Valor Holdings×SBI Insurance Group

Different ways of making money, on the same scale.

Same yardstick

MetricValor HoldingsFY ending Mar 2026SBI Insurance GroupFY ending Mar 2026
Revenue¥896.2B¥140.4B
COGS ratio72.6%—
Operating margin3.1%—
Net margin1.8%2.1%
FCF margin1.1%5.7%

Highlighted = best value for that metric

Compare industry percentiles by axis

Each row uses the same 0–100 scale. Dots show each company's rank within its primary industry.

  • Valor HoldingsPrimary industry: Supermarkets
  • SBI Insurance GroupNo profile
CompanyRank
  • Revenue growth

    • Valor Holdings61.145 peers
    • SBI Insurance GroupN/A
  • Profitability

    • Valor Holdings54.149 peers
    • SBI Insurance GroupN/A
  • Cash conversion

    • Valor Holdings64.947 peers
    • SBI Insurance GroupN/A
  • Efficiency

    • Valor Holdings35.749 peers
    • SBI Insurance GroupN/A
  • Financial strength

    • Valor Holdings68.88 peers
    • SBI Insurance GroupN/A

Each dot is a company's percentile within its primary industry; peer groups may differ. Missing axes are labeled as unavailable. No combined score is calculated, and industry rank is not an investment recommendation.

Money flows side by side

Chart height is proportional to revenue.

Valor Holdings¥896.2B · keeps ¥3 per ¥100
SBI Insurance Group¥140.4B · keeps ¥9 per ¥100

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