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Chugin Financial Group,Inc. (JP:5832)
:5832
Japanese Market

Chugin Financial Group,Inc. (5832) AI Stock Analysis

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JP

Chugin Financial Group,Inc.

(5832)

Rating:63Neutral
Price Target:
Chugin Financial Group, Inc. is currently positioned at a moderate level, with strong profitability metrics and a reasonable valuation. However, the stock faces challenges due to revenue and cash flow volatility and weak technical indicators suggesting near-term caution. The absence of earnings call insights and corporate events limits additional context.

Chugin Financial Group,Inc. (5832) vs. iShares MSCI Japan ETF (EWJ)

Chugin Financial Group,Inc. Business Overview & Revenue Model

Company DescriptionChugin Financial Group,Inc., through its subsidiary The Chugoku Bank, Limited, provides various financial services. The company operates through Banking, Leasing, and Securities segments. It accepts various deposit products, including current, ordinary, savings, time, installment time, non-resident yen, and foreign currency deposits, as well as deposits at notice, deposits for tax payment, and deposits for offshore accounts. The company also provides credit guarantee, credit card, investment management, advisory, financial instruments brokerage, and asset management services; and loans. In addtion, the company engages in the consignment of office work; and leasing and installment sale of properties and goods. It operates through head office and 137 branch offices, including 5 sub-branch offices, 15 branch-in-branch offices, 2 branch-in-branch sub-branch offices, 1 special sub-branch office, 1 representative office, and 1 internet branch in Japan; and 1 branch and 4 representative offices internationally, as well as 234 ATMs. The company was incorporated in 1930 and is headquartered in Okayama, Japan.
How the Company Makes MoneyChugin Financial Group, Inc. generates revenue through various financial services, with a primary focus on traditional banking operations. Key revenue streams include interest income from loans and advances to customers, fees from financial advisory and asset management services, and transaction fees from payment and settlement services. The company also earns money through investments in securities and other financial instruments. Partnerships with other financial institutions and collaborations with businesses enhance its service offerings and contribute to its earnings. Additionally, the group's strategic initiatives to expand digital banking capabilities and enhance customer engagement support its revenue growth.

Chugin Financial Group,Inc. Financial Statement Overview

Summary
Chugin Financial Group, Inc. displays a combination of strengths and challenges. Profitability metrics are strong, but revenue and cash flow volatility pose risks. The balance sheet reflects moderate leverage and stable equity utilization, yet cash flow inconsistencies need addressing to enhance financial health.
Income Statement
65
Positive
The income statement reveals mixed performance. The TTM data shows a gross profit margin of 112.0% and a net profit margin of 15.8%, indicating strong profitability. However, revenue growth is inconsistent, with a significant decline from 2023 to 2024, suggesting volatility. The EBIT and EBITDA margins show fluctuations over the years, reflecting operational challenges.
Balance Sheet
75
Positive
The balance sheet demonstrates moderate financial stability. The debt-to-equity ratio in the TTM period is 1.44, signifying manageable leverage. The equity ratio stands at 5.1%, indicating a modest equity base relative to total assets. Return on equity is solid at 4.2%, showing effective utilization of equity.
Cash Flow
50
Neutral
The cash flow statement indicates potential concerns. Free cash flow has been negative in several periods, and operating cash flow is inconsistent, with a significant drop in the last annual report. The absence of meaningful growth in free cash flow suggests cash management challenges.
Breakdown
TTMMar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Income StatementTotal Revenue
148.18B113.71B157.42B116.87B107.33B117.22B
Gross Profit
166.02B174.20B157.42B116.87B107.33B117.22B
EBIT
59.00B55.86B-1.00M-1.00M-1.00M-1.00M
EBITDA
27.90B24.98B32.70B29.87B25.39B21.28B
Net Income Common Stockholders
23.40B21.39B20.49B18.37B14.42B11.92B
Balance SheetCash, Cash Equivalents and Short-Term Investments
1.19T1.42T-1.53T-1.78T-1.03T-591.77B
Total Assets
11.07T10.76T9.85T10.21T9.15T8.15T
Total Debt
811.91B1.37T1.08T1.64T730.75B567.23B
Net Debt
-381.82B-50.08B2.61T3.42T1.76T1.16T
Total Liabilities
10.51T10.18T9.32T9.66T8.59T7.64T
Stockholders Equity
563.79B581.11B527.95B552.41B562.20B511.19B
Cash FlowFree Cash Flow
0.00-143.96B-2.74B-7.53B16.71B15.70B
Operating Cash Flow
0.00-140.46B46.00M-4.90B20.14B19.29B
Investing Cash Flow
0.00-198.39B119.18B-335.52B-515.57B-118.54B
Financing Cash Flow
0.00248.12B-368.95B1.10T929.65B-79.96B

Chugin Financial Group,Inc. Technical Analysis

Technical Analysis Sentiment
Positive
Last Price1783.50
Price Trends
50DMA
1593.35
Positive
100DMA
1592.48
Positive
200DMA
1545.92
Positive
Market Momentum
MACD
56.77
Negative
RSI
71.19
Negative
STOCH
91.41
Negative
Evaluating momentum and price trends is crucial in stock analysis to make informed investment decisions. For JP:5832, the sentiment is Positive. The current price of 1783.5 is above the 20-day moving average (MA) of 1676.32, above the 50-day MA of 1593.35, and above the 200-day MA of 1545.92, indicating a bullish trend. The MACD of 56.77 indicates Negative momentum. The RSI at 71.19 is Negative, neither overbought nor oversold. The STOCH value of 91.41 is Negative, not indicating any strong overbought or oversold conditions. Overall, these indicators collectively point to a Positive sentiment for JP:5832.

Chugin Financial Group,Inc. Peers Comparison

Overall Rating
UnderperformOutperform
Sector (64)
Financial Indicators
Name
Overall Rating
Market Cap
P/E Ratio
ROE
Dividend Yield
Revenue Growth
EPS Growth
64
Neutral
$12.79B9.717.54%16971.00%12.07%-7.53%
63
Neutral
¥328.43B11.73
3.46%12.82%13.03%
$2.25B6.084.21%4.96%
$2.11B10.025.46%3.67%
73
Outperform
¥310.58B10.12
3.92%9.02%14.49%
71
Outperform
¥347.88B9.10
1.76%21.04%20.47%
62
Neutral
¥317.45B17.34
4.07%14.13%-74.08%
* Financial Sector Average
Performance Comparison
Ticker
Company Name
Price
Change
% Change
JP:5832
Chugin Financial Group,Inc.
1,789.50
240.25
15.51%
KYUNF
Kyushu Financial Group
2.80
0.14
5.26%
YFGSF
Yamaguchi Financial Group
10.80
-0.26
-2.35%
JP:7327
Daishi Hokuetsu Financial Group, Inc.
3,370.00
1,079.20
47.11%
JP:8377
Hokuhoku Financial Group, Inc.
2,795.50
733.54
35.57%
JP:8410
Seven Bank, Ltd.
267.80
10.36
4.02%

Chugin Financial Group,Inc. Corporate Events

Chugin Financial Group Announces Strong Financial Gains Amidst Comprehensive Income Decline
Feb 4, 2025

Chugin Financial Group, Inc. reported a notable increase in its consolidated financial results for the nine months ending December 31, 2024, with ordinary revenues rising by 17.6% and profit attributable to owners increasing by 10.9% compared to the previous year. Despite the overall positive financial performance, the company experienced a decrease in comprehensive income and net assets. The group has maintained its dividend forecast for the fiscal year, indicating stability in shareholder returns.

Glossary
OutperformA stock rated as "Outperform" is expected to perform better than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock is likely to deliver higher returns compared to the average returns of other stocks in the same sector or market index. Investors might consider this stock a good buying opportunity.
NeutralA stock rated as "Neutral" is expected to perform in line with the overall market or a specific benchmark. This rating indicates that the stock is neither particularly attractive nor unattractive for investment. Investors may consider holding onto the stock, as it is not expected to either significantly outperform or underperform the market.
UnderperformA stock rated as "Underperform" is expected to perform worse than the overall market or a specific benchmark over the near-to-medium term. This rating suggests that the stock may deliver lower returns compared to the average returns of other stocks in the same sector or market index. Investors might consider selling the stock or avoiding it as an investment.

Disclaimer

This AI Analyst Stock Report is automatically generated by our AI systems using advanced algorithms and publicly available financial, technical, and market data. While the information provided aims to be accurate and insightful, it is intended for informational purposes only and should not be considered financial advice. Any content created by an AI (Artificial Intelligence) system may contain inaccuracies and/or contain errors. Investing in stocks carries inherent risks, and past performance is not indicative of future results. This report does not account for your personal financial circumstances, objectives, or risk tolerance. Always conduct your own research or consult with a qualified financial advisor before making investment decisions. The analysis and recommendations provided are based on historical and current data and may not fully reflect future market conditions or unexpected developments. Neither the creators of this report nor its affiliated entities guarantee the accuracy, completeness, or reliability of the information presented. Use this report at your own discretion and risk.