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Valuation: Nippon Building Fund Inc.

Capitalization 1,258B 7.95B 6.86B 6.19B 5.94B 10.79B 733B 11.28B 73.14B 29.33B 350B 29.85B 29.21B P/E ratio 2026 *
29.1x
P/E ratio 2027 * 27.4x
Enterprise value 1,869B 11.82B 10.19B 9.21B 8.82B 16.03B 1,089B 16.77B 109B 43.59B 521B 44.36B 43.41B EV / Sales 2026 *
18.2x
EV / Sales 2027 * 17.9x
Free-Float
90.95%
Yield 2026 *
3.45%
Yield 2027 * 3.65%
1 day+0.42%
1 week-0.42%
Current month-1.31%
1 month-2.25%
3 months+0.70%
6 months+1.34%
Current year+0.35%
1 week 140,300
Extreme 140300
146,900
1 month 140,300
Extreme 140300
149,600
Current year 140,100
Extreme 140100
152,300
1 year 122,400
Extreme 122400
152,300
3 years 107,800
Extreme 107800
152,300
5 years 107,800
Extreme 107800
152,300
10 years 104,400
Extreme 104400
179,200
Manager TitleAgeSince
Corporate Officer/Principal 62 28/02/2019
Director TitleAgeSince
Director/Board Member 67 12/03/2025
Director/Board Member 65 12/03/2025
Director/Board Member 71 12/03/2025
Change 5d. change 1-year change 3-years change Capi.($)
+0.35%-0.42%+16.78%+28.04% 8.02B
-0.87%-6.69%-23.94%-15.27% 8.4B
+0.16%-0.62%+21.72%+15.01% 5.78B
+0.40%-5.17%-16.69%-23.62% 4.82B
-0.73%-0.65%-21.06%-3.23% 3.9B
-1.99%-5.73%-3.00%-15.43% 3.8B
+1.12%+0.97%+19.37%+31.37% 3.61B
-1.34%-0.88%-11.73%-14.41% 3.53B
+0.22%+0.87%+26.27%+50.71% 3.25B
+3.76%+0.73%+22.12%-1.43% 3.14B
Average +0.11%-2.73%+2.98%+5.17% 4.83B
Weighted average by Cap. +0.00%-3.04%+1.42%+4.58%

Financials

2026 *2027 *
Net sales 102B 648M 559M 505M 484M 879M 59.7B 919M 5.96B 2.39B 28.56B 2.43B 2.38B 104B 657M 567M 512M 491M 892M 60.54B 932M 6.04B 2.42B 28.96B 2.47B 2.41B
Net income 42.66B 270M 233M 210M 201M 366M 24.85B 383M 2.48B 995M 11.89B 1.01B 991M 45.65B 289M 249M 225M 216M 392M 26.6B 410M 2.65B 1.06B 12.72B 1.08B 1.06B
Net Debt 611B 3.87B 3.33B 3.01B 2.89B 5.24B 356B 5.48B 35.55B 14.26B 170B 14.51B 14.2B 601B 3.8B 3.28B 2.96B 2.84B 5.16B 350B 5.39B 34.97B 14.02B 168B 14.27B 13.97B
Logo Nippon Building Fund Inc.
Nippon Building Fund Inc. is a Japan-based real estate investment trust (REIT) company. The Fund aims at steady asset growth and stable earnings from mid- to long-term perspectives. It mainly invests in office buildings and its building sites located in the central Tokyo area, other areas in Tokyo and other regional cities in Japan. It also invests in securities and beneficiary certificates. Its asset manager is Nippon Building Fund Management Ltd.
Employees
-
Date Price Change Volume
10/03/26 143,300.00 ¥ +0.35% 8,702
09/03/26 142,800.00 ¥ -0.56% 30,440
06/03/26 143,600.00 ¥ -0.76% 26,076
05/03/26 144,700.00 ¥ +1.69% 33,450
04/03/26 142,300.00 ¥ -1.18% 31,826
Trader
Investor
Global
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Quality
ESG MSCI
BBB

Quarterly revenue - Rate of surprise

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