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ORIX IX

US equityMarket cap rank #369Financial Conglomerates
$36.95 −$0.76 (-2.02%)
Market open · Oct 1, 11:50 am ET · After hours $37.71 0.00%
Open$37.34
Prev close$37.71
Day range$36.78 – $37.30
Volume80.9K
Market cap$40.13B
P/E (TTM)10.4
Dividend yield2.52%

Fundamentals

Latest reported quarter: Q1, ended Jun 2026 · reported in JPY

Revenue¥676.02B+21.0% YoY
Net profit¥284.98B+160.8% YoY
Diluted EPS¥255.56+170.6% YoY
Free cash flow¥66.18B+118.6% YoY
Operating cash flow¥316.82B

Revenue, last 8 quarters

¥363.3BSep '24¥499.0BDec '24¥440.6BMar '25¥558.6BJun '25¥451.5BSep '25¥552.3BDec '25¥606.6BMar '26¥676.0BJun '26

Net profit, last 8 quarters

¥97.0BSep '24¥89.6BDec '24¥79.9BMar '25¥109.3BJun '25¥165.6BSep '25¥120.6BDec '25¥62.9BMar '26¥285.0BJun '26

Diluted EPS by quarter

83.87Sep '2477.88Dec '2470.13Mar '2594.44Jun '25145.47Sep '25106.48Dec '2553.01Mar '26255.56Jun '26

Free cash flow by quarter

¥-255.2BJun '22¥40.1BSep '22¥17.9BDec '22¥30.3BMar '23¥-124.3BJun '23¥57.7BSep '23¥43.0BDec '23¥66.2BMar '24

Annual revenue

¥1.4TFY21¥1.6TFY22¥1.6TFY23¥1.8TFY24¥1.8TFY25¥2.2TFY26

Profitability & balance sheet

Net margin27.2%
Return on equity14.0%
Return on assets3.5%
Liabilities / assets73.5%
Cash & investments¥968.92B
Total debt¥6.31T
Net cash (debt)-¥5.34T

This company reports in its own local currency, not U.S. dollars. Every figure below is labeled with its real currency, not automatically converted.

Income statement

Line item 2027 Q1
(JPY)
2026 ANNUAL
(JPY)
2026 Q4
(JPY)
2026 Q3
(JPY)
2026 Q2
(JPY)
Total Revenue as Reported ¥876.63B ¥3.33T ¥921.92B ¥844.41B ¥817.52B
Total Operating Revenue ¥676.02B ¥2.17T ¥606.58B ¥552.28B ¥451.49B
Net Interest Income ¥27.69B ¥171.68B ¥43.58B ¥44.57B ¥58.83B
-Interest Income ¥72.59B ¥365.57B ¥92.95B ¥95.27B ¥111.13B
-Interest Expense ¥44.90B ¥193.89B ¥49.37B ¥50.71B ¥52.30B
Non-Interest Income ¥648.33B ¥2.00T ¥563.01B ¥507.72B ¥392.66B
-Total Premiums Earned ¥172.54B ¥640.16B ¥169.72B ¥170.73B ¥167.17B
-Fees and Commissions ¥127.24B ¥146.07B ¥29.34B ¥43.41B -¥48.65B
-Other Non-Interest Income ¥163.43B ¥641.19B ¥168.10B ¥163.46B ¥157.55B
-Gain Loss on Sale of Assets ¥185.12B ¥567.95B ¥193.92B ¥130.12B ¥116.60B
Credit Losses Provision ¥538.00M -¥34.02B -¥16.88B -¥7.15B -¥6.75B
Non-Interest Expense ¥529.08B ¥1.60T ¥427.37B ¥420.85B ¥319.92B
Selling and Admin Expenses ¥433.91B ¥1.60T ¥427.37B ¥420.85B ¥403.22B
-General & Admin Expense ¥433.91B ¥1.60T ¥427.37B ¥420.85B ¥403.22B
Other Non-Interest Expenses ¥95.17B – – – –
Other Income (Expense) ¥258.67B ¥160.14B -¥38.62B ¥51.95B ¥120.99B
Income from Associates & Other Participating Interests ¥207.92B ¥123.87B ¥36.15B ¥37.31B ¥30.97B
Special Income (Charges) ¥54.49B ¥95.07B -¥16.26B ¥14.52B ¥91.50B
-Less:Impairment of Capital Assets ¥9.82B ¥16.24B ¥13.85B ¥993.00M ¥393.00M
-Gain on Sale of Business ¥64.31B ¥111.31B -¥2.40B ¥15.52B ¥91.89B
Other Non-Operating Income (Expenses) -¥3.75B -¥58.80B -¥58.52B ¥113.00M -¥1.47B
Pretax Profit ¥406.15B ¥691.43B ¥123.71B ¥176.24B ¥245.82B
Tax ¥125.58B ¥233.10B ¥60.80B ¥55.68B ¥73.40B
Net Profit ¥284.98B ¥458.33B ¥62.91B ¥120.56B ¥165.59B
Profit from Continuing Operations ¥280.57B ¥458.33B ¥62.91B ¥120.56B ¥172.41B
Net Income from Discontinuous Operations ¥4.41B – – – –
Minority Interests ¥4.14B ¥11.06B ¥5.32B ¥1.98B ¥1.78B
Net Income to Parent Company ¥280.83B ¥447.27B ¥57.59B ¥118.58B ¥163.81B
Net Income to Common Stockholders ¥280.83B ¥447.27B ¥57.59B ¥118.58B ¥163.81B
Basic EPS ¥256.07 ¥400.27 ¥53.13 ¥106.72 ¥145.79
Diluted EPS ¥255.56 ¥399.40 ¥53.01 ¥106.48 ¥145.47
Dividend Per Share ¥0.00 ¥151.21 ¥62.23 ¥0.00 ¥88.97
-Dividend Income – ¥1.92B – – –
-Less:Restructuring and Mergern & Acquisition – ¥0.00 – – –

Balance sheet

Line item 2027 Q1
(JPY)
2026 ANNUAL
(JPY)
2026 Q4
(JPY)
2026 Q3
(JPY)
2026 Q2
(JPY)
Total Assets ¥18.26T ¥18.00T ¥18.00T ¥18.13T ¥17.60T
Cash, Cash Equivalents & Federal Funds Sold ¥1.09T ¥1.45T ¥1.45T ¥1.42T ¥1.40T
-Cash and Cash Equivalents ¥968.92B ¥1.33T ¥1.33T ¥1.31T ¥1.28T
-Restricted Cash and Investments ¥122.69B ¥116.15B ¥116.15B ¥113.25B ¥119.81B
Securities Investment ¥3.18T ¥3.31T ¥3.31T ¥3.38T ¥3.39T
-Available for Sale Securities ¥3.18T ¥782.41B ¥782.41B ¥3.38T ¥689.44B
Long Term Equity Investment ¥1.50T ¥1.31T ¥1.31T ¥1.30T ¥1.24T
Net Loan ¥1.47T ¥4.09T ¥4.09T ¥4.24T ¥4.15T
-Gross Loan ¥1.53T ¥4.17T ¥4.17T ¥4.32T ¥4.21T
-Allowance for Loans and Lease Losses ¥67.28B ¥80.19B ¥80.19B ¥73.63B ¥58.99B
Receivables ¥1.70T ¥2.65T ¥2.65T ¥2.61T ¥2.50T
-Accounts Receivable ¥466.57B ¥495.91B ¥495.91B ¥473.94B ¥413.14B
-Other Receivables ¥1.23T ¥2.15T ¥2.15T ¥2.14T ¥2.09T
Net PPE ¥3.09T ¥2.23T ¥2.23T ¥2.24T ¥2.16T
-Gross PPE ¥3.09T ¥2.23T ¥2.23T ¥2.24T ¥2.16T
Assets Held for Sale ¥3.26T – – – –
Other Assets ¥2.97T ¥2.96T ¥2.96T ¥2.93T ¥2.77T
Total Liabilities ¥13.41T ¥13.38T ¥13.38T ¥13.40T ¥13.03T
Total Deposits ¥2.45B ¥2.63T ¥2.63T ¥2.65T ¥2.63T
Short-Term Debt and Capital Lease Obligation ¥582.68B ¥572.24B ¥572.24B ¥691.25B ¥609.88B
-Current Debt ¥582.68B ¥572.24B ¥572.24B ¥691.25B ¥609.88B
Payables ¥1.06T ¥432.74B ¥432.74B ¥1.05T ¥992.38B
-Accounts Payable ¥325.68B ¥356.01B ¥356.01B ¥333.72B ¥317.21B
-Total Tax Payable ¥730.50B ¥76.73B ¥76.73B ¥720.09B ¥675.17B
Long Term Debt and Capital Lease Obligation ¥5.73T ¥5.97T ¥5.97T ¥6.02T ¥5.91T
-Long Term Debt ¥5.73T ¥5.97T ¥5.97T ¥6.02T ¥5.91T
Liabilities of Discontinued Operations ¥3.01T – – – –
Other Liabilities ¥3.04T ¥3.17T ¥3.17T ¥2.98T ¥2.89T
Total Equity ¥4.84T ¥4.62T ¥4.62T ¥4.72T ¥4.57T
Stockholders' Equity ¥4.71T ¥4.48T ¥4.48T ¥4.58T ¥4.44T
Capital Stock ¥221.11B ¥221.11B ¥221.11B ¥221.11B ¥221.11B
-Common Stock ¥221.11B ¥221.11B ¥221.11B ¥221.11B ¥221.11B
Additional Paid-In Capital ¥235.90B ¥235.24B ¥235.24B ¥235.19B ¥235.21B
Retained Earnings ¥3.71T ¥3.50T ¥3.50T ¥3.57T ¥3.56T
Less: Treasury Stock ¥121.12B ¥81.47B ¥81.47B ¥168.53B ¥133.35B
Gains/Losses Not Affecting Retained Earnings ¥659.87B ¥605.11B ¥605.11B ¥723.44B ¥558.62B
Minority Interests ¥132.15B ¥141.31B ¥141.31B ¥138.83B ¥128.37B
-Short Term Investments – ¥2.53T ¥2.53T – ¥2.70T
Non-Current Deferred Liabilities – ¥611.05B ¥611.05B – –
-Trading Securities – – – – ¥834.00M

Cash flow

Line item 2026 ANNUAL
(JPY)
2025 ANNUAL
(JPY)
2024 ANNUAL
(JPY)
2024 Q4
(JPY)
2024 Q3
(JPY)
Operating Cash Flow ¥1.37T ¥1.30T ¥1.24T ¥316.82B ¥335.56B
Net cash flow from continuing operations ¥1.37T ¥1.30T ¥1.24T ¥316.82B ¥335.56B
Net Income from Continuing Operations ¥458.33B ¥351.64B ¥338.59B ¥120.96B ¥86.99B
Gain/Loss from Continuing Operations -¥304.31B -¥214.19B -¥166.33B -¥74.78B -¥39.77B
Depreciation & Depletion & Amortization ¥404.79B ¥399.53B ¥364.24B ¥90.71B ¥95.03B
Deferred Tax ¥90.39B ¥23.35B ¥20.00B – –
Other Non-Cash Items ¥289.39B ¥424.10B ¥435.50B -¥30.74B ¥177.53B
Change in Working Capital ¥380.73B ¥271.12B ¥228.72B ¥182.82B ¥10.08B
-Change in Receivables ¥4.56B -¥2.64B ¥5.24B -¥8.21B -¥8.44B
-Change in Payables and Accrued Expense ¥26.94B -¥13.14B ¥103.45B ¥125.19B ¥14.34B
-Change in Other Current Assets -¥39.82B -¥9.84B -¥58.13B ¥2.69B -¥8.16B
-Change in Other Working Capital ¥389.06B ¥296.75B ¥178.15B ¥63.15B ¥12.34B
Net cash flow from investing -¥1.11T -¥1.31T -¥1.37T -¥157.54B -¥355.38B
Net Cash Flow from Continuing Investing Activities -¥1.11T -¥1.31T -¥1.37T -¥157.54B -¥355.38B
Net PPE Purchase and Sale -¥979.94B -¥983.87B -¥938.15B -¥144.28B -¥251.15B
Net Business Purchase and Sale -¥89.34B ¥21.17B ¥97.04B ¥89.89B ¥14.57B
Net Investment Purchase and Sale ¥107.60B -¥168.26B -¥471.09B -¥122.59B -¥88.52B
Net Income from Loans -¥140.95B -¥203.70B -¥73.15B -¥987.00M -¥35.35B
Net Other Investing Changes -¥12.04B ¥24.97B ¥12.55B ¥20.42B ¥5.06B
Financing Cash Flow -¥160.54B ¥149.32B -¥85.48B -¥32.88B ¥18.06B
Net Cash Flow from Continuing Financing Activities -¥160.54B ¥149.32B -¥85.48B -¥32.88B ¥18.06B
Increase/Decrease in Deposit ¥175.55B ¥204.03B -¥1.57B ¥16.80B ¥5.26B
Net Issuance Payments of Debt -¥6.39B ¥132.65B ¥51.82B -¥57.86B ¥75.97B
Net Common Stock Issuance -¥150.00B -¥53.52B -¥50.00B ¥0.00 -¥18.53B
Cash Dividends Paid -¥170.80B -¥135.59B -¥99.90B ¥0.00 -¥49.69B
Net Other Financing Activities -¥8.90B ¥1.75B ¥14.18B ¥8.18B ¥5.05B
Ending Cash Balance ¥1.45T ¥1.32T ¥1.19T ¥1.19T ¥1.05T
Net Change in Cash ¥94.36B ¥139.82B -¥214.88B ¥126.40B -¥1.77B
Beginning Cash Balance ¥1.32T ¥1.19T ¥1.37T ¥1.05T ¥1.05T
Effect of Exchange Rate Changes ¥34.76B -¥3.14B ¥33.28B ¥13.82B -¥7.37B
Free Cash Flow ¥37.13B -¥57.48B ¥42.53B ¥66.18B ¥43.03B

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