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ORIX Corporation

NYSE•IX
CEO: Mr. Makoto Inoue
Sector: Financial Services
Industry: Financial - Credit Services
Listing Date: 1998-09-16
ORIX Corporation provides diversified financial services in Japan, the United States, Asia, Europe, Australasia, and the Middle East. The company's Corporate Financial Services and Maintenance Leasing segment is involved in the finance and fee; leasing and rental of automobiles, electronic measuring instruments, and ICT-related equipment businesses; and provision of life insurance and environment and energy-related products and services. Its Real Estate segment develops, rents, and manages real estate properties; operates facilities; real estate asset management; manages residential condominiums and office building; and provides construction contracting, real estate brokerage, and real estate investment advisory services, as well as operates hotels and Japanese inns. The company's PE Investment and Concession segment engages in the private equity (PE) investment and concession businesses. Its Environment and Energy segment provides ESCO, and recycling and waste management services; retails electric power; sells solar panels; and generates solar power.The company's Insurance segment sells life insurance products through agents, banks, and other financial institutions, as well as face-to-face and online. Its Banking and Credit segment provides banking and consumer finance services. The company's Aircraft and Ships segment engages in the aircraft investment and management, and ship-related finance and investment businesses. Its ORIX USA segment offers finance, investment, and asset management services. The company's ORIX Europe segment provides equity and fixed income asset management services. Its Asia and Australia segment offers finance and investment businesses. The company was formerly known as Orient Leasing Co., Ltd. and changed its name to ORIX Corporation in 1989. ORIX Corporation was incorporated in 1950 and is headquartered in Tokyo, Japan.
Contact Information
South Tower, World Trade Center Building 2-4-1 Hamamatsu-cho Minato-ku, Tokyo, 105-5135, Japan
81-3-3435-3000
www.orix.co.jp
Market Cap
$36.05B
P/E (TTM)
11.6
30
Dividend Yield
3.1%
52W High
$37.04
52W Low
$17.75
52W Range
76%
Rank21Top 7.6%
6.0
F-Score
Modified Piotroski Analysis
Based on 10-year fundamentals
Strong • 6 / 9 points
Scoring Range (0-9)
8-9: Excellent Value
6-7: Strong Fundamentals
4-5: Average Quality
0-3: Weak Performance
Data Period: 2016-2025

Financial Dashboard

Q3 2026 Data

Revenue

$5.46B+0.00%
4-Quarter Trend

EPS

$0.69+0.00%
4-Quarter Trend

FCF

$0.00+0.00%
4-Quarter Trend

2025 Annual Earnings Highlights

Key Highlights

Net Income Rises 2% Net income attributable to shareholders reached ¥351.630B in fiscal 2025, marking a 2% increase compared to fiscal 2024 results.
Total Revenues Up 2% Total revenues grew to ¥2.875T in fiscal 2025, showing a 2% increase over the prior year, driven by operating leases.
PE Investment Profit Soars PE Investment and Concession segment profit increased 125% to ¥98.872B, driven by gains on sales of investees.
Equity Ratio Improves Slightly ORIX Corporation shareholders' equity ratio reached 24.2% as of March 31, 2025, a slight improvement from 24.1% last year.

Risk Factors

Global Economic Instability Risk General geopolitical, economic, and financial conditions globally could adversely affect business activities and financial condition.
Climate Change Transition Risks Transition risks from climate change policies or technological innovation may cause asset value impairment and higher credit costs.
Credit Loss Allowance Adequacy Allowance for credit losses may prove inadequate due to unexpected adverse changes in Japanese and overseas economies.
Aggressive Competition Threat Competitors may aggressively price or structure transactions, potentially causing market share or profitability decline.

Outlook

Focus on Growth Strategy Medium- to long-term strategy focuses on "PATHWAYS," "GROWTH," and "IMPACT" utilizing core business models.
Stable Shareholder Returns Plan flexible stock buybacks while maintaining an A equivalent credit rating and targeting higher total shareholder return (TSR).
Enhance Risk Management Systems Formulating risk management policies and standards to continuously improve effectiveness of internal control systems for risk management.
Promote Digital Transformation Promoting business process re-engineering through digital transformation and leveraging IT to expand existing and launch new businesses.

Peer Comparison

Revenue (TTM)

MS stock ticker logoMS
$116.11B
+12.6%
TFC stock ticker logoTFC
$30.44B
+25.5%
IX stock ticker logoIX
$19.91B
+31.1%

Gross Margin (Latest Quarter)

SHG stock ticker logoSHG
100.0%
+56.1pp
CACC stock ticker logoCACC
98.8%
+37.0pp
FUTU stock ticker logoFUTU
87.6%
+5.8pp

Key Metrics

Symbol
Market Cap
P/E (TTM)
ROE (TTM)
Debt to Assets
MS$263.51B15.515.4%33.5%
TFC$63.07B11.88.2%12.7%
IX$36.05B11.610.9%37.0%

Long-Term Trends

Last 4 Quarters
Revenue
Net Income
Operating Cash Flow
4Q Revenue CAGR
4.9%
Moderate Growth
4Q Net Income CAGR
13.7%
Profitability Improving
Cash Flow Stability
0%
Cash Flow Needs Attention

Deep Research

Next earnings:May 11, 2026
|
EPS:$0.51
|
Revenue:$4.46B
Financials
Earnings Calls
Reports
News
Income Statement
Balance Sheet
Cash Flow Statement
Ratios
% Chg.
Income Statement
LTM
No Data