Daiwa Securities Group Inc
TSE:8601

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Daiwa Securities Group Inc
TSE:8601
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Price: 1 467.5 JPY 0.07% Market Closed
Market Cap: ¥2.1T

P/E

13
Current
0%
Cheaper
vs 3-y average of 13.1

Price to Earnings (P/E) ratio shows how much investors pay for each dollar of a company`s earnings. It`s calculated by dividing the company`s market value by its total earnings.

P/E
13
=
Market Cap
¥2.2T
/
Net Income
¥155.4B

Price to Earnings (P/E) ratio shows how much investors pay for each dollar of a company`s earnings. It`s calculated by dividing the company`s market value by its total earnings.

P/E
13
=
Market Cap
¥2.2T
/
Net Income
¥155.4B

Valuation Scenarios

Daiwa Securities Group Inc is trading below its 3-year average

If P/E returns to its 3-Year Average (13.1), the stock would be worth ¥1 471.88 (0% upside from current price).

Statistics
Positive Scenarios
3/4
Maximum Downside
-18%
Maximum Upside
+30%
Average Upside
5%
Scenario P/E Value Implied Price Upside/Downside
Current Multiple 13 ¥1 467.5
0%
3-Year Average 13.1 ¥1 471.88
+0%
5-Year Average 10.7 ¥1 199.56
-18%
Industry Average 13.9 ¥1 565.98
+7%
Country Average 17 ¥1 913.76
+30%

Forward P/E
Today’s price vs future net income

Today's Market Cap Net Income Forward P/E
¥2.2T
/
Jan 2026
¥155.4B
=
13
Current
¥2.2T
/
Mar 2026
¥164.2B
=
13.5
Forward
¥2.2T
/
Mar 2027
¥159.5B
=
13.9
Forward
¥2.2T
/
Mar 2028
¥168.6B
=
13.2
Forward

Forward P/E shows whether today’s P/E still looks high or low once future net income are taken into account.

Market Distribution

Lower than 70% of companies in Japan
Percentile
30th
Based on 5 185 companies
30th percentile
13
Low
0 — 13.1
Typical Range
13.1 — 23
High
23 —
Distribution Statistics
Japan
Min 0
30th Percentile 13.1
Median 17
70th Percentile 23
Max 7 956 708

Daiwa Securities Group Inc
Glance View

Market Cap
2.1T JPY
Industry
Financial Services

Daiwa Securities Group Inc., a towering pillar in the Japanese financial landscape, found its humble origins in Osaka in 1902. It evolved from a small brokerage firm into one of the leading investment houses in Japan, navigating numerous economic tides with agility and foresight. Operating within the dynamic world of financial services, Daiwa's business model is a well-orchestrated symphony of multiple revenue streams, harmonizing through investment banking, retail brokerage, asset management, and proprietary trading. The company has seamlessly blended traditional investment approaches with modern innovations, offering solutions that cater to diverse client needs, from individual investors in need of personalized guidance to large institutions seeking strategic financial advisories. At the core of Daiwa's operations lies its robust retail brokerage network, which forms the backbone by facilitating securities trading and investment advisory services. This segment enjoys steady commissions and fees as individual and institutional clients trade a variety of financial instruments ranging from equities to bonds. Meanwhile, the investment banking arm enriches the ensemble through underwriting services, involved in both equity and debt markets, generating significant revenue by assisting companies in raising capital. Moreover, the asset management division crafts tailored portfolios for clients, drawing a blend of management fees and performance-based bonuses. Lastly, its proprietary trading and treasury operations, though inherently risk-laden, add an element of strategic opportunism—capitalizing on market inefficiencies to bolster overall earnings. Despite the inherent volatility of the financial markets, Daiwa Securities Group Inc. continues to craft its enduring saga within Japan's formidable economy, balancing tradition with innovation.

Intrinsic Value
6 345.3 JPY
Undervaluation 77%
Intrinsic Value
Price ¥1 467.5
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