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Marubeni Corporation

8002.TIndustrialsTSE

Conglomerates

PriceMA150MA200
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Financials · Annual
Revenue
$7.79T
+7.4% YoY
Net Income
$502.96B
+6.7% YoY
EBITDA
$908.90B
+11.2% YoY
Free Cash Flow
$233.27B

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About Marubeni Corporation

Part of the industrials sector, Marubeni Corporation (8002.T) is listed under Conglomerates. The company carries a $8.50T market cap, placing it firmly in the mega-cap category. The company offers apparel, footwear, home furnishing and sporting goods, household goods, industrial and textile materials, tire and rubber materials, and nursing care products; operates uranium, nuclear fuel cycle, iron ore, coking coal, and copper mines; smelts and refines aluminum; leases temporary steel construction materials; explores, develops, and produces oil and gas; manages infrastructure funds; and develops and manages real estate.

Key stats
Market Cap$8.50T
P/E (TTM)15.71
Fwd P/E16.69
EPS$330.16
Beta0.70
52W Change+77.4%
Dividend Yield2.20%
ROE13.5%
Analysis

Marubeni Corporation carries $2.41T in total debt against $551.27B in cash reserves — debt is roughly 4.4x the cash position. Managing this leverage effectively will be important for long-term financial stability. The company generates $233.27B in free cash flow annually, which funds everything from R&D to shareholder returns without needing external financing. ROE of 13.5% points to decent capital efficiency, indicating how much profit the company produces per dollar of shareholder equity. ROA of 1.6% is on the lower side, which is common in asset-heavy industries. Revenue has been relatively flat, moving from $8.51T (2022) to $7.79T (2025).

As with any equity investment, 8002.T carries market risk, sector-specific risk, and company-specific risk that investors should evaluate in the context of their own portfolios. These risk factors are not exhaustive — macroeconomic shifts, regulatory changes, and competitive dynamics can all influence Marubeni Corporation's trajectory.

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