LIXIL GROUP CORPORATION chart

Last update: 2021-02-19
Key statistics and financials
Revenue per share 4,968.06
Dividend & Yield90.00¥ (3.43%)
Beta 1.13
Market capitalization 706.76B
Operating cash flow 82.46B
ESG Scores 17.7

Company description

LIXIL Corporation, through its subsidiaries, manufactures and sells building materials and housing equipment worldwide. It operates through LIXIL Water Technology (LWT), LIXIL Housing Technology (LHT), LIXIL Building Technology (LBT), and Housing & Services Business (H&S) segments. The LWT segment offers sanitary ware, shower toilets, water faucets, washstands, bathtubs, prefabricated bathrooms, smart products, showerheads, washstand fixtures, washstand cabinet units, kitchen systems, etc.; and tiles for houses and buildings, and internal decorative tiles, etc. This segment offers its products under the INAX, GROHE, American Standard, COBRA, DXV, Jaxson, RICHELLE, and SPAGE brands. The LHT segment provides housing window sashes, entrance doors, various types of shutters, gates, carports, banisters, high railings, etc.; window frames, wooden furnishing materials, interior decorative materials, etc.; sidings, roofing materials, etc.; and solar power systems, etc. This segment offers its products under the Tostem, Exsior, Interio, Super Wall, Nodea, and Asahi Tostem brands. The LBT segment offers curtain walls, building window sashes, store facades, etc. The H&S segment engages in the development of homebuilding franchise chains, construction on order, etc.; and provides services for land, buildings, real estate management, real estate franchises development support, etc., as well as housing loans. This segment offers its products under the Lixil, Eyeful Home, Face Home, ERA, and GL HOME brands. The company was formerly known as LIXIL Group Corporation and changed its name to LIXIL Corporation in December 2020. LIXIL Corporation was founded in 1875 and is headquartered in Tokyo, Japan.

Sector: Industrials - Industry: Building Products & Equipment

Financial Ratios
Quick Ratio0.79
Working Capital0.44
Return On Equity0.08
Debt To Equity0.55
Fixed Asset Ratio0.4
Fixed Interest Cover9.72

Financial data

Financial Statements

Cashflow Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Change To Liabilities 19.61B -23.77B 9.65B 25.55B
Total Cashflows From Investing Activities -72.33B -41.31B -54.15B -24.8B
Net Borrowings 27.53B -90.59B -40.19B -66.44B
Total Cash From Financing Activities 1.58B -153.28B -93.42B -108.09B
Change To Operating Activities 21.35B 63.6B 15.58B -10.26B
Issuance Of Stock
Net Income -52.19B 12.52B 33.05B 48.6B
Change In Cash 2.67B -45.56B 15.2B -10.66B
Effect Of Exchange Rate 515M -2.03B 3.44B 3.95B
Total Cash From Operating Activities 69.35B 157.7B 151.04B 118.3B
Depreciation 68.5B 105.56B 84.79B 80.72B
Change To Account Receivables -9.44B 45.88B 19.8B 9.41B
Other Cashflows From Financing Activities -5.66B -42.39B -32.93B -18.42B
Change To Netincome 3.63B -78.82B -17.14B -5.5B
Capital Expenditures -57.45B -56.75B -54.96B -37.02B

Income Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Research Development
Income Before Tax -17.99B 46.81B 33.8B 67.26B
Net Income -52.19B 12.52B 33.05B 48.6B
Selling General Administrative 519.8B 448.47B 370.06B 380.02B
Gross Profit 532.6B 565.45B 469.22B 486.87B
Ebit 14.51B 55.01B 51.96B 62.4B
Operating Income 14.51B 55.01B 51.96B 62.4B
Interest Expense -5.25B -6B -4.14B -4.41B
Income Tax Expense 31.3B 14.88B 17.44B 16.72B
Total Revenue 1.83T 1.69T 1.38T 1.43T
Cost Of Revenue 1.3T 1.13T 909.03B 941.71B
Total Other Income ExpenseNet -32.5B -8.19B -18.16B 4.87B
Net Income From Continuing Ops -49.29B 31.93B 16.37B 50.54B
Net Income Applicable To Common Shares -52.19B 12.52B 33.05B 48.6B

Balance Sheet Statement 2019-03-31 2020-03-31 2021-03-31 2022-03-31
Total Liabilities 1.49T 1.56T 1.19T 1.17T
Total Stockholder Equity 533.66B 502.17B 552.27B 612.38B
Other Current Liabilities 173.28B 111.36B 106.02B 119.61B
Total Assets 2.06T 2.09T 1.74T 1.78T
Common Stock 68.42B 68.42B 68.42B 68.42B
Other Current Assets 96.63B 95.09B 38.27B 71.85B
Retained Earnings 222.09B 217.21B 233.81B 267.92B
Treasury Stock -34.44B -61.58B -28.2B -2.59B
Cash 141.42B 95.86B 111.06B 100.4B
Total Current Liabilities 933.61B 715.23B 586.93B 603B
Other Stockholder Equity 14.46B -12.71B 20.41B 44.95B
Property, Plant, and Equipment 552.76B 711.88B 465.09B 427.32B
Total Current Assets 891.78B 742.78B 637.77B 714.61B
Net Tangible Assets 76.57B 68.06B 98.81B 141.08B
Net Receivables 406.48B 308.79B 294.14B 281.33B
Accounts Payable 392.36B 336.49B 299.36B 333.68B


Insider Transactions

Here are the insider transactions of stock shares related to LIXIL GROUP CORPORATION:

Filer Name Transaction Text Ownership Date Filer Relation Shares
NO DATA

Insider transaction explanations

Insider buying is the legal purchase of shares by a senior executive or director of a company. "Filer Name" corresponds to the name of the stock buyer or seller. "Transaction Text" describes the transaction. "Ownership" gives information about the transaction type. "Date" is the reported transaction date. "Filer Relation" gives the role of the insider in the company. "Shares" is the value of the transaction. You will find the complete description of the General Transaction Codes on the SEC dedicated page


Investment strategy backtesting

These are the result of three automatic investment systems applied to LIXIL GROUP CORPORATION. You will find the performance of an systematic investment system, a momentum strategy, and a buy the dip trading strategy.


Systematic investment results on LIXIL GROUP CORPORATION

Here is the result of two systematic investment strategies applied to LIXIL GROUP CORPORATION. The first strategy automatically buys the first day of the month, and the second strategy buys the fifteenth day of the month.

Systematic investment equity curve on LIXIL GROUP CORPORATION

The following chart shows the equity curve of the two systematic investment strategies applied to LIXIL GROUP CORPORATION:

LIXIL GROUP CORPORATION automated entries

The systematic investment strategy that buys the first day of the month would give a performance of 8.1% on the backtest period.

Performance at glance

Performance

8.1 %

Latent gain

899.0 ¥

Invested capital

11101.0 ¥

Annualized return

1.93 %
Build your Trading System
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Momentum strategy results on LIXIL GROUP CORPORATION

This is the result of two momentum investment strategies applied to LIXIL GROUP CORPORATION. The first strategy uses a momentum signal calculated on one quarter, and the second uses a momentum signal calculated on two quarters.

Momentum entry openings on LIXIL GROUP CORPORATION

The following chart shows all the entries opened by the momentum investment system on LIXIL GROUP CORPORATION:

LIXIL GROUP CORPORATION momentum entries
  • The first momentum investment strategy would give 8.79% of return on LIXIL GROUP CORPORATION. That represents 727.0¥ of latent gain with 8273.0¥ of employed capital.
  • The second momentum investment strategy would give 6.95% of return on LIXIL GROUP CORPORATION. That represents 585.0¥ of latent gain with 8415.0¥ of employed capital.
Performance at glance (1Q Momentum)

Performance

8.79 %

Latent gain

727.0 ¥

Invested capital

8273.0 ¥

Annualized return

32.83 %
Performance at glance (2Q Momentum)

Performance

6.95 %

Latent gain

585.0 ¥

Invested capital

8415.0 ¥

Annualized return

1.87 %

Momentum equity curve on LIXIL GROUP CORPORATION

The following chart shows the equity curve of the two momentum strategies applied to LIXIL GROUP CORPORATION:

LIXIL GROUP CORPORATION momentum equity

Note: the dividends potentially given by LIXIL GROUP CORPORATION are not integrated into the calculation of the equity curve neither the performance of the strategy. The integration of the dividends will be available soon.


Employed capital on LIXIL GROUP CORPORATION

The following chart shows the employed capital evolution of the two momentum strategies on LIXIL GROUP CORPORATION since the beginning:

LIXIL GROUP CORPORATION

Note: the algorithm buys for a maximum of 250$ per entry. If the stock price is greater than 250¥, the system buys only one stock per entry. The investment system stops automatically when the financial exposure reaches 10000¥.


Buy the dip strategy result on LIXIL GROUP CORPORATION

Buy the dip entry openings on LIXIL GROUP CORPORATION

LIXIL GROUP CORPORATION

The performance achieved by the robo-advisor on LIXIL GROUP CORPORATION is 72.22%. That represents 1258.0$ of latent gain with 1742.0¥ of employed capital. The following chart shows LIXIL GROUP CORPORATION stock price with all the entries opened by the automated investment system.

Note: The blue line represents the weekly stock price of LIXIL GROUP CORPORATION, and the green triangles represent the entry openings. The artificall robo-advisor needs at least 100 weeks of trading history to work.

Performance at glance

Performance

72.22 %

Latent gain

1258.0 ¥

Invested capital

1742.0 ¥

Annualized return

32.83 %

Equity curve of the strategy applied to LIXIL GROUP CORPORATION

The following chart shows the result of the investment strategy applied to LIXIL GROUP CORPORATION:

LIXIL GROUP CORPORATION

Note: the dividends potentially given by LIXIL GROUP CORPORATION are not integrated into the calculation of the equity curve neither the performance of the strategy. The integration of the dividends will be available soon.


Employed capital on LIXIL GROUP CORPORATION

The following chart shows the employed capital evolution since the beginning of the investment strategy on LIXIL GROUP CORPORATION:

LIXIL GROUP CORPORATION

Note: the algorithm buys for a maximum of 250$ per entry. If the stock price is greater than 250$, the system buys only one stock per entry. The investment system stops automatically when the financial exposure reaches 10000$.


Investment strategies comparison on LIXIL GROUP CORPORATION

In this section, I will compare the three previous investment strategies applied to LIXIL GROUP CORPORATION.

Equity curve comparison on LIXIL GROUP CORPORATION

The following chart shows the equity curve of the artificall advisor, the trend folowing and the automatic investment strategies:

LIXIL GROUP CORPORATION investment strategy comparison

Employed capital comparison on LIXIL GROUP CORPORATION

LIXIL GROUP CORPORATION investment comparison

Performance comparison on LIXIL GROUP CORPORATION

Strategy Latent Profit Growth Employed capital CAGR
Automatic investment 8.1% 899.0¥ 11101.0¥ 1.93%
Momentum 1 quarter 8.79% 727.0¥ 8273.0¥ 2.22%
Momentum 2 quarters 6.95% 585.0¥ 8415.0¥ 1.87%
Non-directional 72.22% 1258.0¥ 1742.0¥ 32.83%
Annualized return comparison

Automatic investment

1.93 %

Momentum 1Q

1.87 %

Momentum 2Q

1.87 %

Non-directional

32.83 %

Correlated stocks

Here are the most positively and negatively correlated stocks with LIXIL GROUP CORPORATION:

Positive correlations

Most correlated stocks this year


Most correlated stocks last 3 months

Negative correlation

Most negatively correlated stocks this year


Most negatively correlated stocks last 3 months

Note: The algorithm computes the probability of correlation between LIXIL GROUP CORPORATION and the other stocks. There may be false positives or some missing correlated stocks. If the price of LIXIL GROUP CORPORATION does not vary for 36 weeks, the correlation calculation result will be wrong.


Company information

Company name LIXIL GROUP CORPORATION
Country Japan
City Tokyo
Address 2-1-1 Ojima
Phone
Website www.lixil.com
FullTime employees 51640
Industry Building Products & Equipment
Sector Industrials
Exchange XTKS
Ticker 5938.XTKS
Market www.jpx.co.jp

LIXIL GROUP CORPORATION ESG Scores

Environment scores

Environment ESG Factors Scores
Environment Score 8.6
Peer Environment Performance 9.066
Environment Percentile unknown
Palm Oil no
Nuclear no
Fur Leather no
GMO no
Coal no
Pesticides no
Animal Testing no

Social scores

Social ESG Factors Scores
Social Score 4.0
Peer Social Performance 4.1293333333333
Social Percentile unknown
Highest Controversy 1
Peer Highest Controversy Performance 1.1333333333333
Adult no
Gambling no
Alcoholic no
Tobacco no
Catholic no
Controversial Weapons no
Small Arms no
Military Contract no
Peer Count yes

Related Controversy: Business Ethics Incidents


Governance scores

Governance ESG Factors Scores
Governance Score 5.1
Peer Governance Performance 6.358
Governance Percentile unknown

ESG at glance
Total ESG Scores: 17.7
Environment Score: 8.6
Social Score: 4.0
Governance Score: 5.1

ESG Performance: UNDER_PERF

Peer Group: Building Products

Peer Esg Score Performance: 19.556

Rating Year: 2022

Rating Month: 8

Max Age: 86400

Percentile: 18