%
|
|
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Obayashi Corp
TSE:1802
|
Cash from Operating Activities
¥162.4B
|
CAGR 3-Years
14%
|
CAGR 5-Years
3%
|
CAGR 10-Years
7%
|
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Sumitomo Densetsu Co Ltd
TSE:1949
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Cash from Operating Activities
¥11.1B
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CAGR 3-Years
15%
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CAGR 5-Years
-5%
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CAGR 10-Years
6%
|
|
|
S
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Sanyu Construction Co Ltd
TSE:1841
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Cash from Operating Activities
¥450.8m
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CAGR 3-Years
N/A
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CAGR 5-Years
25%
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CAGR 10-Years
30%
|
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Sho-Bond Holdings Co Ltd
Glance View
Sho-Bond Holdings Co., Ltd., rooted in Japan’s sophisticated infrastructure sector, specializes in the repair and strengthening of aging concrete structures. With a legacy that intertwines innovation and meticulous engineering, the company has forged a reverent reputation in maintaining the lifelines of modern society—bridges, roads, and dams. At the heart of Sho-Bond's operations lies its expertise in concrete technology and structural enhancement. By leveraging cutting-edge solutions and materials, they ensure safety and longevity in the face of Japan's frequent natural adversities, such as earthquakes and typhoons. The company’s emphasis on sustainable solutions not only helps preserve vital infrastructure but also aligns with a future-forward approach as urban landscapes evolve. Sho-Bond derives its revenue by targeting a niche segment that combines technical prowess with an essential service—maintaining public and private infrastructure. Its business model rests on securing public tenders for repair contracts and building long-term relationships with local government entities and private sector clients. This consistent demand ensures a steady cash flow, buoyed by Japan’s ongoing commitment to infrastructure renewal. Moreover, to sustain its competitive edge, Sho-Bond invests significantly in research and development, fueling advancements that translate into commercial opportunities. In sum, the company’s financial health is a testament to its strategic focus on an indispensable service, underscored by innovation and an unyielding commitment to quality.
See Also
What is Sho-Bond Holdings Co Ltd's Cash from Operating Activities?
Cash from Operating Activities
23B
JPY
Based on the financial report for Dec 31, 2025, Sho-Bond Holdings Co Ltd's Cash from Operating Activities amounts to 23B JPY.
What is Sho-Bond Holdings Co Ltd's Cash from Operating Activities growth rate?
Cash from Operating Activities CAGR 10Y
34%
Over the last year, the Cash from Operating Activities growth was 6%. The average annual Cash from Operating Activities growth rates for Sho-Bond Holdings Co Ltd have been 46% over the past three years , 44% over the past five years , and 34% over the past ten years .