Daiwa Securities Group
Japanese listed holding company for securities and asset management.
Available information varies by company and source.
Profile record updated:
Company facts
- Official name
- Daiwa Securities Group Inc.
- Entity type
- COMPANY
- Founded
- 1999
- Headquarters
- GranTokyo North Tower, 9-1, Marunouchi 1-chome, Chiyoda-ku, Tokyo 100-6751, Japan.
- Company size
- >5,000
- Market role
- Other / Non-Digital Advertising Relevant
- Ticker
- 8601
- Official website
- daiwa-grp.jp
What Daiwa Securities Group does
The group functions as a listed financial holding company that allocates capital, governs subsidiaries and consolidates earnings from multiple financial services businesses. Value is created by controlling a portfolio of operating companies in securities, investment banking, asset management and corporate investment, then converting client activity, advisory mandates, managed assets and investment operations into group-level revenue and shareholder returns.
Category differentiation
Daiwa Securities Group is a Japanese financial holding company, not an adtech, martech or media platform. It should not be confused with its individual operating subsidiaries or with unrelated consumer finance brands.
Strategic context
AI-supported assessment from the existing company research; distinguish interpretation from sourced facts.
Daiwa Securities Group Inc. is a publicly listed Japanese securities holding company that owns and oversees subsidiaries across securities brokerage, investment banking, asset management and corporate investment. It operates as a diversified financial services group rather than a digital advertising, software or media company. The group reports on a consolidated basis and maintains investor, sustainability and governance disclosures through its corporate website. The company generates revenue from financial services activities delivered through its subsidiaries, including brokerage and advisory services, asset management and investment-related operations. Its direct customers include individual investors, institutional investors and corporate clients seeking capital markets, advisory and investment services. Current corporate messaging emphasises shareholder communication, sustainability disclosure and a minimum dividend policy during its medium-term plan period.
Business model & monetisation
The group monetises through financial service fees and spreads generated by securities brokerage, investment banking and advisory activities, alongside recurring asset management revenue and returns from corporate investment operations. As a listed holding company, it also emphasises capital allocation and dividend policy as part of total shareholder value creation.
- Securities brokerage and related transaction services
- Service Fee
- Investment banking and advisory services
- Service Fee
- Asset management operations
- Service Fee
- Corporate investment activities
Products & capabilities
No products with linked sources are available in this view.
Recent recorded signals
Dates refer to the source publication. Older entries are historical context, not evidence of a new event.
No sufficiently sourced and dated signals are available for this view.
Explore company relationships
Questions about Daiwa Securities Group
What is Daiwa Securities Group?
Daiwa Securities Group is a publicly listed Japanese holding company overseeing securities, investment banking, asset management and corporate investment businesses.
Who uses Daiwa Securities Group?
Its subsidiaries serve individual investors, institutional investors and corporate clients that need brokerage, investment, advisory and asset management services.
How does Daiwa Securities Group make money?
It earns revenue through subsidiary-led financial services, including securities fees, advisory income, asset management revenue and investment-related returns.
Sources & coverage
This profile uses public, official and technically observable information. Missing information does not prove that a product or relationship does not exist. The list below does not imply that every profile statement has been verified.
13 publicly documented primary sources and citations linked across the market graph.
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