Stock Exchange Listing |
Prime Market of Tokyo Stock Exchange |
Securities Code |
8511 |
ISIN Code |
JP3714400003 |
Industry Sector |
Other Financing Business |
Fiscal Year |
From April 1 to March 31 of the following year |
Ordinary General Meeting of Shareholders |
Late June |
Record Date |
The date for the Ordinary General Meeting of Shareholders March 31 |
Date of Record for Dividends |
Year-end dividends : March 31 |
Interim dividends : September 30 |
|
Number of Shares per unit |
100 shares |
Administrator of Shareholders’ Registry |
Sumitomo Mitsui Trust Bank, Limited. |
Place of Business |
Sumitomo Mitsui Trust Bank, Limited. 4-1, Marunouchi 1-chome, Chiyoda-ku, Tokyo |
Contact |
2-8-4 Izumi, Suginami-ku, Tokyo 168-0063 Sumitomo Mitsui Trust Bank, Limited. Tel: 0120-707-843 (Operating hours during weekdays: 9AM-5PM) |
Please contact your securities company.
You may submit an appropriate request and settle your odd-lot (less than 100) shares by either of the following methods. Please contact your securities company if you use the securities depositary system.
Please contact Sumitomo Mitsui Trust Bank, Limited. for payment. Please do so promptly since, pursuant to our Articles of Incorporation, cash dividends 3 years old or more will no longer be paid out.
Please refer to the JSF Report for information on the number of shares issued, the number of shareholders, major shareholders (top 10), and the distribution of shares by type of owner.