6632
JVCKENWOOD Corporation
株式会社JVCケンウッド
Electric Appliances
JVCKENWOOD Corporation manufactures and sells products in the mobility and telematics services, public service, and media service sectors in Japan and internationally. The Mobility & Telematics Services Sector segment manufactures and sells car AV systems, car navigation systems, car audio systems, dashcams, in-vehicle devices, etc., as well as telematics solutions. The Safety and Security segment manufactures and sells professional wireless communications devices, video surveillance and audio equipment, medical image display monitors, etc. The Entertainment segment offers professional video cameras, projectors, headphones, commercial video cameras, home audio equipment, portable power supplies, etc.; CDs and DVDs (packaged software), etc.; and audio and video software, content distribution, etc. The Others segment provides service parts, etc. The company also provides contract manufacturing service of electronic devices. The company sells its products under the JVC, Victor, and KENWOOD brands. The company was formerly known as JVC KENWOOD Holdings, Inc. and changed its name to JVCKENWOOD Corporation in August 2011. The company was founded in 1927 and is headquartered in Yokohama, Japan.
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Overview
Filings & Signals
Ownership
Financials
▾ Collapse Charts
Income Statement
Balance Sheet
Cash Flow
Ratios & Per Share
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Net Sales
¥356.9B
¥356.9B
¥359.5B
¥336.9B
¥282.1B
Cost of Sales
¥246.5B
¥246.5B
¥250.7B
¥241.7B
¥206.3B
Gross Profit
¥110.4B
¥110.4B
¥108.8B
¥95.2B
¥75.8B
SG&A
¥89.5B
¥89.5B
¥89.1B
¥79.4B
¥68.6B
Operating Income
¥20.5B
¥20.5B
¥18.2B
¥21.6B
¥9.1B
Non-Operating Income
—
¥1.2B
¥957M
¥454M
¥342M
Non-Operating Expenses
—
¥1.4B
¥1.5B
¥1.2B
¥1.1B
Ordinary Income
¥20.5B
¥21.8B
—
—
—
Pre-tax Income
¥21.7B
¥21.7B
¥18.2B
¥21.2B
¥8.5B
Net Income (owners)
¥16.8B
¥16.8B
¥13.0B
¥16.2B
¥5.9B
Minority Interest
—
¥747M
¥875M
¥615M
¥496M
Comprehensive Income
—
¥17.8B
¥26.3B
¥21.2B
¥16.7B
EBITDA
¥38.5B
¥38.5B
¥36.4B
¥39.2B
¥26.2B
EPS
¥115.21
¥115.21
¥84.34
¥99.27
¥35.89
Shares Outstanding
—
149.7M
152.3M
163.9M
163.9M
Shares Issued (total)
—
164.0M
164.0M
164.0M
164.0M
Treasury Shares
—
14.3M
11.7M
0.1M
0.1M
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Total Assets
¥347.6B
¥347.6B
¥316.8B
¥299.4B
¥280.8B
Current Assets
¥217.6B
¥217.6B
¥206.0B
¥197.2B
¥176.8B
Cash & Deposits
¥65.7B
¥65.7B
¥57.9B
¥56.2B
¥48.7B
Non-Current Assets
¥130.0B
¥130.0B
¥110.8B
¥102.2B
¥104.0B
PP&E
¥64.9B
¥64.9B
¥62.0B
¥54.7B
¥56.2B
Goodwill
—
¥886M
¥2.7B
¥2.4B
¥2.2B
Intangible Assets
—
¥22.9B
¥18.0B
¥18.1B
¥18.6B
Deferred Tax Assets
—
¥8.8B
¥6.2B
¥6.1B
¥5.4B
Total Liabilities
¥197.9B
¥197.9B
¥195.6B
¥195.6B
¥196.8B
Current Liabilities
¥117.2B
¥117.2B
¥121.7B
¥123.8B
¥106.2B
ST Debt
¥18.6B
¥18.6B
¥19.2B
¥26.3B
¥17.9B
Non-Current Liabilities
¥80.7B
¥80.7B
¥73.9B
¥71.8B
¥90.6B
Total LT Borrowings
¥50.0B
¥50.0B
¥38.1B
¥36.2B
¥51.9B
Deferred Tax Liab.
—
¥2.3B
¥2.7B
¥3.0B
¥3.1B
Total Equity
¥149.7B
¥149.7B
¥121.2B
¥103.7B
¥84.0B
Capital Surplus
—
¥42.4B
¥42.2B
¥42.0B
¥42.1B
Retained Earnings
¥72.8B
¥72.8B
¥40.0B
¥28.8B
¥13.3B
Treasury Stock
—
¥-11.6B
¥-7.1B
¥-140M
¥-140M
AOCI
—
¥22.6B
¥26.1B
¥14.5B
¥10.5B
Equity (owners)
¥143.8B
¥143.8B
¥114.8B
¥98.8B
¥79.5B
Minority Interests
—
¥6.3B
¥6.4B
¥4.9B
¥4.5B
Total Interest-Bearing Debt ⓘ
¥68.6B
¥68.6B
¥57.3B
¥62.5B
¥69.8B
Net Cash ⓘ
¥-2.9B
¥-2.9B
¥577M
¥-6.3B
¥-21.1B
NCAV ⓘ
¥19.7B
¥19.7B
¥10.5B
¥1.6B
¥-20.0B
NCAV/Share
—
¥132
¥69
¥10
¥-122
BV/Share
—
¥961
¥754
¥603
¥485
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Operating CF
¥33.8B
¥33.8B
¥33.2B
¥26.6B
¥7.1B
D&A
¥18.0B
¥18.0B
¥18.2B
¥17.6B
¥17.1B
Investing CF
¥-22.3B
¥-22.3B
¥-16.1B
¥-7.3B
¥-9.8B
CapEx
¥9.8B
¥9.8B
¥11.7B
¥7.4B
¥6.3B
Financing CF
¥1.8B
¥1.8B
¥-19.4B
¥-14.0B
¥-11.3B
Free Cash Flow
¥23.9B
¥23.9B
¥21.5B
¥19.2B
¥802M
Net Change in Cash
—
¥-9.3B
¥1.7B
¥7.5B
¥-10.9B
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
ROE
11.2%
12.4%
11.6%
17.3%
7.0%
ROA
4.8%
5.1%
4.2%
5.6%
2.1%
EPS
¥115.21
¥115.21
¥84.34
¥99.27
¥35.89
DPS
¥6.00
¥6.00
¥12.00
¥12.00
¥6.00
BPS
¥1,017.71
¥1,017.71
—
—
—
FCF/Share
—
¥160
¥141
¥117
¥5
NCAV/Share
—
¥132
¥69
¥10
¥-122
Payout Ratio
5.2%
5.2%
14.2%
12.1%
16.7%
Event Timeline
S Shareholder
A Capital Signal
▾ Hide Chart
Large Shareholder Reports 10
Date Activist Stake Event Flag Demands Source
2026-05-22
Asset Management One Co., Ltd.
7.64%
-0.15%
change
Passive
—
2026-05-19
Nomura Securities Co.,Ltd.
5.25%
+0.07%
change
Passive
—
2026-05-07
Nomura Securities Co.,Ltd.
5.18%
-0.13%
change
Passive
—
2025-12-19
Nomura Securities Co.,Ltd.
5.31%
initial_5pct
Passive
—
2025-11-21
Asset Management One Co., Ltd.
7.79%
change
Passive
—
2025-08-04
Mitsubishi UFJ Financial Group Inc.
3.93%
-1.13%
change
Passive
—
2025-06-02
Mitsubishi UFJ Financial Group Inc.
5.06%
initial_5pct
Passive
—
2024-05-08
Sumitomo Mitsui DS Asset Management Company, Limited
3.82%
-1.24%
change
Passive
—
2023-08-04
Sumitomo Mitsui DS Asset Management Company, Limited
5.06%
initial_5pct
Passive
—
2023-07-06
Sumitomo Mitsui Trust Asset Management Co.,Ltd.
4.39%
change
Passive
—
Capital Allocation Signals 1
Date
Type
Amount
Summary
2026-05-13
15:45
Div Increase
¥1.7B ¥12.0/sh
+20%
JVC JVCKENWOOD announced a FY2026 year-end dividend of ¥12.00 per share (total ¥1,704M), representing a 20% increase fro…
Summary
JVC JVCKENWOOD announced a FY2026 year-end dividend of ¥12.00 per share (total ¥1,704M), representing a 20% increase from prior year's ¥10.00 DPS. The company also guided FY2027 annual dividend to ¥20.00 per share (¥10 interim + ¥10 year-end), a ¥2.00 increase, reflecting stronger profitability and revised shareholder return policy under the new VISION2030 mid-term plan targeting 30-45% total payout ratio.
Deadline: 2026-05-27
YoY: +20%
Source (JP)
2026年3月期の期末配当金は1株当たり12円(普通配当)としました。2027年3月期の配当は年間配当予想は2円の増配となる1株当たり20円(中間配当金:10円、期末配当金:10円)としています。
Top 10 Shareholders
Ownership DNA
Cross-Holdings Tracker 3
#
Shareholder
Shares (thou.)
% of Total
1
Japan Master Trust Bank
日本マスタートラスト信託銀行株式会社(信託口)
24,491
16.36%
2
Japan Custody Bank
株式会社日本カストディ銀行(信託口)
11,470
7.66%
3
State Street Bank and Trust Company
STATE STREET BANK AND TRUST COMPANY 505001
6,043
4.04%
4
JP MORGAN CHASE BANK
JP MORGAN CHASE BANK 385632
5,873
3.92%
5
STATE STREET BANK AND TRUST COMPANY
STATE STREET BANK AND TRUST COMPANY 505223
5,518
3.69%
6
BNY GCM CLIENT ACCOUNT JPRD AC ISG (FE-AC)
4,737
3.16%
7
MSIP CLIENT SECURITIES
MSIP CLIENT SECURITIES
4,617
3.08%
8
THE BANK OF NEW YORK MELLON
THE BANK OF NEW YORK MELLON 140044
3,335
2.23%
9
THE BANK OF NEW YORK MELLON
THE BANK OF NEW YORK MELLON 140040
2,591
1.73%
10
GOVERNMENT OF NORWAY
GOVERNMENT OF NORWAY
2,331
1.56%
Domestic Nominees
24.0%
+0.3% vs 2024
Trust bank custodians — GPIF, pensions, investment trusts
Foreign Custodians
15.6%
+4.4% vs 2024
Sub-custodians for foreign asset managers
Direct / Strategic
7.8%
+1.1% vs 2024
Named entities with disclosed investment intent
Shareholder
Trend
2023
2024
2025
Japan Master Trust Bank
日本マスタートラスト信託銀行
15.53%
16.38%
16.36%
-0.02%
State Street
—
2.98%
7.73%
+4.75%
Japan Custody Bank
日本カストディ銀行
7.08%
7.37%
7.66%
+0.29%
BNY Mellon
1.75%
3.94%
3.96%
+0.02%
JP Morgan
2.43%
4.30%
3.92%
-0.38%
BNY GCM CLIENT ACCOUNT JPRD AC ISG (FE-AC)
NEW ENTRY
—
—
—
3.16%
NEW
MSIP CLIENT SECURITIES
—
2.54%
3.08%
+0.54%
GOVERNMENT OF NORWAY
—
2.72%
1.56%
-1.16%
JPモルガン証券
last seen 2024
Exited Top 10
1.77%
1.44%
—
式会社SBI証券
last seen 2023
Exited Top 10
3.04%
—
—
JPLLC-CL JPY
last seen 2023
Exited Top 10
1.99%
—
—
Interactive Brokers
last seen 2023
Exited Top 10
1.71%
—
—
UBS
last seen 2023
Exited Top 10
1.48%
—
—
BCSL CLIENT RE BBPLC NYBR
last seen 2023
Exited Top 10
1.60%
—
—
Concentration (HHI)
ⓘ
324
381
439
3 fiscal years · top-10 holders per year · >2,500 HHI = high concentration · entity-resolved
Portfolio Book Value
¥2,240M
+56% since 2023
Holdings
3
+1 new
Trend
Stable
vs 2023
Held Company
FY2025
¥2,240M total
FY2023
¥1,440M total
Book Val ¥M
Shares
Book Val ¥M
Shares
ICOM INCORPORATED
アイコム株式会社
1,225
445,500
1,126
445,500
M
HOCHIKI CORPORATION
ホーチキ株式会社
510
203,000
314
203,000
Science Arts, Inc.
株式会社サイエンスアーツ
505
NEW
New
655,000
—
Portfolio total
2,240
1,440
Book value in ¥M · ↓ reduced · ↑ increased vs prior year · M = mutual holding