(7347) Stock Price

Market cap
¥15.6B
P/E ratio
14.1x
Mercuria Holdings manages investment funds for domestic and international clients while also investing its own capital across buyout, growth, real estate, and value strategies.

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Business Overview

Mercuria Holdings was established on July 1, 2021, and serves as the parent company of Mercuria Investment, overseeing the management of group operations. The company's primary business consists of a fund management operation that manages capital from domestic and international investors through funds, and a proprietary investment operation that manages the company's own capital.

Mercuria Holdings' business is classified as a single segment in investment management operations, but is divided into business investments and asset investments based on investment strategy. Business investments include buyout investment strategy and growth investment strategy, while asset investments comprise real estate investment strategy, cash flow investment strategy, and value investment strategy.

Under the buyout investment strategy, the company acquires equity stakes in enterprises and participates in management to enhance corporate value. The growth investment strategy focuses on investments in innovative businesses, such as the convergence of new technology and traditional finance. The real estate investment strategy pursues returns commensurate with risk through real estate investments tailored to regional economic conditions.

The cash flow investment strategy invests in assets expected to generate stable income and provides investors with consistent cash flow returns. The value investment strategy identifies value by investing in businesses and assets trading below their theoretical value.

Mercuria Holdings generates revenue from both fund management operations and proprietary investment operations. Fund management operations generate management fees and performance fees from funds, while proprietary investment operations generate equity gains or losses, dividends, and capital gains from self-investments in funds.

Management Policy

Mercuria Holdings aims to become "a world-leading investment group" by revitalizing Japan's economy through alternative investments. The company seeks to promote the circulation of investment capital and deliver returns to diverse stakeholders, including investors and shareholders.

Under its medium-term management plan, the company is strengthening its foundation as a multi-strategy fund management company by establishing new funds based on buyout investment strategies and cash flow investment strategies. This approach aims to maximize performance fees, increase management fees, and expand returns from proprietary investments.

Mercuria Holdings is focusing on establishing core funds such as buyout funds and Spring REIT. The company is also advancing investments across diverse asset classes, including BizTech fund operations and aircraft leasing fund operations, to diversify revenue streams.

The company actively communicates information to promote understanding of alternative investments. Expanding the investor base by conveying the appeal of alternative assets to domestic and international investors is identified as a key priority.

Mercuria Holdings regards maintaining Prime Market listing standards as an important management objective and aims to achieve its medium-term profit plan through maximizing performance fees and building management fees. This strategy is designed to enhance corporate value.

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