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Trade Seven & i Holdings Co., Ltd. - 3382 CFD

5253.29
1.35%
  • 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* 5325.1
Open* 5329.09
Day's Range* 5245.31 - 5245.31
1-Year Change* 1.1%
Volume N/A
Average Vol. (3m) 50.9432
52 wk Range N/A
Market Cap 4819580
P/E Ratio 20.625
Shares Outstanding 883150000
Revenue 9641700
EPS 263.613
Dividend (Yield %) 1.83925
Beta 0.65311
Next Earnings Date Oct 5, 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 5253.29 -75.80 -1.42% 5329.09 5329.09 5244.31
Jun 29, 2022 5325.10 -9.96 -0.19% 5335.06 5344.05 5301.16
Jun 28, 2022 5359.01 42.94 0.81% 5316.07 5362.01 5295.17
Jun 27, 2022 5344.05 60.87 1.15% 5283.18 5354.03 5283.18
Jun 24, 2022 5305.15 10.97 0.21% 5294.18 5331.09 5290.19
Jun 23, 2022 5273.23 76.80 1.48% 5196.43 5286.20 5196.43
Jun 22, 2022 5206.41 66.83 1.30% 5139.58 5217.38 5139.54
Jun 21, 2022 5136.59 1.00 0.02% 5135.59 5176.49 5099.67
Jun 20, 2022 5113.65 -45.87 -0.89% 5159.52 5172.50 5073.75
Jun 17, 2022 5149.56 51.87 1.02% 5097.69 5182.47 5025.88
Jun 16, 2022 5144.57 -43.88 -0.85% 5188.45 5240.32 5142.57
Jun 15, 2022 5188.45 -14.96 -0.29% 5203.41 5239.33 5185.46
Jun 14, 2022 5271.24 -45.87 -0.86% 5317.11 5358.02 5232.34
Jun 13, 2022 5386.94 0.05 0.00% 5386.89 5425.84 5353.02
Jun 10, 2022 5534.56 -14.95 -0.27% 5549.51 5564.48 5526.55
Jun 9, 2022 5529.57 -27.92 -0.50% 5557.49 5557.49 5513.61
Jun 8, 2022 5569.46 105.72 1.93% 5463.74 5579.44 5463.74
Jun 7, 2022 5471.72 27.93 0.51% 5443.79 5492.67 5441.79
Jun 6, 2022 5425.84 6.99 0.13% 5418.85 5454.76 5398.90
Jun 3, 2022 5435.81 35.91 0.67% 5399.90 5445.79 5393.91

Seven & i Holdings Co., Ltd. Events

Time (UTC) Country Event
Tuesday, August 30, 2022
12:00
  JP
Dividend For 3382.T - 49.5000 JPY
Wednesday, October 5, 2022
06:00
  JP
Q2 2023 Seven & i Holdings Co Ltd Earnings Release
Wednesday, January 11, 2023
06:00
  JP
Q3 2023 Seven & i Holdings Co Ltd Earnings Release
View all events
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Total revenue 5835690 6037820 6791220 6644360 5766720 8749750
Revenue 5835690 6037820 6791220 6644360 5766720 8749750
Cost of Revenue, Total 3602040 3773220 4411820 4239580 3480020 6017370
Gross Profit 2233650 2264600 2379400 2404780 2286690 2732380
Total Operating Expense 5621440 5771620 6479720 6298220 5503090 8420960
Selling/General/Admin. Expenses, Total 1670830 1669240 1757610 1766160 1699930 2065640
Depreciation / Amortization 237549 203694 214085 214354 220434 279082
Unusual Expense (Income) 111024 125465 96203 78132 102705 58865
Other Operating Expenses, Total 1 2 1 1 1
Operating Income 214249 266192 311498 346134 263624 328788
Interest Income (Expense), Net Non-Operating -250 -337 -2374 -4702 -7465 -19171
Gain (Loss) on Sale of Assets 3487 11038 8321 6606 4116 8926
Other, Net 83 -573 -34 -1569 -1499 -6689
Net Income Before Taxes 217569 276320 317411 346469 258776 311854
Net Income After Taxes 110823 196897 213060 235206 194337 223241
Minority Interest -14072 -15746 -10056 -17020 -15074 -12466
Net Income Before Extra. Items 96751 181151 203004 218186 179263 210775
Net Income 96751 181151 203004 218186 179263 210775
Total Adjustments to Net Income -1 -1 -1 -1 -1
Income Available to Common Excl. Extra. Items 96750 181150 203004 218185 179262 210774
Income Available to Common Incl. Extra. Items 96750 181150 203004 218185 179262 210774
Dilution Adjustment 24 26 9 4
Diluted Net Income 96774 181176 203013 218185 179266 210774
Diluted Weighted Average Shares 884.871 885.113 885.236 883.845 882.941 883.082
Diluted EPS Excluding Extraordinary Items 109.365 204.693 229.332 246.859 203.033 238.68
Dividends per Share - Common Stock Primary Issue 90 90 95 98.5 98.5 100
Diluted Normalized EPS 233.942 315.59 326.559 328.469 315.247 359.875
May 2021 Aug 2021 Nov 2021 Feb 2022 May 2022
Total revenue 1555370 2091080 2503020 2600280 2447320
Revenue 1555370 2091080 2503020 2600280 2447320
Cost of Revenue, Total 990659 1411910 1759260 1855550 1709660
Gross Profit 564712 679171 743768 744729 737657
Total Operating Expense 1487900 1994700 2396590 2541780 2351300
Selling/General/Admin. Expenses, Total 428948 504238 553146 579312 551304
Depreciation / Amortization 58252 66274 73865 80691 83985
Unusual Expense (Income) 10040 12279 10322 26224 6346
Operating Income 67472 96379 106435 58502 96021
Interest Income (Expense), Net Non-Operating -4775 -1871 -6556 -7062 -6324
Gain (Loss) on Sale of Assets 4883 688 1254 2101 5030
Other, Net -2867 -81 -1507 -1141 -524
Net Income Before Taxes 64713 95115 99626 52400 94203
Net Income After Taxes 45737 66915 71553 39036 67825
Minority Interest -2717 -3435 -3175 -3139 -2785
Net Income Before Extra. Items 43020 63480 68378 35897 65040
Net Income 43020 63480 68378 35897 65040
Total Adjustments to Net Income -2 2 -1 -1
Income Available to Common Excl. Extra. Items 43018 63482 68377 35897 65039
Income Available to Common Incl. Extra. Items 43018 63482 68377 35897 65039
Diluted Net Income 43018 63482 68377 35897 65042.7
Diluted Weighted Average Shares 882.983 883.081 883.111 883.113 883.132
Diluted EPS Excluding Extraordinary Items 48.7189 71.8869 77.4274 40.6483 73.65
Dividends per Share - Common Stock Primary Issue 0 48 0 52 0
Diluted Normalized EPS 60.0417 100.556 111.252 88.6293 102.891
Other Operating Expenses, Total 1 0 0 1
Dilution Adjustment 3.6718
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Total Current Assets 2274400 2340210 2326460 2471920 3350220 2604770
Cash and Short Term Investments 1222100 1316790 1314560 1357730 2189150 1420650
Cash & Equivalents 1222100 1316790 1314560 1357730 2189150 1420650
Total Receivables, Net 433907 427979 431813 447770 405799 449579
Accounts Receivable - Trade, Net 342855 332497 330323 345047 310789 357917
Total Inventory 192462 176988 181019 178094 161325 248815
Prepaid Expenses 147823 149108 151561 211745 278480 179132
Other Current Assets, Total 278110 269339 247502 276579 315467 306595
Total Assets 5508890 5494950 5795060 5996890 6946830 8739280
Property/Plant/Equipment, Total - Net 2007830 1989460 2118630 2183380 2206020 3232350
Property/Plant/Equipment, Total - Gross 3869240 3884210 3994580 4151510 4230350 5468850
Accumulated Depreciation, Total -1861410 -1894750 -1875960 -1968140 -2024320 -2236510
Goodwill, Net 270055 251233 371969 359618 349882 1741600
Intangibles, Net 225880 210733 236518 249265 295991 398398
Long Term Investments 188162 175856 191985 184670 204107 220615
Note Receivable - Long Term 15315 14794 14415 13836 14194 14633
Other Long Term Assets, Total 527244 512672 535089 534202 526412 526908
Total Current Liabilities 1947620 1944010 1992760 2157170 2782430 2480720
Accounts Payable 415348 420011 411602 410793 385289 483908
Accrued Expenses 146341 132369 142995 145987 139283 249560
Notes Payable/Short Term Debt 150376 127255 143160 129456 619953 140146
Current Port. of LT Debt/Capital Leases 114301 157655 156688 168437 213664 181280
Other Current Liabilities, Total 1121250 1106720 1138320 1302500 1424240 1425830
Total Liabilities 3170240 3065060 3270860 3394960 4277850 5758270
Total Long Term Debt 783810 698149 805339 685066 927592 2577300
Long Term Debt 783810 698149 805339 685066 927592 2577300
Deferred Income Tax 49080 35416 43926 63949 78879 109825
Minority Interest 137154 145454 148285 155295 162352 166719
Other Liabilities, Total 252574 242036 280551 333478 326593 423692
Total Equity 2338650 2429890 2524200 2601930 2668980 2981010
Common Stock 50000 50000 50000 50000 50000 50000
Additional Paid-In Capital 409095 409128 409859 409262 409069 408645
Retained Earnings (Accumulated Deficit) 1795630 1897070 2018440 2107250 2198860 2319210
Treasury Stock - Common -5074 -4731 -4680 -11313 -10851 -10282
Unrealized Gain (Loss) 28467 27897 26150 25953 35729 37696
Other Equity, Total 60535 50527 24437 20774 -13825 175743
Total Liabilities & Shareholders’ Equity 5508890 5494950 5795060 5996890 6946830 8739280
Total Common Shares Outstanding 884.403 884.545 884.569 882.846 882.966 883.117
May 2021 Aug 2021 Nov 2021 Feb 2022 May 2022
Total Current Assets 4684410 2646350 2640180 2604770 2837060
Cash and Short Term Investments 3567070 1471370 1386330 1420650 1533230
Cash & Equivalents 3567070 1471370 1386330 1420650 1533230
Total Receivables, Net 432144 460345 501495 449579 498619
Accounts Receivable - Trade, Net 337291 366084 407549 357917 406373
Total Inventory 170775 226685 239992 248815 282165
Prepaid Expenses 155077 147534 164851 179132 171670
Other Current Assets, Total 359342 340417 347503 306595 351376
Total Assets 8397040 8718550 8649300 8739280 9959260
Property/Plant/Equipment, Total - Net 2286980 3272290 3175340 3232350 4111640
Goodwill, Net 373097 1662420 1693430 1741600 1831900
Intangibles, Net 311041 391678 383070 398398 404653
Long Term Investments 206318 211234 220682 220615 226400
Note Receivable - Long Term 13894 14336 14279 14633 14363
Other Long Term Assets, Total 521300 520241 522333 526908 533241
Total Current Liabilities 2889330 2970350 3024200 2480720 3043400
Accounts Payable 419356 529840 533358 483908 564826
Accrued Expenses 163335 213197 240714 249560 248496
Notes Payable/Short Term Debt 622631 624082 626166 140146 132160
Current Port. of LT Debt/Capital Leases 232288 270712 277389 181280 488195
Other Current Liabilities, Total 1451720 1332520 1346570 1425830 1609730
Total Liabilities 5612290 5864190 5754160 5758270 6811370
Total Long Term Debt 2126220 2221190 2053470 2577300 3201820
Long Term Debt 2126220 2221190 2053470 2577300 2453980
Deferred Income Tax 84565 94017 106329 109825 137667
Minority Interest 159837 163551 163352 166719 166242
Other Liabilities, Total 352339 415083 406809 423692 262240
Total Equity 2784750 2854360 2895140 2981010 3147880
Common Stock 50000 50000 50000 50000 50000
Additional Paid-In Capital 409045 409061 409018 408645 408645
Retained Earnings (Accumulated Deficit) 2194460 2257820 2283060 2319210 2360430
Treasury Stock - Common -10675 -10300 -10276 -10282 -10155
Unrealized Gain (Loss) 36743 42568 41504 37696 34815
Other Equity, Total 105174 105211 121836 175743 304148
Total Liabilities & Shareholders’ Equity 8397040 8718550 8649300 8739280 9959260
Total Common Shares Outstanding 883.013 883.111 883.117 883.117 883.15
Property/Plant/Equipment, Total - Gross 4238330
Accumulated Depreciation, Total -2236510
Capital Lease Obligations 747837
  • Annual
  • Quarterly
2017 2018 2019 2020 2021 2022
Net income/Starting Line 217569 276320 317411 346469 258776 311854
Cash From Operating Activities 512359 498306 577867 576669 539995 736478
Cash From Operating Activities 207483 213167 221133 226475 235504 292561
Amortization 55458 16620 27079 23574 25040 71276
Non-Cash Items 75727 99744 69501 49440 46631 41704
Cash Taxes Paid 140629 78891 81493 80897 96758 40246
Cash Interest Paid 7452 8877 11729 10735 10129 20781
Changes in Working Capital -43878 -107545 -57257 -69289 -25956 19083
Cash From Investing Activities -371602 -240418 -557497 -318047 -394127 -2505570
Capital Expenditures -348436 -311288 -511534 -339342 -349831 -424431
Other Investing Cash Flow Items, Total -23166 70870 -45963 21295 -44296 -2081140
Cash From Financing Activities -78190 -168510 -5324 -213204 690542 937077
Financing Cash Flow Items -15133 -28529 -22605 -23828 -34392 -26774
Total Cash Dividends Paid -80834 -79558 -81784 -83976 -87081 -87490
Issuance (Retirement) of Stock, Net -2276 -25 -20 -6718 -12 -22
Issuance (Retirement) of Debt, Net 20053 -60398 99085 -98682 812027 1051360
Foreign Exchange Effects -154 1508 -5231 -1292 -7430 63065
Net Change in Cash 62413 90886 9815 44126 828980 -768946
May 2021 Aug 2021 Nov 2021 Feb 2022 May 2022
Net income/Starting Line 64713 159828 259454 311854 94203
Cash From Operating Activities 249906 340803 481589 736478 280154
Cash From Operating Activities 61802 131608 208738 292561 87164
Amortization 6353 23516 46874 71276 24876
Non-Cash Items 5591 13188 23703 41704 6450
Cash Taxes Paid 36411 32999 59561 40246 33440
Cash Interest Paid 2601 5926 16743 20781 11423
Changes in Working Capital 111447 12663 -57180 19083 67461
Cash From Investing Activities -84881 -2343980 -2367060 -2505570 -92829
Capital Expenditures -103863 -211988 -315824 -424431 -92674
Other Investing Cash Flow Items, Total 18982 -2131990 -2051240 -2081140 -155
Cash From Financing Activities 1099430 1243150 1030320 937077 -86031
Financing Cash Flow Items -5753 -13240 -16989 -26774 -6499
Total Cash Dividends Paid -44659 -45089 -87351 -87490 -45581
Issuance (Retirement) of Stock, Net -7 -12 -16 -22 -3
Issuance (Retirement) of Debt, Net 1149850 1301490 1134670 1051360 -33948
Foreign Exchange Effects 114126 42551 50377 63065 10908
Net Change in Cash 1378580 -717476 -804782 -768946 112202

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Seven & i Holdings Co., Ltd. Company profile

About Seven & i Holdings Co., Ltd.

Seven & i Holdings Co Ltd is a Japan-based company mainly engaged in the distribution business. The Company operates in seven business segments. The Domestic Convenience Store segment is engaged in the convenience store business based on direct management and franchise systems, such as the operation of 7-Eleven stores in Japan. The Overseas Convenience Store segment is engaged in the operation of convenience stores, such as 7-Eleven overseas. The Superstore segment is a retail business that provides food, daily necessities and other items necessary for daily life. The Department Store segment is engaged in the retail business. The Finance-Related segment is involved in the banking, credit card business and leasing business. The Specialty Store segment is engaged in the retail business that provides specialized and distinctive products and services. The Others segment is involved in the real estate business.

Financial summary

BRIEF: For the nine months ended 30 November 2021, Seven &i Holdings Co., Ltd. revenues increased 44% to Y6.149T. Netincome applicable to common stockholders increased 34% toY174.88B. Revenues reflect Oversea Convenience Storesegment increase from Y1.638T to Y3.519T, Department storesegment increase of 72% to Y508.23B, North America segmentincrease from Y1.671T to Y3.502T, Japan segment increase of1% to Y2.564T.

Equity composition

FY'08-'09 Q1 & Q3 WAS was estimated and used as DWAS & o/s.5/06, WAS&O/S estimated.

Industry: Supermarkets & Convenience Stores

二番町8番地8
CHIYODA-KU
TOKYO-TO 102-8452
JP

Income statement

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