
TSE
52 Week Range
The 52-week range shows the highest and lowest prices a stock has traded at during the past year.
¥1.68K - ¥2.67K
Last Price
52 Week Range
The 52-week range shows the highest and lowest prices a stock has traded at during the past year.
¥1.68K - ¥2.67K
Next Earnings Date
The next earnings date is when a company will release its financial results for the most recent quarter or year.
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Next Earnings Date
The next earnings date is when a company will release its financial results for the most recent quarter or year.
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Last Price
Next Earnings Date
The next earnings date is when a company will release its financial results for the most recent quarter or year.
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Market Cap Market Capitalization (Market Cap) The total market value of a company’s outstanding shares, calculated by multiplying the current share price by the total number of outstanding shares. | ¥75.66B |
EV Enterprise Value (EV) A comprehensive measure of a company's total value, calculated by adding market capitalization and total debt, then subtracting cash and cash equivalents. Unlike market cap, EV reflects the interests of all stakeholders, including shareholders, debt holders, and preferred equity investors, making it a key metric for valuation and financial analysis. | ¥122.31B |
Shares Outstanding Shares Outstanding Shares outstanding are the total number of a company’s shares currently held by all its shareholders, including institutional investors and company insiders. | 39.04M |
Beta Beta (β) A measure of a stock’s volatility relative to the overall market. A beta greater than 1 indicates higher volatility than the market, while a beta less than 1 suggests lower volatility. | 0.18 |
Industry | Financial - Credit Services |
Analyst Rating Analyst Rating Analyst ratings reflect expert opinions on a stock’s investment potential, based on in-depth research and market analysis. Ratings fall into five categories, ranging from most positive to least positive: ✅ Buy – Strongest rating; high confidence in outperformance 🔹 Outperform – Expected to beat the market ⚖️ Hold – Likely to perform in line with the market 🔻 Underperform – Expected to lag behind the market ❌ Sell – Weakest rating; suggests reducing or exiting | BUY |
Analyst Target Price Analyst Price Target The Analyst Price Target is the average forecasted stock price over the next 12 months, based on estimates from professional financial analysts. It reflects their expectations for the stock’s future performance, considering factors like earnings growth, industry trends, and market conditions. | |
Number of Analysts Number of Analysts This refers to the total number of financial analysts who actively follow a company’s stock and provide forecasts, ratings, or reports on its performance. | 1 |
P/E 2026E Forward P/E Ratio The Forward Price-to-Earnings (P/E) Ratio measures a company’s current share price relative to its estimated earnings per share (EPS) for the current unreported year. This valuation metric provides insight into how much investors are willing to pay today for each dollar of projected earnings, offering a forward-looking perspective on the stock's potential growth and valuation. | 12.49x |
P/B 2026E Forward Price-to-Book Ratio (P/B) The Forward Price-to-Book (P/B) Ratio measures a company’s current share price relative to its projected book value per share for the end of the current year. This forward-looking metric provides insight into how much investors are willing to pay today for each dollar of anticipated asset value. | 3.26x |
This refers to the average compound annual growth rate of a company’s financial metric over the past three years (last 3Y CAGR).
Revenue Revenue The total income generated by a company from its core business operations, typically from the sale of goods or services, before any costs or expenses are deducted. | |
EBIT Earnings Before Interest and Taxes (EBIT) A measure of a company’s profitability that reflects earnings generated from operations before accounting for interest expenses and taxes. | |
EPS Earnings Per Share (EPS) Earnings Per Share (EPS) represents a company's net income divided by the number of outstanding shares. EPS is a key metric for evaluating a company's profitability on a per-share basis, providing insight into how much profit is generated for each share owned by investors. | |
BVPS Book Value Per Share (Book Value / Share) A measure of a company’s equity value on a per-share basis, calculated by dividing total equity (assets minus liabilities) by the number of outstanding shares. It represents the net asset value attributable to each share of stock. |
This refers to the projected compound average annual growth rate of a company’s financial metric over the next three years (next 3Y CAGR). It is a forward-looking estimate that provides insight into the expected growth trajectory.
Revenue Revenue The total income generated by a company from its core business operations, typically from the sale of goods or services, before any costs or expenses are deducted. | |
EBIT Earnings Before Interest and Taxes (EBIT) A measure of a company’s profitability that reflects earnings generated from operations before accounting for interest expenses and taxes. | |
EPS Earnings Per Share (EPS) Earnings Per Share (EPS) represents a company's net income divided by the number of outstanding shares. EPS is a key metric for evaluating a company's profitability on a per-share basis, providing insight into how much profit is generated for each share owned by investors. | |
BVPS Book Value Per Share (Book Value / Share) A measure of a company’s equity value on a per-share basis, calculated by dividing total equity (assets minus liabilities) by the number of outstanding shares. It represents the net asset value attributable to each share of stock. |
Ebit Margin 2026E EBIT Margin EBIT margin represents the percentage of a company’s revenue that remains as operating income after accounting for operating expenses but before interest and taxes. It’s calculated by dividing Earnings Before Interest and Taxes (EBIT) by total revenue, reflecting how efficiently a company is managing its operations. | 19.94% |
Net Profit Margin 2026E Net Profit Margin Net profit margin measures the percentage of a company’s revenue that remains as profit after all expenses are deducted. It’s calculated by dividing net income by total revenue. | 14.26% |
ROE 2026E Return on Equity (ROE) ROE measures how effectively a company uses its shareholders’ equity to generate profit. It’s calculated by dividing net income by shareholders’ equity, giving an indication of how efficiently the company is generating returns on the investments made by its shareholders. | 26.00% |
ROA 2026E Return on Assets (ROA) ROA is calculated by dividing net income by total assets, showing how effectively the company is utilizing its resources to produce earnings. | - |
DPS 2026E Dividends Per Share (Dividend / Share) The total dividends paid by a company divided by the number of outstanding shares. DPS represents the amount of earnings distributed to shareholders and is a key metric for evaluating a company’s payout policy. | ¥54.00 |
Payout Ratio 2026E Payout Ratio The percentage of a company’s earnings paid out to shareholders as dividends. It is calculated by dividing total dividends by net income and is used to assess how much of a company’s profit is being returned to investors. | 34.80% |
Div. Yield 2026E Dividend Yield (Div. Yield) Dividend yield is a financial ratio that shows how much a company pays out in dividends each year relative to its stock price. This ratio gives investors an idea of the income they can expect to receive from dividends relative to their investment. | 2.81% |
DPS Last 3Y CAGR Dividends Per Share (DPS) Last 3Y CAGR The Compound Annual Growth Rate (CAGR) of a company’s dividends per share over the last three years. This metric shows how consistently and at what rate a company has increased its dividend payouts, offering insight into its dividend growth history and reliability. |
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Peers refer to companies within the same industry or sector that are similar in size, business model, or market position. Comparing a company’s performance to its peers helps investors assess how well the company is doing relative to others in its field.


Premium Group Co., Ltd.
7199
Sector
Financial Services
Industry
Financial - Credit Services
CEO
Shibata, Yohichi
Employees
814
Website
www.premium-group.co.jpIPO Date
2017-12-21
Headquarters
The Okura Prestige Tower, 19th Floor, 2-10-4, Toranomon, Minato-ku, Tokyo 105-0001, Japan
The last closing price of Premium Group (7199) is ¥1938.00, reflecting a -1.02% change from the prior session. Last updated: January 1, 2026 at 1:34 AM Eastern Time
Review the recent 7199 stock performance trends:Past 1 Month: Premium Group (7199) shares have +4.64%.Past 3 Months: The stock has -10.11%.Past 6 Months: 7199 shares have -7.67%. Last updated: January 1, 2026 at 12:12 AM Eastern Time
Over the last year, Premium Group (7199) has established a 52-week price range between a high of ¥2665.00 and a low of ¥1683.00. This metric is essential for assessing the stock's annual volatility. Last updated: January 1, 2026 at 12:12 AM Eastern Time
Premium Group (7199) is considered a low volatility stock. It has a beta of 0.18, which means it typically moves 0.18 times as much as the broader market. Over the past 52 weeks, 7199 has traded within a ¥1683.00 – ¥2665.00 range. Last updated: January 1, 2026 at 12:12 AM Eastern Time
Based on current 7199 analyst forecasts and market assumptions, the consensus price target for Premium Group (7199) is ¥4700.00 for 2027. Relative to the current price of ¥1938.00, this implies a positive upside of +142.52%. Price targets reflect forward-looking estimates based on information available at the time and are inherently subject to change as underlying assumptions, company fundamentals, or market conditions evolve. Last updated: January 1, 2026 at 1:34 AM Eastern Time
A ¥1,000 investment in Premium Group 5 years ago, when the stock was trading around ¥760.60, would be worth approximately ¥2547.98 today, based solely on share price performance (excluding dividends). This represents a total return of 154.80% over the period, equivalent to a compound annual growth rate (CAGR) of 20.57%. Past performance reflects historical price movements only and does not imply future results. Last updated: January 1, 2026 at 12:12 AM Eastern Time
The current Premium Group (7199) market capitalization is approximately ¥75.66B, based on its latest share price and shares outstanding. Market capitalization represents the total market value of a company's equity and is calculated by multiplying the current stock price by the number of shares outstanding. As a result, Premium Group's market cap fluctuates with changes in its share price and share count. Last updated: January 1, 2026 at 12:12 AM Eastern Time
In the most recently reported quarter, Premium Group (7199) generated ¥10.59B in revenue, representing a +12.47% year over year change. For the next quarter, analyst consensus currently expects revenue of approximately ¥11.00B, implying an expected +17.81% year over year change. Quarterly revenue results and expectations reflect underlying demand trends, pricing dynamics, product or service mix, seasonality, and broader macroeconomic conditions. Actual results may differ from consensus estimates as new information becomes available. Last updated: January 1, 2026 at 4:03 AM Eastern Time
In the most recently reported fiscal year, Premium Group (7199) generated net income of ¥4.65B, compared with ¥4.61B in the prior fiscal year, representing a +0.93% year over year change. For the upcoming fiscal year, analyst consensus currently estimates net income of ¥6.08B. Net income may be positive or negative and can fluctuate materially from year to year due to changes in operating performance, non-recurring or one-time items, accounting treatments, capital structure, and broader macroeconomic conditions. Last updated: January 1, 2026 at 4:03 AM Eastern Time
According to its latest quarterly filing, Premium Group (7199) reported EBITDA of ¥2.51B, representing a -4.92% year over year change. EBITDA is a non-GAAP measure and does not account for depreciation, amortization, interest expense, taxes, or capital expenditures. As a result, it should be considered alongside other financial metrics when assessing operating performance. Actual results may differ from estimates as company-specific or macroeconomic conditions evolve. Last updated: January 1, 2026 at 4:03 AM Eastern Time
As of the most recent reporting period, the company's debt-to-equity ratio stands at 3.09x, calculated as total debt divided by total shareholders' equity. A lower debt-to-equity ratio generally indicates a more conservative capital structure with less reliance on external borrowing, while a higher ratio suggests greater financial leverage and potentially higher sensitivity to interest rates, refinancing conditions, and earnings volatility. The debt-to-equity ratio should be interpreted in the context of the company's industry, business model, cash flow stability, and balance sheet composition. Last updated: January 1, 2026 at 4:03 AM Eastern Time
Based on the latest available data, Premium Group (7199) is currently trading at a last twelve months (LTM) P/E ratio of 16.54x. The P/E ratio reflects how much investors are willing to pay today for a dollar of earnings and can vary meaningfully over time due to changes in profitability, growth expectations, margin outlook, and earnings volatility. Last updated: January 1, 2026 at 4:03 AM Eastern Time
In the most recently reported quarter, Premium Group (7199) revenue was ¥10.59B, compared with analyst consensus expectations of ¥10.80B, representing a -1.94% revenue surprise versus expectations. Earnings per share (EPS) for the quarter were ¥35.72. Revenue and EPS surprises may be positive or negative and can influence near-term stock performance depending on expectations, forward guidance, and broader market and sector conditions. For a detailed history of analyst expectations versus reported results, view the full estimates vs. actuals track record here: 👉 Estimates vs. Actuals Last updated: January 1, 2026 at 4:03 AM Eastern Time
Analyst assessments of whether Premium Group (7199) consensus price target is overvalued or undervalued are generally expressed relative to consensus valuation frameworks and price targets, rather than as an absolute judgment.Current share price: ¥1938.00Consensus price target: ¥4700.00Implied return: +142.52% An implied return above current levels indicates that, on average, analysts view the stock as trading below their estimated fair value. Conversely, an implied return below current levels suggests the stock may be fully valued or priced above consensus expectations. This content is for informational purposes only and does not constitute investment advice. Last updated: January 1, 2026 at 4:03 AM Eastern Time
Based on the latest available analyst coverage, Premium Group (7199) currently carries a Buy consensus rating. Analysts' average 7199 price target is ¥4700.00. Relative to the current share price of ¥1938.00, this suggests a potential price change of approximately +142.52%. Analyst views are forward-looking estimates and should not be considered investment advice. Last updated: January 1, 2026 at 4:03 AM Eastern Time
Like other publicly traded stocks, Premium Group (7199) shares are bought and sold on stock exchanges such as TSE and other supported markets, depending on the listing. The most common way to buy shares is through an online brokerage account. To get started, you typically need to: Open an account with a licensed stock brokerComplete the broker's verification processFund your accountPlace a buy order for Premium Group (7199) shares Trading involves risk, and investors should consider their financial objectives and risk tolerance before investing.
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Premium Group trades under the ticker symbol 7199 on the TSE stock exchange. The ticker 7199 is used to identify the company's common stock across trading platforms, market data providers, and regulatory filings.
As of the most recently reported period, Premium Group (7199) employs approximately 814 people worldwide. Reported employee figures may fluctuate over time due to hiring activity, restructuring, automation initiatives, or changes in business strategy. Headcount data is typically disclosed in company filings and reflects full-time employees unless otherwise stated. Last updated: January 1, 2026 at 12:12 AM Eastern Time
Premium Group (7199) operates in a highly competitive market with companies that often have different business models, geographic exposure, and end markets. While no two companies are identical, the following firms are generally considered the closest Premium Group (7199) stock peers based on overlapping products, services, and competitive dynamics:Cash Converters International (CCV)Strike (6196)Vroom (VRM)Direct Finance of Direct Group (DIFI)Credit Corp Group (CCP)Poonawalla Fincorp (POONAWALLA) These peers may differ in size, business mix, financial profile, and strategic focus, but they are commonly referenced due to overlapping markets, customer segments, or competitive positioning relative to Premium Group.
Market data is sourced from S&P Global Market Intelligence. All insights and analysis are developed by Gainify. Copyright © 2026, S&P Global Market Intelligence. All rights reserved.
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