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Sbi Holdings Inc (SBHGF)

Sbi Holdings Inc (SBHGF)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
SBI Holdings, Inc. is engaged in providing securities business, banking business and other financial services. The Company has established an Internet-based financial conglomerate. Its Asset Management Business segment establishes, manages, and operates funds and provides investment management and advisory services. Its Brokerage and Investment Banking Business segment provides financial products such as securities, underwrites initial public offering stocks and corporate bonds. The Company's Financial Services Business segment provides various financial business services, including banking, credit cards, leasing, online settlement services for EC business operators and nonlife insurance products and evaluation of investment trusts. Its Housing and Real Estate Business segment engages in the real estate investment, real estate development, consignment of constructions, subdivision of housing, and operation of real estate funds. SBI Holdings, Inc. is headquartered in Tokyo, Japan.

Fiscal Year End Date: 03/31

(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Sales 9,528,640 8,352,480 7,389,340 6,796,200 5,086,760
Sales Growth +14.08% +13.03% +8.73% +33.61% +50.22%
Net Income 1,069,990 601,980 259,000 3,265,000 762,320
Net Income Growth +77.75% +132.42% -92.07% +328.30% +121.04%
(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Total Assets 211,948,594 187,261,797 165,099,406 158,760,000 67,760,578
Total Assets Growth +13.18% +13.42% +3.99% +134.30% +33.59%
Total Liabilities 200,307,594 174,101,094 152,159,297 144,669,000 61,019,879
Total Liabilities Growth +15.05% +14.42% +5.18% +137.09% +34.82%
(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Operating Cash Flow 9,957,720 9,285,610 7,109,500 -2,795,010 -1,676,990
Operating Cash Flow Growth +7.24% +30.61% +354.36% -66.67% -778.92%
Net Cash Flow 6,073,410 9,517,990 5,191,440 15,100,340 -385,900
Change in Net Cash Flow -36.19% +83.34% -65.62% +4,013.02% -132.32%
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