ORIX CorporationORIX CorporationORIX Corporation

ORIX Corporation

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EPS estimate
Revenue estimate
Market capitalization
‪33.46 B‬USD
2.80USD
‪2.31 B‬USD
‪18.85 B‬USD
‪1.11 B‬
Beta (1Y)
0.60

About ORIX Corporation


Sector
CEO
Hidetake Takahashi
Website
Headquarters
Tokyo
Founded
1964
IPO date
Apr 10, 1971
Identifiers
3
ISIN US6863301015
ORIX Corp. engages in the provision of leasing and corporate financial services. It operates through the following segments: Corporate Financial Services, Maintenance Leasing, Real Estate, Investment and Operation, Retail, and Overseas Business. The Corporate Financial Services segment offers leasing and loans to small and medium-sized enterprises. The Maintenance Leasing segment consists of automobile leasing, car sharing, and equipment rental services. The Real Estate segment deals with property development, leasing, and facilities management. The Investment and Operation segment comprises of environment and energy-related business, loan servicing, and principal investments. The Retail segment offers life insurance, banking, and card loan services. The Overseas Business segment engages in financial services through overseas subsidiaries, business development and investment with business partners abroad, and aircraft and ship-related businesses. The company was founded on April 17, 1964 and is headquartered in Tokyo, Japan.

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Neutral
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Strong sellSellNeutralBuyStrong buy
Neutral
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Neutral
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Displays a symbol's price movements over previous years to identify recurring trends.
6.503% YTM
Maturity date Apr 20, 2026
Coupon 1.92% (Fixed)
4.900% YTM
Maturity date Feb 25, 2035
Coupon 5.40% (Fixed)
4.490% YTM
Maturity date Sep 13, 2032
Coupon 5.20% (Fixed)
4.331% YTM
Maturity date Mar 9, 2031
Coupon 2.25% (Fixed)
4.317% YTM
Maturity date Apr 13, 2032
Coupon 4.00% (Fixed)
4.265% YTM
Maturity date Sep 9, 2030
Coupon 4.45% (Fixed)
4.059% YTM
Maturity date Jul 18, 2027
Coupon 3.70% (Fixed)
4.001% YTM
Maturity date Jan 19, 2027
Coupon 3.95% (Fixed)
3.997% YTM
Maturity date Sep 13, 2027
Coupon 5.00% (Fixed)
3.744% YTM
Maturity date Sep 10, 2029
Coupon 4.65% (Fixed)
3.488% YTM
Maturity date Oct 22, 2031
Coupon 3.45% (Fixed)

See all IX bonds 

Weight 0.16%
Market value ‪23.23 M‬
Weight 0.29%
Market value ‪3.40 M‬
Weight 0.20%
Market value ‪2.05 M‬
Weight 0.06%
Market value ‪1.53 M‬
Weight 0.31%
Market value ‪1.33 M‬
Weight 1.88%
Market value ‪502.54 K‬
Weight 0.06%
Market value ‪304.93 K‬
Weight 2.37%
Market value ‪105.85 K‬

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