SHO-BOND Holdings Co., Ltd. engages in the management of its group of companies. The company is headquartered in Chuo-Ku, Tokyo-To and currently employs 1,051 full-time employees. The company went IPO on 2008-01-04. The Domestic Construction segment is primarily engaged in repair and reinforcement work for public structures and product sales. The company also engages in overseas construction, product manufacturing and sales, and domestic and international product sales.
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
06/30/2025
06/30/2024
06/30/2023
06/30/2022
06/30/2021
Revenue
87,995
90,712
85,419
83,924
81,193
80,065
Revenue Growth (YoY)
0%
6%
2%
3%
1%
18%
Cost of Revenue
61,844
64,208
60,076
60,453
58,638
59,282
Gross Profit
26,151
26,504
25,343
23,471
22,555
20,783
Selling, General & Admin
5,848
5,144
5,050
4,656
4,620
4,375
Research & Development
--
565
626
690
668
675
Operating Expenses
5,849
5,710
5,677
5,347
5,288
5,051
Other Non Operating Income (Expenses)
91
109
290
259
162
325
Pretax Income
21,330
21,801
20,960
18,992
18,044
15,915
Income Tax Expense
6,592
6,765
6,583
6,140
5,696
4,605
Net Income
14,742
15,061
14,321
12,887
12,366
11,340
Net Income Growth
0%
5%
11%
4%
9%
26%
Shares Outstanding (Diluted)
203.94
206.29
209.28
211.68
214.08
215.3
Shares Change (YoY)
-2%
-1%
-1%
-1%
-1%
0%
EPS (Diluted)
72.28
73
68.42
60.87
57.76
52.66
EPS Growth
2%
7%
12%
5%
10%
26%
Free Cash Flow
21,238
8,617
17,953
2,344
5,998
1,228
Free Cash Flow Per Share
--
--
--
--
--
--
Gross Margin
29.71%
29.21%
29.66%
27.96%
27.77%
25.95%
Operating Margin
23.07%
22.92%
23.02%
21.59%
21.26%
19.64%
Profit Margin
16.75%
16.6%
16.76%
15.35%
15.23%
14.16%
Free Cash Flow Margin
24.13%
9.49%
21.01%
2.79%
7.38%
1.53%
EBITDA
20,971
21,522
20,409
18,846
17,931
16,278
EBITDA Margin
23.83%
23.72%
23.89%
22.45%
22.08%
20.33%
D&A For EBITDA
669
728
743
722
664
546
EBIT
20,302
20,794
19,666
18,124
17,267
15,732
EBIT Margin
23.07%
22.92%
23.02%
21.59%
21.26%
19.64%
Effective Tax Rate
30.9%
31.03%
31.4%
32.32%
31.56%
28.93%
Follow-Up Questions
What are Sho-Bond Holdings Co Ltd's key financial statements?
According to the latest financial statement (Form-10K), Sho-Bond Holdings Co Ltd has a total asset of $129,155, Net profit of $15,061
What are the key financial ratios for SBDHF?
Sho-Bond Holdings Co Ltd's Current ratio is 5.36, has a Net margin is 16.6, sales per share of $439.72.
How is Sho-Bond Holdings Co Ltd's revenue broken down by segment or geography?
Sho-Bond Holdings Co Ltd largest revenue segment is Domestic Construction, at a revenue of 81,343,000,000 in the most earnings release.For geography, Japan is the primary market for Sho-Bond Holdings Co Ltd, at a revenue of 81,343,000,000.
Is Sho-Bond Holdings Co Ltd profitable?
yes, according to the latest financial statements, Sho-Bond Holdings Co Ltd has a net profit of $15,061
Does Sho-Bond Holdings Co Ltd have any liabilities?
yes, Sho-Bond Holdings Co Ltd has liability of 24,054
How many outstanding shares for Sho-Bond Holdings Co Ltd?
Sho-Bond Holdings Co Ltd has a total outstanding shares of 204.27