FUNDAMENTALS · Fundamentals · JP Consumer Cyclical

Kojima (7513) Fundamentals 2026 — P/E 17.8x, Revenue Analysis | SniperIQ

Kojima (7513) is a JP-listed Consumer Cyclical company in Technology Distributors with a market capitalization of ¥105.4B, trading at ¥1360.00 on the JPX. This SniperIQ fundamentals page covers Kojima's valuation (P/E 17.8x, P/B 1.4x), profitability (net margin 2.0%), revenue (¥282.8B in FY2025), balance-sheet quality, and AI signal context — from live market data, research only.

Market Cap¥105.4B
P/E (TTM)17.8x
Net Margin2.0%
Revenue (FY25)¥282.8B

Full research coverage

  • 8-Quarter Revenue & Margin Trend
  • Debt Maturity & Coverage
  • Peer Valuation Comparison
  • Free Cash Flow & Owner Earnings
  • AI Signal + Institutional Flow
  • DCF Valuation Model

Frequently Asked Questions

What is Kojima's market cap?

Kojima (7513) has a market capitalization of approximately ¥105.4B, trading at ¥1360.00 on the JPX. Market cap moves with the live share price.

What is Kojima's P/E ratio?

Kojima's trailing twelve-month P/E ratio is 17.8x, with a price-to-book (P/B) of 1.4x. Valuation multiples are best compared with Consumer Cyclical sector peers rather than read in isolation.

How profitable is Kojima?

Kojima runs a net profit margin of 2.0%, a gross margin of 27.3%, and an operating margin of 3.1%. Margins and ROE indicate how efficiently the business converts sales into profit and shareholder returns.

How much revenue does Kojima generate?

Kojima reported revenue of ¥282.8B for fiscal year 2025, with net income of ¥4.7B and earnings per share (EPS) of 61.05. SniperIQ tracks the full 8-quarter revenue and margin trend on the research dashboard.

Does Kojima pay a dividend?

Kojima offers a trailing dividend yield of about 1.6%. Dividend sustainability depends on payout ratio, free cash flow, and earnings stability — all tracked in SniperIQ's fundamentals view.

Is Kojima financially healthy?

Kojima carries a debt-to-equity ratio of 0.12x and a current ratio of 2.13x, with a market beta of 0.06. Lower leverage and a current ratio above 1.0 generally signal a stronger balance sheet.

Is Kojima a good stock to buy in 2026?

SniperIQ provides research-only market intelligence, not personalised financial advice or a buy/sell call. For Kojima (7513) the key facts are: market cap ¥105.4B, P/E 17.8x, revenue ¥282.8B, 52-week range 1064-1473. Weigh valuation, profitability, growth, and balance-sheet strength against Consumer Cyclical peers and form your own view.

Track Kojima's full fundamentals live

Get Kojima's 8-quarter revenue and margin trend, peer comparison, DCF model, and AI signal on the SniperIQ research dashboard.

Related: Samsung Climate Control (006660) fundamentals · Prada S.p.A (1913) fundamentals · GENDA (9166) fundamentals · Sky Gold (SKYGOLD) fundamentals · All stock fundamentals · AI signal library
Research Hubs: Fundamentals library · Screeners · Institutional positioning · Super investors · Daily signals · Platform comparisons