
Last Price
52 Week Range
¥530.00 - ¥761.00
Next Earnings Date
Jan 29 2026 (Estimate)
Next Earnings Date
Jan 29 2026 (Est.)
Last Price
Market Cap | ¥150.46B |
EV | - |
Shares Outstanding | 200.08M |
Beta | 0.38 |
Industry | Financial - Capital Markets |
Analyst Rating | NO_OPINION |
Analyst Target Price | - |
Number of Analysts | 0 |
P/E 2026E | - |
P/B 2026E | - |
Revenue | |
EBIT | |
EPS | |
BVPS |
Revenue | |
EBIT | |
EPS | |
BVPS |
Ebit Margin 2026E | 9.33% |
Net Profit Margin 2026E | 9.33% |
ROE 2026E | - |
ROA 2026E | - |
DPS 2026E | - |
Payout Ratio 2026E | - |
Div. Yield 2026E | - |
DPS Last 3Y CAGR |
Price
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Okasan Securities Group Inc.
8609
Sector
Financial Services
Industry
Financial - Capital Markets
CEO
Shinshiba, Hiroyuki
Employees
3,343
Website
www.okasan.jpIPO Date
2001-01-01
Headquarters
2-2-1 Nihonbashi Muromachi,, Chuo-ku, Tokyo 103-0022, Japan
The last closing price of Okasan Securities Group (8609) is ¥752.00, reflecting a -0.92% change from the prior session. Last updated: January 1, 2026 at 1:34 AM Eastern Time
Review the recent 8609 stock performance trends:Past 1 Month: Okasan Securities Group (8609) shares have +4.01%.Past 3 Months: The stock has +9.94%.Past 6 Months: 8609 shares have +11.90%. Last updated: January 1, 2026 at 12:14 AM Eastern Time
Over the last year, Okasan Securities Group (8609) has established a 52-week price range between a high of ¥761.00 and a low of ¥530.00. This metric is essential for assessing the stock's annual volatility. Last updated: January 1, 2026 at 12:14 AM Eastern Time
Okasan Securities Group (8609) is considered a low volatility stock. It has a beta of 0.38, which means it typically moves 0.38 times as much as the broader market. Over the past 52 weeks, 8609 has traded within a ¥530.00 – ¥761.00 range. Last updated: January 1, 2026 at 12:14 AM Eastern Time
A ¥1,000 investment in Okasan Securities Group 5 years ago, when the stock was trading around ¥375.02, would be worth approximately ¥2005.24 today, based solely on share price performance (excluding dividends). This represents a total return of 100.52% over the period, equivalent to a compound annual growth rate (CAGR) of 14.93%. Past performance reflects historical price movements only and does not imply future results. Last updated: January 1, 2026 at 12:14 AM Eastern Time
The current Okasan Securities Group (8609) market capitalization is approximately ¥150.46B, 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, Okasan Securities Group's market cap fluctuates with changes in its share price and share count. Last updated: January 1, 2026 at 12:14 AM Eastern Time
In the most recently reported quarter, Okasan Securities Group (8609) generated ¥23.03B in revenue, representing a +15.33% 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 4:09 AM Eastern Time
In the most recently reported fiscal year, Okasan Securities Group (8609) generated net income of ¥11.65B, compared with ¥13.17B in the prior fiscal year, representing a -11.51% year over year change. For the upcoming fiscal year, analyst consensus currently estimates net income of ¥7.00B. 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 4:09 AM Eastern Time
As of the most recent reporting period, the company's debt-to-equity ratio stands at 2.36x, 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 4:09 AM Eastern Time
Based on the latest available data, Okasan Securities Group (8609) is currently trading at a last twelve months (LTM) P/E ratio of 13.53x. 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 4:09 AM Eastern Time
Okasan Securities Group (8609) is currently scheduled to report its next earnings results on January 28, 2026. Earnings dates are subject to change and may be updated by the company with limited notice. Investors typically monitor upcoming earnings releases closely, as they can result in increased volatility depending on reported results, forward guidance, and management commentary. Last updated: January 1, 2026 at 12:14 AM Eastern Time
In the most recently reported quarter, Okasan Securities Group (8609) revenue was ¥23.03B. Earnings per share (EPS) for the quarter were ¥22.36. 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 4:09 AM Eastern Time
Based on the latest available analyst coverage, Okasan Securities Group (8609) currently carries a NO_OPINION consensus rating. Analyst views are forward-looking estimates and should not be considered investment advice. Last updated: January 1, 2026 at 4:09 AM Eastern Time
Like other publicly traded stocks, Okasan Securities Group (8609) 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 Okasan Securities Group (8609) shares Trading involves risk, and investors should consider their financial objectives and risk tolerance before investing.
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Okasan Securities Group trades under the ticker symbol 8609 on the TSE stock exchange. The ticker 8609 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, Okasan Securities Group (8609) employs approximately 3,343 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 12:14 AM Eastern Time
Okasan Securities Group (8609) 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 Okasan Securities Group (8609) stock peers based on overlapping products, services, and competitive dynamics:Nanjing Securities (601990)First Capital Securities (002797)Cinda Securities (601059)China Great Wall Securities (002939)Tianfeng Securities (601162)Nihon M&A Center Holdings (2127)Shanghai Chinafortune (600621)Tokai Tokyo Financial Holdings (8616)BOC International (China) (601696)Shanxi Securities (002500) 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 Okasan Securities 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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