Loading...
XNYSMFG
Market cap61bUSD
Dec 20, Last price  
4.82USD
1D
-1.03%
1Q
15.59%
Jan 2017
34.26%
Name

Mizuho Financial Group Inc

Chart & Performance

D1W1MN
XNYS:MFG chart
P/E
2.83
P/S
0.24
EPS
267.77
Div Yield, %
1,920.98%
Shrs. gr., 5y
-0.02%
Rev. gr., 5y
26.55%
Revenues
3.12t
+14.79%
1,106,432,000,0002,350,488,000,0002,575,981,000,0002,502,967,000,0001,605,300,000,0002,306,062,000,0002,293,180,000,0002,491,252,000,0002,430,070,000,0002,366,407,000,0002,614,532,000,0002,627,664,000,0002,531,191,000,0002,421,774,000,0002,459,507,000,0002,479,820,000,0002,628,112,000,0002,709,059,000,0002,719,745,000,0003,122,105,000,000
Net income
678.99b
+22.23%
627,383,000,000649,903,000,000620,965,000,000311,224,000,000-1,058,447,000,000239,404,000,000413,228,000,000484,519,000,000560,516,000,000688,415,000,000611,935,000,000670,943,000,000603,544,000,000576,547,000,00096,566,000,000448,568,000,000471,020,000,000530,479,000,000555,527,000,000678,993,000,000
CFO
1.88t
-78.74%
4,418,016,000,000-1,669,128,000,000-3,104,934,000,000170,714,000,0003,497,422,000,00013,432,719,000,0006,051,517,000,000-1,789,431,000,0005,858,617,000,000-2,286,042,000,0006,654,958,000,0004,104,197,000,0004,690,131,000,0002,966,701,000,000-2,636,096,000,0001,901,893,000,00016,613,235,000,0004,917,186,000,0008,867,246,000,0001,884,978,000,000
Dividend
Mar 27, 20240.06 USD/sh
Earnings
Jan 31, 2025

Profile

Mizuho Financial Group, Inc., together with its subsidiaries, engages in banking, trust, securities, and other businesses related to financial services in Japan, the Americas, Europe, Asia/Oceania, and internationally. It operates through five segments: Retail & Business Banking Company, Corporate & Institutional Company, Global Corporate Company, Global Markets Company, and Asset Management Company. The company provides deposit products; syndicated, housing, and card loans; business matching services; 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 financial solutions, such as bonds, mergers and acquisitions advisory, risk hedging products, etc. for corporate customers to meet their needs in fund-raising, investment management, and financial strategies; solutions based on their capital management, business strategy, and financial strategy; real estate agency services; advisory services and solutions, such as advice on proposals on various investment products to financial institutions; and financial services that include funding support and public bonds underwriting. Further, the company offers sales and trading services to meet needs for customers; investment products for individual customers; and consulting services for institutional investors. Additionally, the company provides products and services related to trust, securitization and structured finance, pension, and stock transfers; securities services; and research, private banking, and information technology-related services. Mizuho Financial Group, Inc. was incorporated in 2003 and is headquartered in Tokyo, Japan.
IPO date
Mar 12, 2003
Employees
51,212
Domiciled in
JP
Incorporated in
JP

Valuation

Title
JPY in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑032023‑032022‑032021‑032020‑032019‑032018‑032017‑032016‑032015‑03
Income
Revenues
3,122,105,000
14.79%
2,719,745,000
0.39%
2,709,059,000
3.08%
Cost of revenue
(3,224,196,000)
1,445,283,000
1,392,896,000
Unusual Expense (Income)
NOPBT
6,346,301,000
1,274,462,000
1,316,163,000
NOPBT Margin
203.27%
46.86%
48.58%
Operating Taxes
271,735,000
218,834,000
60,688,000
Tax Rate
4.28%
17.17%
4.61%
NOPAT
6,074,566,000
1,055,628,000
1,255,475,000
Net income
678,993,000
22.23%
555,527,000
4.72%
530,479,000
12.62%
Dividends
(234,786,000)
(209,457,000)
(196,783,000)
Dividend yield
3.04%
4.40%
4.95%
Proceeds from repurchase of equity
(616,000)
(699,000)
(1,054,000)
BB yield
0.01%
0.01%
0.03%
Debt
Debt current
2,826,670,000
3,596,984,000
3,053,909,000
Long-term debt
18,111,093,000
16,067,844,000
17,899,449,000
Deferred revenue
(28,704,409,000)
Other long-term liabilities
250,344,720,000
(16,003,810,000)
28,704,409,000
Net debt
(103,013,969,000)
(106,091,640,000)
(85,010,637,000)
Cash flow
Cash from operating activities
1,884,978,000
8,867,246,000
4,917,186,000
CAPEX
(63,123,000)
(183,176,000)
(139,261,000)
Cash from investing activities
1,982,207,000
6,605,667,000
(1,860,490,000)
Cash from financing activities
(230,990,000)
(611,143,000)
(522,056,000)
FCF
(130,143,633,000)
123,716,944,000
(117,251,859,000)
Balance
Cash
71,165,815,000
67,152,100,000
51,359,301,000
Long term investments
52,785,917,000
58,604,368,000
54,604,694,000
Excess cash
123,795,626,750
125,620,480,750
105,828,542,050
Stockholders' equity
9,191,803,000
8,087,973,000
8,083,953,000
Invested Capital
272,307,018,000
246,089,124,000
228,891,304,000
ROIC
2.34%
0.44%
0.56%
ROCE
2.25%
0.50%
0.56%
EV
Common stock shares outstanding
2,534,675
2,534,355
2,534,962
Price
3,046.00
62.19%
1,878.00
19.85%
1,567.00
-2.00%
Market cap
7,720,620,050
62.21%
4,759,518,690
19.82%
3,972,285,454
-2.03%
EV
(95,213,757,950)
(101,256,958,310)
(80,914,796,546)
EBITDA
6,524,494,000
1,441,399,000
1,481,801,000
EV/EBITDA
Interest
4,884,924,000
2,217,636,000
315,550,000
Interest/NOPBT
76.97%
174.01%
23.97%