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Buy Day today: Neutral (59) Mixed market breadth · major macro event coming up
IX

Orix Corp

Financial Services · Financial Conglomerates · listed since 1970

40.40$ -0.4% vs. previous close Closing price · As of: Aug 13, 2026
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Price history

Chart

Interactive price chart (TradingView).

52-week range: 24.20 $ to 41.30 $ · Last price: 40.40 $ (As of: August 13, 2026)

Key figures

Key figures at a glance

Every figure we hold for this stock, grouped by topic. The question mark next to a label explains what the number means.

Basics

Market Cap ?The value of the entire company on the market: share price times total shares outstanding. 43.9$B
Shares Outstanding ?Total number of shares issued. Price times share count gives market cap.
Float ?Share of stock freely tradable on the market — not locked up in the hands of founders, insiders, or major shareholders.
Beta ?Volatility versus the overall market: 1 = moves like the market, 2 = twice as much, under 1 = calmer than the market.

Performance

Perf. 1M ?Price performance over the last month. 0.60%
Perf. 3M ?Price performance over the last 3 months. 8.10%
Perf. 6M ?Price performance over the last 6 months. 16.80%
YTD Performance (%) ?Price performance since the start of the year (Year to Date). 35.87%
52-Week-High Distance ?How far the price sits below its highest point over the last 52 weeks. 0% means the stock is at its year high. -3.9%
Perf. 1Y ?Price performance over the last 12 months. 63.83%
Perf. 3Y ?Price performance over the last 3 years. 166.05%
Perf. 5Y ?Price performance over the last 5 years. 223.94%
Perf. 10Y ?Price performance over the last 10 years. 727.28%
Perf. Since Inception ?Price performance since the first available trading day (09/16/1998) — with a complete history, that is since the IPO. 5,050.32%

Technical Indicators

MA 38 Days ?Moving average of the last 38 trading days: the smoothed price path. A price above it signals short-term strength. 39.70$
MA 50 Days ?Moving average of the last 50 trading days — the most widely watched medium-term trend line. 39.50$
MA 200 Days ?Moving average of the last 200 trading days — the dividing line between a long-term uptrend and downtrend. 33.10$
RSI (14) ?Relative Strength Index over 14 days, scale 0 to 100: above 70 counts as overbought, below 30 as oversold. A hint on timing, not a verdict on the company. 53.7
Volatility 30 Days ?Price swings over the last 30 trading days, annualized. The higher the value, the more the price fluctuates. 30.3%
Volatility 250 Days ?Price swings over the last 250 trading days (roughly one market year), annualized. 27.7%

Calculated from the price history · as of 08/14/2026

Valuation

P/E ?Price-to-earnings ratio: how many years of profit does the stock cost? The lower, the cheaper the valuation. No earnings means no P/E. 11.3
Forward P/E ?P/E based on expected earnings for the next 12 months instead of past earnings — analysts' bet on the future.
PEG ?P/E divided by expected earnings growth: puts valuation in relation to growth. Around 1 is considered fair, well above that is pricey.
P/B ?Price-to-book ratio: market value relative to book equity. 1.5
P/S ?Price-to-sales ratio: market value divided by annual sales. Important for companies that aren't (yet) profitable.
EV/EBITDA ?Enterprise value including debt (EV) relative to operating profit before depreciation and amortization (EBITDA) — more comparable than P/E because debt counts too. Extreme values arise when EBITDA is near zero.
Price/FCF ?Market value divided by free cash flow: how many years of freely available cash does the stock cost? More honest than P/E because cash flow is harder to dress up.

Profitability

Gross Margin ?Gross margin: what's left of sales after only direct production costs are deducted — the product's pricing power.
EBIT Margin ?EBIT margin: operating profit as a percentage of sales — the earning power of the core business before interest and taxes. 21.5%
Net Margin ?Net margin: what's left of sales as profit after ALL costs, interest, and taxes.
Return on Equity ?Return on equity: how much profit does the company generate per year on shareholders' equity? 14.0%
Return on Assets ?Return on assets: how much profit the company generates from its total assets (equity and debt combined).

Balance Sheet & Safety

Equity Ratio ?Equity ratio: equity as a share of total assets. The higher, the more resilient the balance sheet. 24.9%
Debt/Equity ?Leverage ratio: financial debt divided by equity. Under 1 is generally seen as solid; negative values mean negative equity. 1.5
Altman Z″ ?Edward Altman's bankruptcy early-warning score. We use the Z″ variant, built from four balance-sheet ratios — it is designed for service companies and non-manufacturers and uses book value instead of market value. On that scale: below 1.1 = danger zone, 2.6 and up = safe zone, in between a grey area. Because the classic Altman Z is calculated differently, the two numbers are not directly comparable. The formula does not fit banks, insurers, or real-estate stocks.
Piotroski ?Balance-sheet health check by Joseph Piotroski: 9 yes/no criteria on profit, cash flow, leverage, and efficiency. 7+ is very solid, under 3 is a red flag. very solid 8 out of 9

Growth

Sales Growth Last Quarter ?Sales growth in the most recently reported quarter versus the same quarter a year ago (YoY). 17.40%
EPS Growth Last Quarter ?Growth in earnings per share in the most recently reported quarter versus the same quarter a year ago (YoY). 170.60%
Sales Growth (Year) ?Sales growth in the last fiscal year versus the year before. 22.85%
Forward Sales Growth ?Sales growth analysts expect over the next 12 months — an estimate, not a guarantee. -74.52%
Forward EPS Growth ?Earnings-per-share growth analysts expect over the next 12 months — an estimate, not a guarantee.

Dividend

No dividend data is available for this stock yet.

Quality & Screener

Stage ?Weinstein phases 1 through 4: 1 = basing, 2 = uptrend (the only buy phase), 3 = topping, 4 = downtrend. Measured against the 30-week line.
RS Rating ?Relative strength from 1 to 99: an RS of 95 means the stock has outperformed 95% of all stocks.
EPS Rating ?Earnings growth rating from 1 to 99 versus all stocks — high values mean above-average earnings growth.
Fundamental Rating ?Our own Fundamental Rating: 0 to 100 points with an A+ to F grade. 50 points is the average across the universe, 100 the best possible score. It scores growth, earnings surprises, analyst estimates, margins, cash flow, and balance-sheet safety — every stock percentile-ranked against all others. Grades: A+ from 95, A from 75, B from 55, C from 45, D from 25, E from 5, F below. B (63 out of 100)

Highlighted are things our editorial team noticed: green = stands out as strong, red = deserves a closer look. No single metric is a verdict on its own — always read it in context.

Comparison

Industry comparison

The stock alongside the largest companies in the same group. The median row is the middle value of the companies shown above — not of the whole industry.

Industry: Financial Conglomerates

Industry comparison
Company Market cap ($B) P/E EV/EBITDA Gross Margin % EBIT Margin % Sales Growth (Year) % Perf. 1Y %
Orix Corp IX 43.9 11.3 21.5 22.9 63.8
Freedom Holding Corp FRHC 9.3 10.9 81.8 -1.2 7.8 -15.8
Voya Financial Inc VOYA 9.2 15.6 0.0 56.4 14.3 -6.9 38.6
Hilltop Holdings Inc HTH 2.3 0.0 100.0 16.9 5.5 29.0
Lendingtree Inc TREE 0.5 2.7 5.9 96.4 24.1 -44.5
BRC Group Holdings, Inc. RILY 0.3 0.5 2.4 22.7 77.9 25.5
Median of companies shown 5.7 7.0 2.4 81.8 15.6 15.3 27.2

Based on the most recently reported figures. Only stocks from the same trading venue are lined up, so the market caps are counted in one currency. Compare in a chart →

Quarters

Quarterly Figures

Each bar is one quarter, the last one is the most recent. Use the switch to step through the individual figures.

Revenue & Profit

Cash Flow

Balance Sheet

Margins

Per Share

Click the chart or tab into it, then use ← and → to step through the periods.

None of the selected stocks reports this metric. Pick another metric or switch between annual and quarterly.

These companies report in different currencies — switch on “Indexed” or pick a margin for a fair comparison.

The figures could not be loaded right now.

Sales Per Quarter (JPY m)
2024: Q3 · 695,494.0 JPY m Q3 2024: Q4 · 750,851.0 JPY m Q4 2025: Q1 · 720,337.0 JPY m Q1 2025: Q2 · 768,641.0 JPY m Q2 2025: Q3 · 795,856.0 JPY m Q3 2025: Q4 · 840,322.0 JPY m Q4 2026: Q1 · 938,857.7 JPY m Q1 2026: Q2 · 876,628.0 JPY m Q2

Source: fundamental data

Quarterly Figures
Quarter EPS (Earnings Per Share) EPS YoY (%) Sales (JPY m) Sales YoY (%) Net Margin (%) OCF (JPY m) FCF (JPY m)
2024: Q3 0.55 -70.40 695,494 1.80 13.80 600,040 -95,486
2024: Q4 0.51 -80.70 750,851 10.70 11.80
2025: Q1 2.42 -34.50 720,337 -7.20 11.10 1,300,193 -57,479
2025: Q2 0.65 -73.10 768,641 8.50 14.00
2025: Q3 0.99 79.30 795,856 14.40 20.60 608,013 -35,870
2025: Q4 0.69 35.50 840,322 11.90 14.10
2026: Q1 0.33 -86.20 938,858 30.30 6.20 1,459,123 1,379,520
2026: Q2 1.57 141.50 876,628 14.00 32.00

What Do These Terms Mean?

EPS (Earnings Per Share):
Quarterly profit divided by the total share count — how much of the profit works out to a single share.
YoY (Year over Year):
Change versus the same quarter a year ago — this is how you compare without seasonal distortion (e.g. the holiday shopping season).
Sales:
All revenue for the quarter, before any costs are deducted — the top line of the income statement.
Net Margin:
What percentage of sales is left over as profit in the end. Negative means the company is posting a loss.
OCF (Operating Cash Flow):
The cash that actually flows into the till from the core business during the quarter — harder to dress up than book profit.
FCF (Free Cash Flow):
Operating cash flow minus capital expenditures — the money that's genuinely free to use, say for paying down debt, buybacks, or dividends.

Compare with other stocks →

Screening

Appears in These Scanners

This stock currently matches 3 of our scanner strategies — each hit links to the scanner.

Growth

Quality & Balance Sheet

Momentum & Trend

Only genuine hits from verified scanners count; pure ranking metrics (P/E, P/S, and similar, which just sort the whole universe) don't count as a hit. View all scanners

Outlook

Analysts & Price Target

Combined picture of the price targets and recommendations of every analyst covering the stock. Price targets are expectations for the next 12 months, not promises — and they often follow the price rather than predict it.

Consensus Hold 1 = Strong buy … 5 = Strong sell
Analyst Ratings
Price Target (average)
Distance to price

No price target is available for this stock.

AI classification

AI Rating

Not yet rated — we only show a category once an SEC-backed file with at least two cited passages is available.

How the Rating Is Built

Growth

Growth Score

Ten checks against the annual reports — each one passed counts a point.

4 of 10 Weak growth
  • Revenue grows by more than 15% a year over three years 9.9%
  • More than 10% revenue growth is expected for the coming year -74.5%
  • Share count grows by less than 3% a year -1.8%
  • Revenue growth plus cash-flow margin add up to at least 40 ("Rule of 40") 23.9%
  • Gross margin at 40% or higher and without meaningful erosion 32.1%
  • Goodwill from acquisitions does not grow faster than revenue 0.0%
  • Net debt below twice EBITDA 3.7 x EBITDA
  • Operating cash flow covers the profits of the last three years 2,719,912 m
  • Return on capital at 15% or higher, or up versus two years ago 4.4%
  • Insiders hold at least 10% or are net buyers 0.0%

A criterion without figures counts neither as passed nor as failed; a score is only produced from 7 judgeable criteria upwards. Source: fundamental data. All ten criteria in detail

The company

About the Company

ORIX Corporation bietet Finanzdienstleistungen in Japan, den Vereinigten Staaten und international an. Das Unternehmen ist in den Bereichen Corporate Financial Services and Maintenance Leasing; Real Estate; PE Investment and Concession; Environment and Energy; Insurance; Banking and Credit; Aircraft and Ships; ORIX USA; ORIX Europe; sowie Asia and Australia tätig. Das Segment Corporate Financial Services and Maintenance Leasing ist im Finanzierungs- und Gebührengeschäft sowie im Leasing- und Vermietungsgeschäft für Automobile, elektronische Messgeräte und IKT-bezogene Ausrüstung tätig. Sein Segment Real Estate entwickelt, vermietet und verwaltet Immobilien; betreibt Anlagen; und bietet Immobilienvermögensverwaltungsdienste an. Das Segment PE Investment and Concession ist im Private-Equity-Investment- und Konzessionsgeschäft tätig. Sein Segment Environment and Energy bietet ESCO- sowie Recycling- und Abfallwirtschaftsdienste; verkauft Strom im Einzelhandel; verkauft Solarmodule; und erzeugt erneuerbare Energie. Das Segment Insurance verkauft Lebensversicherungsprodukte über Agenten, Banken und andere Finanzinstitute, sowohl persönlich als auch online. Sein Segment Banking and Credit bietet Bank- und Konsumentenkreditdienste. Das Segment Aircraft and Ships ist im Flugzeuginvestment- und -managementgeschäft, im schifffahrtsbezogenen Finanz- und Investmentgeschäft, im maritimen Vermögensmanagement sowie im Schiffsmaklergeschäft tätig. Sein Segment ORIX USA bietet Finanzierungs-, Investment-, Vermögensverwaltungs- und Beratungsdienste. Das Segment ORIX Europe bietet Vermögensverwaltungsdienste für Aktien und festverzinsliche Wertpapiere. Sein Segment Asia and Australia ist im Finanzierungs- und Investmentgeschäft tätig. Das Unternehmen hieß zuvor Orient Leasing Co., Ltd. und änderte seinen Namen 1989 in ORIX Corporation. ORIX Corporation wurde 1950 eingetragen und hat seinen Hauptsitz in Minato, Japan.

IPO Year
1970
ISIN
US6863301015

Data as of: August 13, 2026 · Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q)

Note: pure fact-based analysis, not investment advice and not a solicitation to buy or sell. All figures without guarantee.

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