4765.TTokyo
SBI Global Asset Management Co., Ltd.
¥587.00
ListedMar 19, 2002
SectorFinancial Services
IndustryAsset Management
CountryJapan
Employees-
State-| CityTokyo| AddressIzumi Garden Tower| Phone81 3 6229 0812
SBI Global Asset Management Co., Ltd. provides financial and asset management services in Japan and internationally. The company provides investment management and investment advice services, such as investment trust setting, solicitation, and management services based on the financial instruments and exchange act. It also collects information on finance, websites, etc.; and compares, analyzes, evaluates, and processes accumulated information, as well as provides consulting services. In addition, the company offers fund data and report services. The company was formerly known as Morningstar Japan K.K. and changed its name to SBI Global Asset Management Co., Ltd. in March 2023. SBI Global Asset Management Co., Ltd. was incorporated in 1998 and is headquartered in Tokyo, Japan. SBI Global Asset Management Co., Ltd. operates as a subsidiary of SBI Holdings, Inc.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
20.8
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Div. Rate
¥27.50
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Div. Yield
4.58%
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Payout Ratio
80.50%
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Max Consec. Div. Years
16 years
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Longest Consec. Div.
16 years
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Div. Coverage
91%
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Div. Stability Rate
0.14
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Div. Growth Rate
100.00%
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Score
94

Dividend History

Historical dividend payments by ex-dividend date.

Mar 30, 2026
¥ 13.7500
Sep 29, 2025
¥ 9.0000
Mar 28, 2025
¥ 13.2500
Sep 27, 2024
¥ 8.7500
Mar 28, 2024
¥ 13.0000
Sep 28, 2023
¥ 8.5000
Mar 30, 2023
¥ 12.7500
Sep 29, 2022
¥ 8.2500
Mar 30, 2022
¥ 9.0000
Sep 29, 2021
¥ 8.0000
Mar 30, 2021
¥ 8.5000
Sep 29, 2020
¥ 7.5000
Mar 30, 2020
¥ 8.0000
Sep 27, 2019
¥ 7.0000
Mar 27, 2019
¥ 7.5000
Sep 26, 2018
¥ 6.5000
Mar 28, 2018
¥ 11.0000
Mar 29, 2017
¥ 8.5000
Mar 29, 2016
¥ 7.0000
Mar 27, 2015
¥ 5.5000
Mar 27, 2014
¥ 4.2000
Mar 27, 2013
¥ 3.3333
Mar 28, 2012
¥ 3.0000
Mar 29, 2011
¥ 2.5000
Mar 29, 2010
¥ 2.0000
Mar 26, 2008
¥ 1.8333
Dec 26, 2006
¥ 0.8333
Dec 27, 2005
¥ 0.6667
Dec 27, 2004
¥ 0.3750
Dec 25, 2003
¥ 0.3750
Dec 25, 2002
¥ 0.3750

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