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IX – ORIX Corporation

IX — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.07

Margin Of Safety %

Put/Call OI Ratio

EPS Next Q Diff

EPS Last/This Y

0.63

EPS This/Next Y

0.11

Price

29.3

Target Price

34.62

Analyst Recom

1.9

Performance Q

-0.91

Upside

23.9%

Beta

0.82

Ticker: IX




15 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-02-27IX35.55N/AN/A0
2026-03-03IX32.45N/AN/A0
2026-03-04IX32.8N/AN/A0
2026-03-06IX31.35N/AN/A0
2026-03-09IX32.19N/AN/A0
2026-03-10IX31.8N/AN/A0
2026-03-11IX31.25N/AN/A0
2026-03-12IX30.25N/AN/A0
2026-03-13IX30.26N/AN/A0
2026-03-17IX30.6N/AN/A0
2026-03-18IX30.17N/AN/A0
2026-03-20IX29.5N/AN/A0
2026-03-25IX30.41N/AN/A0
2026-03-26IX29.67N/AN/A0
2026-03-27IX29.27N/AN/A0
DateSymbolLatestP/C OIP/C VolTotal OI
15 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-02-27IX35.56- - 2.61
2026-03-02IX34.08- - 2.61
2026-03-03IX32.45- - 2.61
2026-03-04IX32.80- - 2.61
2026-03-05IX31.21- - 2.61
2026-03-06IX31.33- - 2.61
2026-03-09IX32.23- - 2.61
2026-03-10IX31.86- - 2.61
2026-03-11IX31.25- - 2.61
2026-03-12IX30.27- - 2.61
2026-03-13IX29.97- - 2.61
2026-03-17IX30.57- - 2.61
2026-03-18IX30.21- - 2.61
2026-03-19IX30.03- - 2.61
2026-03-20IX29.51- - 2.61
2026-03-23IX29.78- - 2.61
2026-03-24IX29.82- - 2.61
2026-03-25IX30.39- - 2.61
2026-03-26IX29.67- - 2.61
2026-03-27IX29.30- - 2.61
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-02-27IX0.00-5.220.06
2026-03-02IX0.00-23.190.06
2026-03-03IX0.00-23.190.06
2026-03-04IX0.00-23.190.06
2026-03-05IX0.00-23.190.06
2026-03-06IX0.00-23.190.06
2026-03-09IX0.00-21.270.06
2026-03-10IX0.00-21.270.06
2026-03-11IX0.00-21.270.07
2026-03-12IX0.00-21.270.07
2026-03-13IX0.00-21.270.07
2026-03-17IX0.00-25.320.07
2026-03-18IX0.00-25.320.07
2026-03-19IX0.00-25.320.07
2026-03-20IX0.00-25.320.07
2026-03-23IX0.00-34.430.07
2026-03-24IX0.00-34.430.07
2026-03-25IX0.00-34.430.07
2026-03-26IX0.00-34.430.07
2026-03-27IX0.00-34.430.07
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

Avg. EPS Est. Next Quarter

Insider Transactions

Institutional Transactions

-34.43

Beta

0.82

Average Sales Estimate Current Quarter

686233

Average Sales Estimate Next Quarter

771049

Fair Value

Quality Score

39

Growth Score

46

Sentiment Score

73

Actual DrawDown %

20.9

Max Drawdown 5-Year %

-36.6

Target Price

34.62

P/E

10.49

Forward P/E

10.8

PEG

0.82

P/S

1.5

P/B

1.11

P/Free Cash Flow

EPS

2.79

Average EPS Est. Cur. Y​

2.61

EPS Next Y. (Est.)

2.72

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

15.06

Relative Volume

0.83

Return on Equity vs Sector %

-6.3

Return on Equity vs Industry %

-5

EPS 1 7Days Diff

0.1

EPS 1 30Days Diff

0.07

EBIT Estimation

IX Financial
$29.27
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
14/20
Pullback
13/25
Volume
7/15
Valuation
11/20
TP/AR
1/10
Options
0/10
RSI
35.2
Range 1M
0.5%
🚀
Momentum Growth
Ride accelerating trends
N/A
32 /100
WEAK
Momentum
12/25
Growth
18/30
Estimates
1/20
Inst/Vol
1/15
Options
0/10
EPS Yr
25.9%
EPS NY
3.5%
52W%
60%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟡 HOLD +20.1% upside
Quality
8/30
Valuation
9/30
Growth
12/25
Stability
2/10
LT Trend
1/5
Upside
+20.1%
Quality
39
ORIX Corporation
Sector: Financial Services
Industry: Financial Conglomerates
Employees: 33982
ORIX Corporation provides financial services in Japan, the United States, Asia, Europe, and Australasia. The company's Corporate Financial Services and Maintenance Leasing segment is involved in the finance and fee; and leasing and rental of automobiles, electronic measuring instruments, and ICT-related equipment businesses. Its Real Estate segment develops, rents, and manages real estate properties; operates facilities; provides real estate asset management services. The company's PE Investment and Concession segment engages in the private equity investment and concession businesses. Its Environment and Energy segment provides ESCO, and recycling and waste management services; retails electric power; sells solar panels; and generates renewable energy power. The company's Insurance segment sells life insurance products through agents, banks, and other financial institutions, as well as face-to-face and online. Its Banking and Credit segment provides banking and consumer finance services. The company's Aircraft and Ships segment engages in the aircraft investment and management, ship-related finance and investment, maritime asset management, and ship brokerage businesses. Its ORIX USA segment offers finance, investment, and asset management services. The company's ORIX Europe segment provides asset management services for equity and fixed income. Its Asia and Australia segment engages in the finance and investment businesses. The company was formerly known as Orient Leasing Co., Ltd. and changed its name to ORIX Corporation in 1989. ORIX Corporation was incorporated in 1950 and is headquartered in Tokyo, Japan.
IX

Latest News

Caricamento notizie per IX
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ticker IX fair value insiders trading

MFG – Mizuho Financial Group, Inc.

MFG — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.03

Margin Of Safety %

Put/Call OI Ratio

1.22

EPS Next Q Diff

EPS Last/This Y

0.15

EPS This/Next Y

0.09

Price

7.62

Target Price

9.99

Analyst Recom

1.77

Performance Q

2.83

Upside

64.4%

Beta

0.47

Ticker: MFG




15 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-02-27MFG8.890.480.004125
2026-03-03MFG8.20.460.174281
2026-03-04MFG8.20.440.464344
2026-03-06MFG8.060.450.004371
2026-03-09MFG8.110.450.024371
2026-03-10MFG8.270.440.114417
2026-03-11MFG8.020.440.104431
2026-03-12MFG7.720.440.074434
2026-03-13MFG7.720.440.094434
2026-03-17MFG7.80.420.064573
2026-03-18MFG7.740.420.224602
2026-03-20MFG7.570.40100.094712
2026-03-25MFG7.971.232.007076
2026-03-26MFG7.781.230.257079
2026-03-27MFG7.621.220.007086
DateSymbolLatestP/C OIP/C VolTotal OI
15 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-02-27MFG8.88- - 0.60
2026-03-02MFG8.68- - 0.60
2026-03-03MFG8.21- - 0.60
2026-03-04MFG8.21- - 0.60
2026-03-05MFG8.16- - 0.60
2026-03-06MFG8.06- - 0.60
2026-03-09MFG8.12- - 0.60
2026-03-10MFG8.28- - 0.60
2026-03-11MFG8.02- - 0.60
2026-03-12MFG7.73- - 0.60
2026-03-13MFG7.64- - 0.60
2026-03-17MFG7.81- - 0.60
2026-03-18MFG7.74- - 0.60
2026-03-19MFG7.76- - 0.60
2026-03-20MFG7.59- - 0.60
2026-03-23MFG7.76- - 0.60
2026-03-24MFG7.81- - 0.60
2026-03-25MFG7.96- - 0.60
2026-03-26MFG7.78- - 0.60
2026-03-27MFG7.62- - 0.60
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-02-27MFG013.140.04
2026-03-02MFG014.340.04
2026-03-03MFG014.340.04
2026-03-04MFG014.340.04
2026-03-05MFG014.340.04
2026-03-06MFG014.340.04
2026-03-09MFG014.640.04
2026-03-10MFG014.640.04
2026-03-11MFG014.640.02
2026-03-12MFG014.640.02
2026-03-13MFG014.640.02
2026-03-17MFG08.290.02
2026-03-18MFG08.290.02
2026-03-19MFG08.290.02
2026-03-20MFG08.290.02
2026-03-23MFG06.480.02
2026-03-24MFG06.480.02
2026-03-25MFG06.480.03
2026-03-26MFG06.480.03
2026-03-27MFG06.480.03
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

0.16

Avg. EPS Est. Current Quarter

0.1

Avg. EPS Est. Next Quarter

0.16

Insider Transactions

Institutional Transactions

6.48

Beta

0.47

Average Sales Estimate Current Quarter

858551

Average Sales Estimate Next Quarter

915815

Fair Value

Quality Score

51

Growth Score

57

Sentiment Score

97

Actual DrawDown %

25.9

Max Drawdown 5-Year %

-29.5

Target Price

9.99

P/E

13.48

Forward P/E

11.08

PEG

0.63

P/S

1.72

P/B

1.32

P/Free Cash Flow

EPS

0.57

Average EPS Est. Cur. Y​

0.6

EPS Next Y. (Est.)

0.69

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

12.88

Relative Volume

1.11

Return on Equity vs Sector %

-2.1

Return on Equity vs Industry %

-1.6

EPS 1 7Days Diff

EPS 1 30Days Diff

0.03

EBIT Estimation

MFG Financial
$7.63
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
16/20
Pullback
17/25
Volume
4/15
Valuation
13/20
TP/AR
3/10
Options
4/10
RSI
37
Range 1M
7.2%
🚀
Momentum Growth
Ride accelerating trends
N/A
48 /100
WEAK
Momentum
14/25
Growth
17/30
Estimates
4/20
Inst/Vol
9/15
Options
4/10
EPS Yr
26.8%
EPS NY
13.2%
52W%
57.5%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟢 BUY +79.5% upside
Quality
5/30
Valuation
16/30
Growth
15/25
Stability
4/10
LT Trend
1/5
Upside
+79.5%
Quality
51
Mizuho Financial Group, Inc. Sp
Sector: Financial Services
Industry: Banks - Regional
Employees: 52554
Mizuho Financial Group, Inc., together with its subsidiaries, engages in banking, trust banking, securities, and other businesses related to financial services in Japan, the Americas, Europe, Asia/Oceania, and internationally. It operates through Retail & Business Banking Company; Corporate & Investment Banking Company; Global Corporate & Investment Banking Company; Global Markets Company; Asset Management Company; and Others segments. The company provides deposit products; syndicated, housing, and card loans; business matching services; management of retirement payments; and advisory services related to overseas expansions, and mergers and acquisitions-related services. It also offers consulting services, including asset management and asset succession; payroll services; and sells lottery tickets issued by prefectures and ordinance-designated cities. In addition, it offers fund management, underwriting of equity and bonds, risk hedging products; solutions on capital management, business and financial strategy; real estate services; advisory services and solutions, such as advice on financial strategy and proposals on investment products to financial institutions; and financial services that include funding support and public bonds underwriting. Further, the company offers corporate finance and transaction banking services; sales and trading services; investment products; pension funds; and ALM and investment services, including stable capital raising and balance sheet management, as well as management of fixed income, equity, and other securities portfolios. Additionally, it provides online banking, cash management solutions, currency transaction, trade finance, custody, yen correspondence settlement, and research and consulting services; trust, securitization and structured finance, and stock transfer agency; and private banking and information technology-related services. Mizuho Financial Group, Inc. was founded in 2000 and is headquartered in Tokyo, Japan.
MFG

Latest News

Caricamento notizie per MFG
stock quote shares MFG – Mizuho Financial Group, Inc. Stock Price stock today
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stock prices MFG premarket after hours
ticker MFG fair value insiders trading

CAJ – Canon Inc.

CAJ — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.1

Margin Of Safety %

7

Put/Call OI Ratio

EPS Next Q Diff

EPS Last/This Y

EPS This/Next Y

0.1

Price

21.63

Target Price

23

Analyst Recom

3

Performance Q

-7.33

Upside

N/A

Beta

Ticker: CAJ




No data found




No data found




No data found

Last Quarter Act. EPS

Avg. EPS Est. Current Quarter

0.47

Avg. EPS Est. Next Quarter

0.57

Insider Transactions

Institutional Transactions

Beta

Average Sales Estimate Current Quarter

7970

Average Sales Estimate Next Quarter

8160

Fair Value

23.19

Quality Score

86

Growth Score

72

Sentiment Score

49

Actual DrawDown %

42.2

Max Drawdown 5-Year %

-58.4

Target Price

23

P/E

12.43

Forward P/E

11.38

PEG

12.43

P/S

0.01

P/B

0.01

P/Free Cash Flow

EPS

1.74

Average EPS Est. Cur. Y​

1.92

EPS Next Y. (Est.)

1.9

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

Relative Volume

Return on Equity vs Sector %

-53.7

Return on Equity vs Industry %

-25.2

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

CAJ

Latest News

Caricamento notizie per CAJ
stock quote shares CAJ – Canon Inc. Stock Price stock today
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marketwatch CAJ – Canon Inc. yahoo finance google finance
stock history CAJ – Canon Inc. invest stock market
stock prices CAJ premarket after hours
ticker CAJ fair value insiders trading

SONY – Sony Group Corporation

SONY — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.19

Margin Of Safety %

33

Put/Call OI Ratio

0.43

EPS Next Q Diff

-0.19

EPS Last/This Y

0.05

EPS This/Next Y

Price

19.91

Target Price

31.69

Analyst Recom

1.2

Performance Q

-22.57

Upside

-122.1%

Beta

1

Ticker: SONY




20 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-02-27SONY23.070.410.8296149
2026-03-02SONY22.680.420.9893037
2026-03-03SONY21.570.420.9496711
2026-03-04SONY21.980.440.7899748
2026-03-05SONY21.360.460.65104868
2026-03-06SONY21.480.481.21106117
2026-03-09SONY21.620.470.87103388
2026-03-10SONY21.680.470.59104606
2026-03-11SONY21.490.471.33110646
2026-03-12SONY21.440.470.65111058
2026-03-13SONY21.460.470.65111058
2026-03-17SONY20.930.461.03107919
2026-03-18SONY20.380.461.09109245
2026-03-19SONY20.620.462.03110679
2026-03-20SONY20.220.460.98111352
2026-03-23SONY20.680.410.9487787
2026-03-24SONY20.580.410.7190039
2026-03-25SONY20.560.431.0394817
2026-03-26SONY20.030.431.2295741
2026-03-27SONY19.910.430.4896351
DateSymbolLatestP/C OIP/C VolTotal OI
20 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-02-27SONY23.07- -1958.61.25
2026-03-02SONY22.68- -1520.31.25
2026-03-03SONY21.57- -1863.81.25
2026-03-04SONY21.97- -1061.11.25
2026-03-05SONY21.37- -1397.41.25
2026-03-06SONY21.48- -1062.81.25
2026-03-09SONY21.62- -586.91.25
2026-03-10SONY21.68- -531.01.25
2026-03-11SONY21.49- -1162.11.25
2026-03-12SONY21.44- -1310.61.25
2026-03-13SONY21.49- -1324.71.25
2026-03-17SONY20.93- -1169.11.25
2026-03-18SONY20.38- -1269.51.25
2026-03-19SONY20.62- -1136.41.25
2026-03-20SONY20.22- -1286.81.25
2026-03-23SONY20.69- -1055.81.26
2026-03-24SONY20.57- -864.51.26
2026-03-25SONY20.56- -1131.41.26
2026-03-26SONY20.03- -1491.51.26
2026-03-27SONY19.91- -1154.71.26
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-02-27SONY0.000.100.18
2026-03-02SONY0.000.070.18
2026-03-03SONY0.000.070.18
2026-03-04SONY0.000.070.18
2026-03-05SONY0.000.070.18
2026-03-06SONY0.000.070.18
2026-03-09SONY0.00-0.210.18
2026-03-10SONY0.00-0.210.18
2026-03-11SONY0.00-0.210.17
2026-03-12SONY0.00-0.210.17
2026-03-13SONY0.00-0.210.17
2026-03-17SONY0.00-0.440.17
2026-03-18SONY0.00-0.440.17
2026-03-19SONY0.00-0.440.17
2026-03-20SONY0.00-0.440.17
2026-03-23SONY0.00-0.540.17
2026-03-24SONY0.00-0.540.17
2026-03-25SONY0.00-0.540.19
2026-03-26SONY0.00-0.540.19
2026-03-27SONY0.00-0.540.19
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

0.41

Avg. EPS Est. Current Quarter

0.14

Avg. EPS Est. Next Quarter

0.22

Insider Transactions

Institutional Transactions

-0.54

Beta

1

Average Sales Estimate Current Quarter

2878950

Average Sales Estimate Next Quarter

2750220

Fair Value

26.41

Quality Score

61

Growth Score

69

Sentiment Score

50

Actual DrawDown %

34.4

Max Drawdown 5-Year %

-50.5

Target Price

31.69

P/E

Forward P/E

15.08

PEG

2.87

P/S

1.47

P/B

2.28

P/Free Cash Flow

6.45

EPS

-0.2

Average EPS Est. Cur. Y​

1.26

EPS Next Y. (Est.)

1.26

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

-1.43

Relative Volume

0.93

Return on Equity vs Sector %

-56.3

Return on Equity vs Industry %

-131.8

EPS 1 7Days Diff

EPS 1 30Days Diff

0.02

EBIT Estimation

-1154.7
SONY Technology
$19.90
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
20/20
Pullback
21/25
Volume
7/15
Valuation
18/20
TP/AR
2/10
Options
8/10
RSI
32.5
Range 1M
4.3%
Sup Dist
0.1%
🚀
Momentum Growth
Ride accelerating trends
N/A
33 /100
WEAK
Momentum
13/25
Growth
8/30
Estimates
4/20
Inst/Vol
1/15
Options
7/10
EPS Yr
-0.1%
EPS NY
7.4%
52W%
1.2%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟢 BUY +41.3% upside
Quality
7/30
Valuation
16/30
Growth
5/25
Stability
5/10
LT Trend
4/5
Upside
+41.3%
Quality
61
MoS
33%
Sony Group Corporation
Sector: Technology
Industry: Consumer Electronics
Employees: 112300
Sony Group Corporation designs, develops, produces, and sells electronic equipment, instruments, and devices for the consumer, professional, and industrial markets in Japan, the United States, Europe, China, the Asia-Pacific, and internationally. The company distributes software titles and add-on content through digital networks; network services related to game, video, and music content; hardware and home gaming consoles, packaged and game software, and peripheral devices. It also develops, produces, markets, and distributes recorded music; publishes music; and produces and distributes animation titles, game applications, and various services for music and visual products. In addition, the company produces, acquires, and distributes live-action and animated motion pictures for theatrical release, as well as scripted and animated series, unscripted reality or light entertainment, daytime serials, game shows, television movies, and miniseries and other television programs; operation of television networks and direct-to-consumer streaming services; operates a visual effects and animation unit; and manages a studio facility. Further, the company researches, develops, designs, produces, markets, distributes, sells, and services televisions, and video and sound products; interchangeable lens, as well as compact digital, and consumer and professional video cameras; projectors and medical equipment; mobile phones, accessories, and applications; and metal oxide semiconductor image sensors, integration systems, and other semiconductors. Additionally, it offers internet broadband network services; recording media, and storage media products; and life and non-life insurance, banking, and other services, as well as creates and distributes content for PCs and mobile phones. The company was formerly known as Sony Corporation and changed its name to Sony Group Corporation in April 2021. Sony Group Corporation was incorporated in 1946 and is headquartered in Tokyo, Japan.
SONY

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ticker SONY fair value insiders trading

SMFG -Sumitomo Mitsui Financial Group, Inc.

SMFG — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.1

Margin Of Safety %

Put/Call OI Ratio

5

EPS Next Q Diff

0.29

EPS Last/This Y

0.32

EPS This/Next Y

0.17

Price

19.04

Target Price

24.95

Analyst Recom

1.5

Performance Q

-3.35

Upside

73.3%

Beta

0.44

Ticker: SMFG




20 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-02-27SMFG22.440.450.002000
2026-03-02SMFG22.010.450.002003
2026-03-03SMFG20.690.450.002012
2026-03-04SMFG20.760.398.002212
2026-03-05SMFG20.290.43999.992264
2026-03-06SMFG20.080.430.562264
2026-03-09SMFG20.340.431.192281
2026-03-10SMFG20.540.440.222290
2026-03-11SMFG20.080.431.422404
2026-03-12SMFG19.310.430.302408
2026-03-13SMFG19.320.430.302408
2026-03-17SMFG19.580.420.052420
2026-03-18SMFG19.370.400.712504
2026-03-19SMFG19.540.410.182552
2026-03-20SMFG19.060.4092.962570
2026-03-23SMFG19.535.030.527044
2026-03-24SMFG19.585.000.007018
2026-03-25SMFG19.924.950.007030
2026-03-26SMFG19.45.000.027018
2026-03-27SMFG19.055.004.907019
DateSymbolLatestP/C OIP/C VolTotal OI
20 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-02-27SMFG22.45- - 1.48
2026-03-02SMFG22.01- - 1.48
2026-03-03SMFG20.68- - 1.48
2026-03-04SMFG20.76- - 1.48
2026-03-05SMFG20.30- - 1.48
2026-03-06SMFG20.07- - 1.48
2026-03-09SMFG20.35- - 1.48
2026-03-10SMFG20.54- - 1.48
2026-03-11SMFG20.09- - 1.48
2026-03-12SMFG19.31- - 1.48
2026-03-13SMFG19.10- - 1.48
2026-03-17SMFG19.59- - 1.48
2026-03-18SMFG19.38- - 1.48
2026-03-19SMFG19.53- - 1.48
2026-03-20SMFG19.08- - 1.48
2026-03-23SMFG19.53- - 1.48
2026-03-24SMFG19.59- - 1.48
2026-03-25SMFG19.92- - 1.48
2026-03-26SMFG19.39- - 1.48
2026-03-27SMFG19.04- - 1.48
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-02-27SMFG00.070.05
2026-03-02SMFG00.050.05
2026-03-03SMFG00.050.05
2026-03-04SMFG00.050.05
2026-03-05SMFG00.050.05
2026-03-06SMFG00.050.05
2026-03-09SMFG00.040.05
2026-03-10SMFG00.040.05
2026-03-11SMFG00.040.07
2026-03-12SMFG00.040.07
2026-03-13SMFG00.040.07
2026-03-17SMFG00.040.07
2026-03-18SMFG00.040.07
2026-03-19SMFG00.040.07
2026-03-20SMFG00.040.07
2026-03-23SMFG00.070.07
2026-03-24SMFG00.070.07
2026-03-25SMFG00.070.10
2026-03-26SMFG00.070.10
2026-03-27SMFG00.070.10
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

0.16

Avg. EPS Est. Current Quarter

0.17

Avg. EPS Est. Next Quarter

0.45

Insider Transactions

Institutional Transactions

0.07

Beta

0.44

Average Sales Estimate Current Quarter

1182030

Average Sales Estimate Next Quarter

1304140

Fair Value

Quality Score

49

Growth Score

56

Sentiment Score

94

Actual DrawDown %

21.8

Max Drawdown 5-Year %

-26.2

Target Price

24.95

P/E

12.67

Forward P/E

10.74

PEG

0.67

P/S

1.85

P/B

1.22

P/Free Cash Flow

EPS

1.5

Average EPS Est. Cur. Y​

1.48

EPS Next Y. (Est.)

1.65

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

14.84

Relative Volume

0.86

Return on Equity vs Sector %

-2.3

Return on Equity vs Industry %

-1.7

EPS 1 7Days Diff

EPS 1 30Days Diff

EBIT Estimation

SMFG Financial
$19.04
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
16/20
Pullback
13/25
Volume
7/15
Valuation
13/20
TP/AR
4/10
Options
2/10
RSI
36.3
Range 1M
3.4%
🚀
Momentum Growth
Ride accelerating trends
N/A
45 /100
WEAK
Momentum
14/25
Growth
19/30
Estimates
6/20
Inst/Vol
3/15
Options
3/10
EPS Yr
28.1%
EPS NY
11.6%
52W%
57.8%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟢 BUY +73.6% upside
Quality
4/30
Valuation
17/30
Growth
11/25
Stability
5/10
LT Trend
1/5
Upside
+73.6%
Quality
49
Sumitomo Mitsui Financial Group
Sector: Financial Services
Industry: Banks - Diversified
Employees: 123000
Sumitomo Mitsui Financial Group, Inc., together with its subsidiaries, provides banking, leasing, securities, consumer finance, and other services in Japan, the Americas, Europe, the Middle East, Asia, and Oceania. It operates through four segments: Wholesale Business Unit, Retail Business Unit, Global Business Unit, and Global Markets Business Unit. The Wholesale Business Unit segment offers bilateral loans, syndicated loans, commitment lines, structured finance, project finance, and nonrecourse loans; deposits and investment trusts; risk hedging services, including forward exchange contracts and derivatives; stand-by credit, and performance bond and credit guarantee services; remittance, cash management, trade finance, and supply chain finance services; merger and acquisition, and other advisory services; digital services; and equipment, operating and leveraged leasing services. The Retail Business Unit segment provides wealth management services, such as time deposits and foreign currency deposits, investment trusts, equities, bonds, insurance products, and trust services; credit card, installment, and transaction services; and consumer finance and housing loans. The Global Business Unit segment offers loans, deposits, clearing, trade finance, project finance, loan syndication, derivatives, and global cash management services; equity and fixed income sales and trading, and underwriting services; and construction machinery, transportation equipment, industrial machinery, medical equipment, and other leasing services. The Global Markets Business Unit segment provides asset liability management and portfolio management, foreign currency funding, and sales and trading services. The company offers system development, data processing, management consulting, economic research, and asset management services. Sumitomo Mitsui Financial Group, Inc. was incorporated in 2002 and is headquartered in Tokyo, Japan.
SMFG

Latest News

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ticker SMFG fair value insiders trading

NMR – Nomura Holdings, Inc.

NMR — Price & Forward EBITDA
Forward EBITDA (M)

Float Short %

0.07

Margin Of Safety %

Put/Call OI Ratio

0.59

EPS Next Q Diff

-0.01

EPS Last/This Y

0.09

EPS This/Next Y

-0.09

Price

7.57

Target Price

9.61

Analyst Recom

2.14

Performance Q

-8.89

Upside

35.5%

Beta

0.78

Ticker: NMR




20 items of 1

DateSymbolLatestP/C OIP/C VolTotal OI
2026-02-27NMR9.010.12999.991460
2026-03-02NMR8.650.200.001561
2026-03-03NMR8.150.200.121561
2026-03-04NMR8.190.200.001579
2026-03-05NMR7.840.200.501580
2026-03-06NMR7.680.200.001582
2026-03-09NMR7.770.200.011583
2026-03-10NMR7.860.190.001662
2026-03-11NMR7.790.190.001662
2026-03-12NMR7.490.19999.991663
2026-03-13NMR7.490.19999.991663
2026-03-17NMR7.620.19999.991664
2026-03-18NMR7.590.200.001684
2026-03-19NMR7.660.202.501686
2026-03-20NMR7.550.2036.301692
2026-03-23NMR7.840.46999.992044
2026-03-24NMR7.860.5390.002134
2026-03-25NMR7.990.5920.002225
2026-03-26NMR7.730.58999.992206
2026-03-27NMR7.570.592.002217
DateSymbolLatestP/C OIP/C VolTotal OI
20 items Current Page1 of 1




20 items of 1

DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
2026-02-27NMR9.01- - 0.82
2026-03-02NMR8.65- - 0.82
2026-03-03NMR8.15- - 0.82
2026-03-04NMR8.19- - 0.82
2026-03-05NMR7.85- - 0.82
2026-03-06NMR7.68- - 0.82
2026-03-09NMR7.77- - 0.82
2026-03-10NMR7.87- - 0.82
2026-03-11NMR7.80- - 0.82
2026-03-12NMR7.49- - 0.82
2026-03-13NMR7.39- - 0.82
2026-03-17NMR7.62- - 0.82
2026-03-18NMR7.59- - 0.82
2026-03-19NMR7.66- - 0.82
2026-03-20NMR7.54- - 0.83
2026-03-23NMR7.83- - 0.83
2026-03-24NMR7.86- - 0.83
2026-03-25NMR7.99- - 0.83
2026-03-26NMR7.74- - 0.83
2026-03-27NMR7.57- - 0.83
DateTickerPriceCurrent Quarter Growth EstimateEBIT EstimationAverage EPS Estimate Current Year
20 items Current Page1 of 1




20 items of 1

DateTickerInsider TransactionsInstitutional TransactionsFloat Short
2026-02-27NMR00.400.09
2026-03-02NMR0-0.200.09
2026-03-03NMR0-0.200.09
2026-03-04NMR0-0.200.09
2026-03-05NMR0-0.200.09
2026-03-06NMR0-0.200.09
2026-03-09NMR0-0.260.09
2026-03-10NMR0-0.260.09
2026-03-11NMR0-0.260.10
2026-03-12NMR0-0.260.10
2026-03-13NMR0-0.260.10
2026-03-17NMR0-0.150.10
2026-03-18NMR0-0.150.10
2026-03-19NMR0-0.150.10
2026-03-20NMR0-0.150.10
2026-03-23NMR0-0.260.10
2026-03-24NMR0-0.260.10
2026-03-25NMR0-0.260.07
2026-03-26NMR0-0.260.07
2026-03-27NMR0-0.260.07
DateTickerInsider TransactionsInstitutional TransactionsFloat Short
20 items Current Page1 of 1

Last Quarter Act. EPS

0.18

Avg. EPS Est. Current Quarter

0.21

Avg. EPS Est. Next Quarter

0.17

Insider Transactions

Institutional Transactions

-0.26

Beta

0.78

Average Sales Estimate Current Quarter

502253

Average Sales Estimate Next Quarter

504569

Fair Value

Quality Score

47

Growth Score

39

Sentiment Score

97

Actual DrawDown %

21

Max Drawdown 5-Year %

-52.8

Target Price

9.61

P/E

9.57

Forward P/E

9.46

PEG

4.15

P/S

0.7

P/B

0.95

P/Free Cash Flow

EPS

0.79

Average EPS Est. Cur. Y​

0.83

EPS Next Y. (Est.)

0.75

Target Price Estimates Raised

Target Price Estimates Lowered

Profit Margin

7.81

Relative Volume

1.41

Return on Equity vs Sector %

-6.5

Return on Equity vs Industry %

-8.9

EPS 1 7Days Diff

EPS 1 30Days Diff

0.01

EBIT Estimation

NMR Financial
$7.58
📉
Swing / Pullback
Buy the dip on strong trends
N/A
0 /100
WEAK
Trend
14/20
Pullback
13/25
Volume
3/15
Valuation
13/20
TP/AR
3/10
Options
6/10
RSI
38.1
Range 1M
17.2%
🚀
Momentum Growth
Ride accelerating trends
N/A
22 /100
WEAK
Momentum
7/25
Growth
5/30
Estimates
3/20
Inst/Vol
3/15
Options
4/10
EPS Yr
3.7%
EPS NY
-4.3%
52W%
57.8%
💎
Long-Term Value
Quality companies, undervalued
N/A
0 /100
WEAK
🟡 HOLD +28.1% upside
Quality
6/30
Valuation
7/30
Growth
3/25
Stability
2/10
LT Trend
1/5
Upside
+28.1%
Quality
47
Nomura Holdings Inc
Sector: Financial Services
Industry: Capital Markets
Employees: 27242
Nomura Holdings, Inc. engages in the provision of investment, financing, and related services to individual, institutional, and government clients worldwide. It operates through three segments: Wealth Management, Investment Management, and Wholesale. The Wealth Management segment offers investment consultation services. The Investment Management segment provides investment management services and investment solutions, such as establishing and managing investment trusts, discretionary investment services, as well as investment and management for investment vehicles, and for funds for institutional investors, and management of silent partnerships. The Wholesale segment is involved in the sales and trading of debt and equity securities, foreign exchange contracts and derivatives; offers investment banking services, including underwriting and distribution of debt and equity securities, mergers and acquisitions, and financial advisory. The company was formerly known as The Nomura Securities Co., Ltd. and changed its name to Nomura Holdings, Inc. in October 2001. Nomura Holdings, Inc. was incorporated in 1925 and is headquartered in Tokyo, Japan.
NMR

Latest News

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