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Trade Kajima Corporation - 1812 CFD

1553.2
1.5%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading Conditions
Long position overnight fee -0.0220%
Short position overnight fee -0.0224%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency JPY
Margin 20%
Stock exchange Japan
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 1528.9
Open* 1544.9
Day's Range* 1544.9 - 1544.9
1-Year Change* 8.59%
Volume N/A
Average Vol. (3m) 37.486
52 wk Range N/A
Market Cap 749572
P/E Ratio 7.06567
Shares Outstanding 492437000
Revenue 2125510
EPS 204.085
Dividend (Yield %) 4.02219
Beta 1.27783
Next Earnings Date Nov 7, 2022

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Jun 30, 2022 1553.2 6.2 0.40% 1547.0 1578.3 1541.0
Jun 29, 2022 1528.9 18.0 1.19% 1510.9 1534.6 1510.9
Jun 28, 2022 1520.9 20.9 1.39% 1500.0 1523.6 1499.0
Jun 27, 2022 1491.3 -3.7 -0.25% 1495.0 1515.0 1482.1
Jun 24, 2022 1479.2 12.1 0.82% 1467.1 1483.5 1456.2
Jun 23, 2022 1492.0 3.9 0.26% 1488.1 1496.4 1486.2
Jun 22, 2022 1484.1 21.0 1.44% 1463.1 1488.3 1456.2
Jun 21, 2022 1461.1 19.9 1.38% 1441.2 1465.2 1441.2
Jun 20, 2022 1433.1 -11.1 -0.77% 1444.2 1452.1 1423.6
Jun 17, 2022 1457.2 40.9 2.89% 1416.3 1459.8 1414.4
Jun 16, 2022 1446.1 10.9 0.76% 1435.2 1460.2 1435.2
Jun 15, 2022 1437.2 -7.0 -0.48% 1444.2 1460.5 1431.2
Jun 14, 2022 1436.1 15.9 1.12% 1420.2 1438.2 1408.4
Jun 13, 2022 1430.2 3.0 0.21% 1427.2 1439.2 1416.3
Jun 10, 2022 1444.2 -7.1 -0.49% 1451.3 1464.0 1442.1
Jun 9, 2022 1455.1 5.0 0.34% 1450.1 1464.3 1450.1
Jun 8, 2022 1452.2 3.1 0.21% 1449.1 1467.4 1449.1
Jun 7, 2022 1438.3 0.1 0.01% 1438.2 1446.5 1429.2
Jun 6, 2022 1439.2 4.0 0.28% 1435.2 1443.7 1433.2
Jun 3, 2022 1435.2 -7.0 -0.49% 1442.2 1448.5 1426.2

Kajima Corporation Events

Time (UTC) Country Event
Thursday, September 29, 2022
12:00
  JP
Dividend For 1812.T - 29.0000 JPY
Monday, November 7, 2022
03:00
  JP
Q2 2023 Kajima Corp Earnings Release
View all events
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Total revenue 1821800 1830620 1974270 2010750 1907180 2079700
Revenue 1821800 1830620 1974270 2010750 1907180 2079700
Cost of Revenue, Total 1574740 1571700 1723100 1762630 1665760 1823980
Gross Profit 247064 258924 251171 248121 241417 255716
Total Operating Expense 1668250 1675040 1841460 1877210 1784840 1975980
Selling/General/Admin. Expenses, Total 91671 100550 95313 100350 99985 116581
Unusual Expense (Income) 1833 2786 9810 -1555 4964 19668
Other Operating Expenses, Total 1 1 1 1 2
Operating Income 153559 155587 132812 133542 122334 103714
Interest Income (Expense), Net Non-Operating 10208 14049 16041 12855 20455 45086
Gain (Loss) on Sale of Assets 238 290 4197 637 2369 244
Other, Net -1820 7712 4424 2600 89 1326
Net Income Before Taxes 162185 177638 157474 149634 145247 150370
Net Income After Taxes 106296 126552 110178 103787 98768 100150
Minority Interest -1438 226 -339 -544 -245 3717
Net Income Before Extra. Items 104858 126778 109839 103243 98523 103867
Net Income 104858 126778 109839 103243 98523 103867
Total Adjustments to Net Income -1 0 -1 -1
Income Available to Common Excl. Extra. Items 104857 126778 109839 103242 98522 103867
Income Available to Common Incl. Extra. Items 104857 126778 109839 103242 98522 103867
Diluted Net Income 104857 126778 109839 103242 98522 103867
Diluted Weighted Average Shares 519.044 518.974 518.924 513.668 510.144 499.371
Diluted EPS Excluding Extraordinary Items 202.019 244.286 211.667 200.99 193.126 207.996
Dividends per Share - Common Stock Primary Issue 40 48 50 50 54 58
Diluted Normalized EPS 204.033 247.712 219.235 198.03 196.585 233.902
Research & Development 13235 15784 14133 15751
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total revenue 518253 453814 502305 526459 597117
Revenue 518253 453814 502305 526459 597117
Cost of Revenue, Total 458899 398065 442157 463614 520143
Gross Profit 59354 55749 60148 62845 76974
Total Operating Expense 491162 427052 473081 495893 580006
Selling/General/Admin. Expenses, Total 32459 29086 30366 30635 42245
Unusual Expense (Income) -197 -99 557 1645 17616
Other Operating Expenses, Total 1 1 -1 2
Operating Income 27091 26762 29224 30566 17111
Interest Income (Expense), Net Non-Operating 9417 4611 9636 14010 17772
Gain (Loss) on Sale of Assets 1329 51 244
Other, Net -3626 224 701 -74 -468
Net Income Before Taxes 34211 31648 39561 44502 34659
Net Income After Taxes 21581 22136 28039 31655 18320
Minority Interest 445 -70 -229 -107 4123
Net Income Before Extra. Items 22026 22066 27810 31548 22443
Net Income 22026 22066 27810 31548 22443
Total Adjustments to Net Income -1 -1 1
Income Available to Common Excl. Extra. Items 22025 22065 27810 31548 22444
Income Available to Common Incl. Extra. Items 22025 22065 27810 31548 22444
Diluted Net Income 22025 22065 27810 31548 22444
Diluted Weighted Average Shares 505.35 503.165 498.799 498.921 496.599
Diluted EPS Excluding Extraordinary Items 43.5836 43.8524 55.7539 63.2325 45.1954
Dividends per Share - Common Stock Primary Issue 29 0 27 0 31
Diluted Normalized EPS 41.6788 43.9261 56.5454 65.5778 63.6861
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Total Current Assets 1304650 1293860 1322400 1349260 1262940 1390710
Cash and Short Term Investments 384361 394550 335463 275428 320277 285387
Cash & Equivalents 374093 394550 322658 262963 307633 273303
Short Term Investments 10268 12805 12465 12644 12084
Total Receivables, Net 608047 625861 701124 733304 601182 724606
Accounts Receivable - Trade, Net 608047 625861 701124 733304 601182 724606
Total Inventory 199335 179056 188649 219229 253751 271238
Other Current Assets, Total 112903 94394 97161 121303 87732 109480
Total Assets 1992820 2051230 2091180 2172110 2164810 2337740
Property/Plant/Equipment, Total - Net 353645 340929 331699 391049 417955 427581
Intangibles, Net 8418 10541 11661 11548 11330 14898
Long Term Investments 265432 294485 326974 310952 351699 355871
Note Receivable - Long Term 23964 48938 50012 62953 69019
Other Long Term Assets, Total 36717 111410 49506 59283 57927 79661
Total Current Liabilities 1117070 1103650 1062320 1125410 990080 1107670
Accounts Payable 517834 509027 530420 520653 445589 501962
Accrued Expenses 144 111 153 142 141
Notes Payable/Short Term Debt 140160 61000 120193 144798 133802 188475
Current Port. of LT Debt/Capital Leases 74078 119357 52843 86032 57218 105499
Other Current Liabilities, Total 384856 414267 358756 373774 353329 311591
Total Liabilities 1444290 1385200 1337900 1380320 1289970 1392040
Total Long Term Debt 195386 164474 160696 133597 168109 150479
Long Term Debt 195386 164474 159178 130425 163616 145173
Deferred Income Tax 38236 22657 20464 21678 22351
Minority Interest 4018 3774 3646 4233 9967 7861
Other Liabilities, Total 89576 113306 88575 96617 100133 103677
Total Equity 548534 666021 753278 791787 874839 945705
Common Stock 81447 81447 81447 81447 81447 81447
Additional Paid-In Capital 45304 45304 43267 43367 43271 42313
Retained Earnings (Accumulated Deficit) 319834 424194 507094 583303 654128 731275
Treasury Stock - Common -6505 -6567 -6641 -16420 -26172 -45921
Unrealized Gain (Loss) 99437 116131 130035 103647 133740 126854
Other Equity, Total 9017 5512 -1924 -3557 -11575 9737
Total Liabilities & Shareholders’ Equity 1992820 2051230 2091180 2172110 2164810 2337740
Total Common Shares Outstanding 518.988 518.959 518.908 512.578 505.348 492.439
Capital Lease Obligations 1518 3172 4493 5306
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 1262940 1169880 1236390 1327080 1390710
Cash and Short Term Investments 320277 309885 265984 251218 285387
Cash & Equivalents 307633 309885 265984 251218 273303
Short Term Investments 12644 12084
Total Receivables, Net 601182 553510 637149 703672 724606
Accounts Receivable - Trade, Net 601182 553510 637149 703672 724606
Total Inventory 253751 201076 212645 238376 271238
Other Current Assets, Total 87732 105404 120612 133815 109480
Total Assets 2164810 2084180 2178050 2259060 2337740
Property/Plant/Equipment, Total - Net 417955 431925 443686 446476 427581
Intangibles, Net 11330 11286 11706 11560 14898
Long Term Investments 350351 345755 355421 336973 355871
Other Long Term Assets, Total 122228 125337 130851 136974 79661
Total Current Liabilities 990080 912621 962921 1036020 1107670
Accounts Payable 445589 418215 448319 483810 501962
Accrued Expenses 142 141
Notes Payable/Short Term Debt 133802 0 0 50000 188474
Current Port. of LT Debt/Capital Leases 57218 150828 139037 146525 105500
Other Current Liabilities, Total 353329 343578 375565 355685 311591
Total Liabilities 1289970 1200490 1261420 1341380 1392040
Total Long Term Debt 168109 149836 158689 162552 150479
Long Term Debt 163616 149836 158689 162552 145173
Capital Lease Obligations 4493 5306
Deferred Income Tax 21678 22351
Minority Interest 9967 10874 11188 12070 7861
Other Liabilities, Total 100133 127159 128617 130742 103677
Total Equity 874839 883688 916639 917680 945705
Common Stock 81447 81447 81447 81447 81447
Additional Paid-In Capital 43271 43271 43316 42718 42313
Retained Earnings (Accumulated Deficit) 654128 662943 690753 708831 731275
Treasury Stock - Common -26172 -36173 -35917 -35919 -45921
Unrealized Gain (Loss) 133740 129772 134012 118254 126854
Other Equity, Total -11575 2428 3028 2349 9737
Total Liabilities & Shareholders’ Equity 2164810 2084180 2178050 2259060 2337740
Total Common Shares Outstanding 505.348 498.696 498.905 498.903 492.439
Note Receivable - Long Term 69019
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Net income/Starting Line 162185 177638 157474 149634 145247 150370
Cash From Operating Activities 187730 120478 30389 53060 153096 30216
Cash From Operating Activities 19343 19379 19166 19962 19080 22611
Non-Cash Items -37882 -7888 -1588 -11063 -14534 -18921
Cash Taxes Paid 44995 48069 50878 36687 50300 54067
Cash Interest Paid 3894 3257 3477 3452 2705 2222
Changes in Working Capital 44084 -68651 -144663 -105473 3303 -123844
Cash From Investing Activities -31912 -47354 -25346 -101813 -65434 -51166
Capital Expenditures -27876 -14812 -26176 -83857 -49346 -53085
Other Investing Cash Flow Items, Total -4036 -32542 830 -17956 -16088 1919
Cash From Financing Activities -20577 -53099 -75007 -10866 -39110 -20930
Financing Cash Flow Items -179 -239 -2393 -61 5644 -964
Total Cash Dividends Paid -16610 -23873 -26984 -26306 -25634 -28125
Issuance (Retirement) of Debt, Net -3788 -28987 -45630 25508 -9114 28166
Foreign Exchange Effects -2578 1850 -3933 -186 -3208 8623
Net Change in Cash 132663 21875 -73897 -59805 45344 -33257
Issuance (Retirement) of Stock, Net -10007 -10006 -20007
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line 145247 71209 150370
Cash From Operating Activities 153096 35135 30216
Cash From Operating Activities 19080 10512 22611
Non-Cash Items -14534 -16333 -18921
Cash Taxes Paid 50300 32297 54067
Cash Interest Paid 2705 1158 2222
Changes in Working Capital 3303 -30253 -123844
Cash From Investing Activities -65434 -34129 -51166
Capital Expenditures -49346 -33411 -53085
Other Investing Cash Flow Items, Total -16088 -718 1919
Cash From Financing Activities -39110 -52579 -20930
Financing Cash Flow Items 5644 211 -964
Total Cash Dividends Paid -25634 -14655 -28125
Issuance (Retirement) of Stock, Net -10006 -10003 -20007
Issuance (Retirement) of Debt, Net -9114 -28132 28166
Foreign Exchange Effects -3208 5997 8623
Net Change in Cash 45344 -45576 -33257

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Kajima Corporation Company profile

About Kajima Corp

KAJIMA CORPORATION is a Japan-based company mainly engaged in the civil engineering business, the construction business and the real estate development business.The Company operates through five business segments. The Civil engineering segment is engaged in the civil engineering business. The Construction segment is engaged in the construction business. The Development segment is engaged in the general real estate development business, the design, structural design and other design business, as well as the general engineering business. The Domestic Affiliates segment is engaged in the sale of construction materials and equipment, the contract of specialized work, as well as the general leasing business and the building leasing business in Japan. The Overseas Affiliates segment is engaged in the construction business and the real estate development business in overseas regions such as North America, Europe, Asia and Oceania.

Financial summary

BRIEF: For the nine months ended 31 December 2021, Kajima Corp revenues increased 7% to Y1.483T. Net income applicable to common stockholders increased 6% to Y81.42B. Revenues reflect Overseas affiliates segment increase of 25% to Y448.65B, Construction Project segment increase of 14% to Y649.6B. Net income was partially offset by Construction Project segment income decrease of 25% to Y36.53B.

Equity composition

FY'99-02 WAS were estimated. FY'06 3Q: N/A.

Industry: Construction & Engineering (NEC)

元赤坂1-3-1
MINATO-KU
TOKYO-TO 107-8388
JP

Income statement

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23,659.75 Price
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Long position overnight fee -0.0500%
Short position overnight fee 0.0140%
Overnight fee time 21:00 (UTC)
Spread 60.00

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