8473
SBI Holdings, Inc.
SBIホールディングス株式会社
Securities & Commodity Futures
SBI Holdings, Inc. engages in investment businesses in Japan and internationally. The company operates through five business segments: Financial Services Business, Asset Management Business, PE Investment Business, Crypto-Asset Business, and Next Gen Business segments. Its Financial Services Business segment consists of a range of finance-related business, including securities brokerage business; banking services business; and life, property, and casualty insurance businesses. The Asset Management Business segment includes setting, solicitation, and management of investment trust; investment advice; and financial products information. Its PE Investment Business segment includes fund management and investment in Internet technology, fintech, blockchain, finance, and biotechnology-related venture companies. The Crypto-asset Business segment provides crypto-asset exchange and trading services. Its Next Gen Business engages in development and distribution of pharmaceutical products, health foods, and cosmetics with 5-aminolevulinic acid; business working on advanced fields related to Web 3, renewable energy business, human resources-related business, and media-related business. The company was formerly known as Softbank Investment Corporation and changed its name to SBI Holdings, Inc. in July 2005. SBI Holdings, Inc. was incorporated in 1999 and is headquartered in Minato, 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
¥1,896.6B
¥1,443.7B
¥1,210.5B
¥998.6B
¥763.6B
Cost of Sales
¥366.0B
¥366.0B
¥265.9B
¥282.7B
¥221.8B
SG&A
¥518.4B
¥518.4B
¥405.8B
¥384.6B
¥229.8B
Operating Income
¥516.7B
¥282.3B
—
—
—
Ordinary Income
¥430.5B
¥189.2B
—
—
—
Pre-tax Income
¥516.7B
¥516.7B
¥141.6B
¥100.8B
¥412.7B
Net Income (owners)
¥427.6B
¥427.6B
¥87.2B
¥35.0B
¥366.9B
Minority Interest
—
¥27.0B
¥26.4B
¥36.0B
¥-11.1B
Comprehensive Income
—
¥114.9B
¥190.4B
¥87.3B
¥380.8B
EPS
¥666.82
¥666.82
¥316.43
¥132.19
¥1,498.55
Shares Outstanding
—
303.0M
301.9M
272.3M
245.2M
Shares Issued (total)
—
303.1M
301.9M
272.4M
245.2M
Treasury Shares
—
0.0M
0.0M
0.0M
0.0M
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Total Assets
¥38,290.8B
¥38,290.8B
¥27,139.4B
¥22,310.7B
¥17,838.2B
Cash & Deposits
¥6,400.6B
¥6,400.6B
¥4,580.3B
¥3,200.9B
¥2,499.4B
PP&E
¥151.2B
¥151.2B
¥133.8B
¥124.7B
¥123.7B
Goodwill
—
¥243.6B
¥255.4B
¥238.2B
¥188.2B
Intangible Assets
—
¥429.9B
¥415.7B
¥366.0B
¥293.1B
Deferred Tax Assets
—
¥16.2B
¥19.5B
¥15.8B
¥17.9B
Total Liabilities
¥35,877.4B
¥35,877.4B
¥25,232.0B
¥20,562.1B
¥16,254.9B
Deferred Tax Liab.
—
¥103.2B
¥61.7B
¥50.2B
¥57.9B
Total Equity
¥2,413.4B
¥2,413.4B
¥1,907.3B
¥1,748.7B
¥1,583.3B
Capital Surplus
—
¥222.4B
¥280.2B
¥186.8B
¥151.4B
Retained Earnings
¥1,161.2B
¥1,161.2B
¥676.0B
¥627.7B
¥631.1B
Treasury Stock
—
¥-96M
¥-87M
¥-76M
¥-62M
AOCI
—
¥62.6B
¥125.7B
¥60.1B
¥42.9B
Equity (owners)
¥1,794.9B
¥1,794.9B
¥1,262.2B
¥1,013.8B
¥924.6B
Minority Interests
—
¥502.4B
¥645.1B
¥734.8B
¥658.7B
Net Cash ⓘ
¥6,400.6B
¥6,400.6B
¥4,580.3B
¥3,200.9B
¥2,499.4B
BV/Share
—
¥5,923
¥4,181
¥3,723
¥3,771
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Operating CF
¥1,694.8B
¥1,694.8B
¥1,345.7B
¥960.7B
¥-314.0B
D&A
¥67.7B
¥67.7B
¥55.4B
¥56.1B
¥32.2B
Investing CF
¥-1,135.6B
¥-1,135.6B
¥-65.1B
¥-1,075.1B
¥1,838.5B
Purchase Investments
—
¥-2,589.6B
¥-1,834.1B
¥-3,026.5B
¥-321.1B
Financing CF
¥442.7B
¥442.7B
¥29.2B
¥810.4B
¥163.3B
Free Cash Flow
¥1,694.8B
¥1,694.8B
¥1,345.7B
¥960.7B
¥-314.0B
Metric
FY 2025
TDnet
FY 2024
TDnet
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
ROE
17.7%
19.8%
4.8%
2.1%
23.2%
ROA
1.1%
1.3%
0.4%
0.2%
2.1%
EPS
¥666.82
¥666.82
¥316.43
¥132.19
¥1,498.55
DPS
¥40.00
¥40.00
¥160.00
¥150.00
¥150.00
BPS
¥2,776.99
¥2,776.99
—
—
—
FCF/Share
—
¥5,593
¥4,458
¥3,528
¥-1,281
Payout Ratio
6.0%
6.0%
50.6%
113.5%
10.0%
Event Timeline
S Shareholder
A Capital Signal
▾ Hide Chart
Large Shareholder Reports 25
Date Activist Stake Event Flag Demands Source
2026-05-22
BlackRock Japan Co., Ltd.
6.47%
change
Passive
—
2026-02-20
Nomura Securities Co.,Ltd.
5.33%
+0.23%
change
Passive
—
2025-12-19
Baillie Gifford & Co
4.26%
-1.04%
change
Passive
—
2025-10-06
Nomura Securities Co.,Ltd.
5.1%
+0.34%
initial_5pct
Passive
—
2025-09-19
Sumitomo Mitsui Trust Asset Management Co.,Ltd.
5.03%
-0.54%
change
Passive
—
2025-08-22
Nomura Securities Co.,Ltd.
4.76%
-1.18%
change
Passive
—
2025-07-22
NTT, Inc.
8.18%
initial_5pct
Passive
—
2025-06-06
Baillie Gifford & Co
5.3%
-1.01%
change
Passive
—
2025-05-02
Sumitomo Mitsui DS Asset Management Company, Limited
9.34%
change
Passive
—
2024-11-21
Baillie Gifford & Co
6.31%
-1.25%
change
Passive
—
2024-10-07
Nomura Securities Co.,Ltd.
5.94%
-0.29%
change
Passive
—
2024-08-07
Nomura Securities Co.,Ltd.
6.23%
+0.87%
change
Passive
—
2024-07-22
Nomura Securities Co.,Ltd.
5.36%
-0.62%
change
Passive
—
2024-06-07
Baillie Gifford & Co
7.56%
-1.65%
change
Passive
—
2024-06-06
Sumitomo Mitsui Trust Asset Management Co.,Ltd.
5.57%
change
Passive
—
2024-05-09
Nomura Securities Co.,Ltd.
5.98%
-0.76%
change
Passive
—
2024-04-30
Sumitomo Mitsui Financial Group, Inc.
10.41%
change
Passive
—
2024-04-05
Nomura Securities Co.,Ltd.
6.74%
-0.12%
change
Passive
—
2024-03-25
Nomura Securities Co.,Ltd.
6.86%
-0.58%
change
Passive
—
2024-03-07
Nomura Securities Co.,Ltd.
7.44%
-0.87%
change
Passive
—
2023-11-22
Nomura Securities Co.,Ltd.
8.31%
+0.28%
change
Passive
—
2023-11-21
Baillie Gifford & Co
9.21%
-1.29%
change
Passive
—
2023-10-06
Nomura Securities Co.,Ltd.
8.03%
change
Passive
—
2023-08-22
Mizuho Securities Co., Ltd.
4.73%
change
Passive
—
2023-06-26
Baillie Gifford & Co
10.5%
change
Passive
—
Top 10 Shareholders
Ownership DNA
#
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)
44,597,300
14.72%
2
Sumitomo Mitsui Financial Group, Inc.
株式会社三井住友フィナンシャルグループ
27,000,000
8.91%
3
Japan Custody Bank
株式会社日本カストディ銀行(信託口)
20,837,452
6.88%
4
State Street Bank and Trust Company
ステート ストリート バンク アンド トラスト カンパニー 505001
7,575,526
2.50%
5
BNY Mellon (Nominee)
ザ バンク オブ ニューヨーク メロン 140042
6,900,028
2.28%
6
State Street Bank and Trust Company
ステート ストリート バンク ウェスト クライアント トリーティー 505234
5,419,217
1.79%
7
北尾 吉孝
4,327,960
1.43%
8
State Street Bank and Trust Company
ステート ストリート バンク アンド トラスト カンパニー 505223
3,995,947
1.32%
9
JPMorgan Chase Bank, N.A.
ジェーピー モルガン チェース バンク 385781
3,884,900
1.28%
10
BNY Mellon (Nominee)
ザ バンク オブ ニューヨーク メロン 140051
3,808,636
1.26%
Domestic Nominees
21.6%
+1.2% vs 2024
Trust bank custodians — GPIF, pensions, investment trusts
Foreign Custodians
10.4%
+1.6% vs 2024
Sub-custodians for foreign asset managers
Direct / Strategic
10.3%
-1.4% 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
15.78%
14.29%
14.72%
+0.43%
Sumitomo Mitsui Financial Group, Inc.
式会社三井住友フィナンシャルグループ
9.91%
8.94%
8.91%
-0.03%
Japan Custody Bank
日本カストディ銀行
4.64%
6.09%
6.88%
+0.79%
State Street
3.11%
4.55%
5.61%
+1.06%
BNY Mellon
7.21%
4.32%
3.54%
-0.78%
北尾 吉孝
1.47%
1.43%
1.43%
JP Morgan
NEW ENTRY
—
—
—
1.28%
NEW
JPモルガン証券
last seen 2024
Exited Top 10
—
1.40%
—
日本証券金融
last seen 2023
Exited Top 10
1.69%
—
—
Concentration (HHI)
ⓘ
435
365
391
3 fiscal years · top-10 holders per year · >2,500 HHI = high concentration · entity-resolved