H.U. Group Holdings, Inc.

4544.T
Diagnostics & Research
2026/01/16 Updated
Market Cap: $1.2B (¥195.2B)
Stock Price: $21.67 (¥3,435)
Exchange Rate: 1 USD = ¥158.48

Stock Price Chart

2026/01/16 Updated
70.93
PER (Price Earnings Ratio)
vs Industry Avg: +61.4
1.45
PBR (Price to Book Ratio)
vs Industry Avg: +0.2
3.64%
Dividend Yield
vs Industry Avg: +0.69%

Price Trend

2026/01/16 Updated
Short-term
5-Day MA
-1.05%
Near-term
25-Day MA
+1.54%
Mid-term
75-Day MA
-4.00%
Long-term
200-Day MA
+5.33%

Price & Trading Details

2026/01/16 Updated

PRICE

Previous Close ¥3,482
Open ¥3,480
High ¥3,483
Low ¥3,426
Close ¥3,435

TRADING

Volume 212,900
Average Volume 243,235
Turnover ¥7億
Min. Purchase ¥343,500

Analyst Recommendations 4 analysts

Updated 2026/01/11
Strong Buy
0
Buy
1
1
Hold
2
2
Sell
0
Strong Sell
1
1
Target Price (Mean)
¥3,345
None
¥4,780
High
¥3,150
Median
¥2,300
Low
-4% vs Current Price
This information is based on market data from third-party data providers and is for reference only. Investment decisions are your own responsibility.

Shareholder Composition

Updated 2026/01/11
0.0%
Insider Holdings
59.4%
Institutional
40.5%
Public Float
89
Institutional Holders
Insider Holdings 0.0%
Institutional 59.4%
Public Float 40.5%

Major Holders

Updated 2026/01/11
Institution Ownership Shares Change
Datum One Series Trust-BRANDES INTERNATIONAL SMALL CAP EQUITY FUND
1.96%
1.1M +4.35%
VANGUARD STAR FUNDS-Vanguard Total International Stock Index Fund
1.41%
808.5K +1.89%
GMO TRUST-GMO-Usonian Japan Value Creation Fund
0.97%
555.7K 0.00%
VANGUARD TAX-MANAGED FUNDS-Vanguard Developed Markets Index Fund
0.90%
518.2K +5.28%
GMO TRUST-GMO Implementation Fund
0.67%
387.6K 0.00%
iShares Trust-iShares Core MSCI EAFE ETF
0.61%
349.6K 0.00%

Dividend History

Updated 2026/01/11
-%
Dividend Yield
¥125
Annual Dividend
0.0%
YoY Growth
-%
Payout Ratio
Year Dividend Change
2025 ¥125 0.0%
2024 ¥125 0.0%
2023 ¥125 0.0%
2022 ¥125 -19.9%
2021 ¥156 -

Financial Performance

2026/01/11 Updated

Revenue & Profit

Margins

Cash Flow

Financial Health

2022 2023 2024 2025
Income Statement
Revenue ¥272,944M ¥260,908M ¥236,950M ¥243,025M
Gross Profit ¥111,799M ¥89,924M ¥63,235M ¥67,198M
Operating Income ¥50,491M ¥23,381M -¥4,044M ¥2,641M
Pretax Income ¥41,718M ¥23,276M -¥7,220M ¥3,806M
Net Income ¥29,599M ¥15,676M -¥7,553M ¥2,761M
EPS ¥519.42 ¥275.50 -¥132.77 -
Operating Margin 18.50% 8.96% -1.71% 1.09%
Balance Sheet
Total Assets ¥286,587M ¥297,924M ¥290,849M ¥279,582M
Total Equity ¥140,176M ¥150,045M ¥142,505M ¥137,112M
Total Liabilities ¥146,411M ¥147,879M ¥148,344M ¥142,470M
Cash ¥46,490M ¥44,186M ¥39,947M ¥40,885M
Interest-bearing Debt ¥72,999M ¥77,164M ¥81,945M ¥86,652M
Equity Ratio 48.91% 50.36% 49.00% 49.04%
D/E Ratio 0.52 0.51 0.58 0.63
Cash Flow
Operating CF ¥55,229M ¥32,535M ¥16,551M ¥21,964M
Investing CF -¥30,862M -¥29,583M -¥16,050M -¥15,958M
Financing CF -¥21,725M -¥5,757M -¥5,782M -¥5,298M
Free CF ¥20,104M ¥10,849M -¥1,006M ¥11,650M
Efficiency
ROE 21.12% 10.45% -5.30% 2.01%
ROA 10.33% 5.26% -2.60% 0.99%

Company Information

English Name H.U. Group Holdings, Inc.
Japanese Name H.U.グループホールディングス(株)
Stock Code 4544.T (JPX)
Sector / Industry Healthcare / Diagnostics & Research
Employees 5,444

About

H.U. Group Holdings, Inc., together with its subsidiaries, operates healthcare business in Japan, the United States, Europe, and internationally. The Lab Testing and Its Related Services segment provides general testing services to medical institutions that include esoteric testing, such as genetic and oncology testing; companion diagnostics-related tests for cancer treatment; omics analysis comprising whole genome sequencing and proteome analysis; comprehensive support for clinical trials and research, including pre-trial setup work, specimen collection and transport, measuring, result reports, and data management, as well as SaaS for general practitioners and personal health records. Its In-Vitro Diagnostics segment provides Lumipulse system products, an automated chemiluminescence enzyme immunoassay system that offers reagents; testing services for neurodegenerative diseases; and rapid diagnostics kit for infectious diseases comprising influenza and COVID-19, as well as cerebrospinal fluid reagent. This segment also develops blood-based reagents and biomarkers specifically for neurodegenerative diseases, such as Alzheimer's. The Healthcare-related Services segment offers in-house sterilization for central supply rooms in hospitals and external sterilization at sterilization centers; operating room support, endoscopy room support, medical equipment maintenance and inspection, and logistics management and transportation services; support for important tasks related to hospital administration work, including the sale of medical equipment, supplies, and consumables related to central supply rooms and operating rooms; bulk rentals of nursing care equipment, supplying equipment, including wheelchairs and nursing beds; and home medical care and nursing services. The company was formerly known as Miraca Holdings Inc. and changed its name to H.U. Group Holdings, Inc. in July 2020. H.U. Group Holdings, Inc. was incorporated in 1950 and is headquartered in Tokyo, Japan.

Data provided by Yahoo Finance