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3562 Stock Chart & Stats
¥1597.00
-¥20.00(-1.25%)
At close: 4:00 PM EDT
¥1597.00
-¥20.00(-1.25%)
Day’s Range― - ―
52-Week Range¥1,421.00 - ¥2,548.00
Previous CloseN/A
Volume25.00K
Average Volume (3M)17.57K
Market Cap
¥10.79B
Enterprise Value¥11.87B
Total Cash (Recent Filing)¥3.20B
Total Debt (Recent Filing)¥5.39B
Price to Earnings (P/E)15.0
Beta0.75
Next Earnings
Oct 09, 2026EPS EstimateN/A
Next Dividend Ex-DateN/A
Dividend Yield4.95%
Share Statistics
EPS (TTM)107.19
Shares Outstanding7,034,700
10 Day Avg. Volume12,410
30 Day Avg. Volume17,570
Financial Highlights & Ratios
PEG Ratio0.65
Price to Book (P/B)2.65
Price to Sales (P/S)0.66
P/FCF Ratio22.82
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price TargetN/A
Price Target UpsideN/A
Rating ConsensusN/A
Number of Analyst Covering0
EPS Forecast (FY)N/A
Revenue Forecast (FY)N/A
Bulls Say, Bears Say
Bulls Say
Revenue Growth MomentumSustained revenue re-acceleration indicates strengthening demand and improved product or market traction. Over a multi-quarter horizon this supports capacity utilization, recurring sales, and provides a steadier base for reinvestment in products and distribution, reducing execution risk.
High Gross MarginsA consistently high gross margin (~46%) signals durable pricing power or cost advantage in core offerings. That margin buffer supports operating leverage and resilience to input-cost swings, enabling sustainable profitability even if SG&A or R&D spend fluctuates over the medium term.
Improved Leverage ProfileMarked reduction in leverage through 2025 enhances financial flexibility and lowers refinancing risk. A stronger balance sheet enables disciplined capital allocation, capacity expansion, or M&A without immediate stress, supporting long-term strategic initiatives and shock absorption.
Bears Say
Free Cash Flow VolatilityMaterial swings in free cash flow and a 2026 step-down reduce funding predictability for dividends, capex, and deleveraging. Persistent volatility forces greater reliance on external financing or equity, complicates long-term planning, and raises the premium for capital allocation decisions.
2026 Debt And Asset Expansion RiskA sudden increase in debt combined with rapid asset growth heightens execution and funding risk if new assets don’t generate commensurate returns. This amplifies refinancing exposure and could weaken metrics if investments underperform over the medium term.
Earnings / Margin VolatilityVolatile earnings and weakening operating margins reduce visibility into sustainable profitability. This undermines cash conversion forecasting and complicates capital allocation; if margin drivers are structural, long-term returns and ROE could be pressured without corrective actions.
3562 FAQ
What was No.1 Co.,Ltd’s price range in the past 12 months?
No.1 Co.,Ltd lowest stock price was ¥1421.00 and its highest was ¥2548.00 in the past 12 months.
What is No.1 Co.,Ltd’s market cap?
No.1 Co.,Ltd’s market cap is ¥10.79B.
When is No.1 Co.,Ltd’s upcoming earnings report date?
No.1 Co.,Ltd’s upcoming earnings report date is Oct 09, 2026 which is in 68 days.
How were No.1 Co.,Ltd’s earnings last quarter?
No.1 Co.,Ltd released its earnings results on Jul 14, 2026. The company reported ¥3.96 earnings per share for the quarter, beating the consensus estimate of N/A by ¥3.96.
Is No.1 Co.,Ltd overvalued?
According to Wall Street analysts No.1 Co.,Ltd’s price is currently Overvalued.
Does No.1 Co.,Ltd pay dividends?
No.1 Co.,Ltd pays a Semiannually dividend of ¥39.5 which represents an annual dividend yield of 4.95%. See more information on No.1 Co.,Ltd dividends here
What is No.1 Co.,Ltd’s EPS estimate?
No.1 Co.,Ltd’s EPS estimate for its next earnings report is not yet available.
How many shares outstanding does No.1 Co.,Ltd have?
No.1 Co.,Ltd has 7,034,700 shares outstanding.
What happened to No.1 Co.,Ltd’s price movement after its last earnings report?
No.1 Co.,Ltd reported an EPS of ¥3.96 in its last earnings report, beating expectations of N/A. Following the earnings report the stock price went up 0.942%.
Which hedge fund is a major shareholder of No.1 Co.,Ltd?
Currently, no hedge funds are holding shares in JP:3562
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
Company Description
No.1 Co.,Ltd
No.1 Co.,Ltd specializes in the provision and upkeep of office automation (OA) and information security solutions. The company's product portfolio includes photocopiers, multi-functional devices, corporate telephony systems, cybersecurity offerings, and centralized data storage servers. Its operational scope further extends to the sale and servicing of diverse communication technologies, direct sales and agency work for landline and mobile services, a mail-order agency specializing in office supplies and related services, various internet-centric ventures, and an advertising agency arm. Established in 1989, the firm maintains its primary offices in Tokyo, Japan.
Technical Analysis
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