8 datasets found
  1. T

    Japan Interest Rate

    • tradingeconomics.com
    • ru.tradingeconomics.com
    • +13more
    csv, excel, json, xml
    Updated Sep 30, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    TRADING ECONOMICS (2025). Japan Interest Rate [Dataset]. https://tradingeconomics.com/japan/interest-rate
    Explore at:
    excel, xml, json, csvAvailable download formats
    Dataset updated
    Sep 30, 2025
    Dataset authored and provided by
    TRADING ECONOMICS
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Time period covered
    Oct 2, 1972 - Sep 19, 2025
    Area covered
    Japan
    Description

    The benchmark interest rate in Japan was last recorded at 0.50 percent. This dataset provides - Japan Interest Rate - actual values, historical data, forecast, chart, statistics, economic calendar and news.

  2. Debt Financing Market Analysis, Size, and Forecast 2025-2029: North America...

    • technavio.com
    pdf
    Updated Apr 4, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Technavio (2025). Debt Financing Market Analysis, Size, and Forecast 2025-2029: North America (US and Canada), Europe (France, Germany, Italy, Spain, UK), APAC (China, Japan, South Korea), Middle East and Africa , and South America [Dataset]. https://www.technavio.com/report/debt-financing-market-industry-analysis
    Explore at:
    pdfAvailable download formats
    Dataset updated
    Apr 4, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    License

    https://www.technavio.com/content/privacy-noticehttps://www.technavio.com/content/privacy-notice

    Time period covered
    2025 - 2029
    Area covered
    United States, Canada, United Kingdom, Germany
    Description

    Snapshot img

    Debt Financing Market Size 2025-2029

    The debt financing market size is forecast to increase by USD 7.89 billion at a CAGR of 6.4% between 2024 and 2029.

    The market is experiencing significant growth, driven by the tax advantages of debt financing for businesses. The ability to deduct interest payments from taxable income makes debt financing an attractive option for companies seeking capital. Another key trend in the market is the increasing collaboration and mergers and acquisitions (M&A) activity, which often involves the use of debt financing to fund transactions. However, it is important to note that collateral may be necessary for some forms of debt financing, adding layer of complexity to the process.
    Companies seeking to capitalize on these opportunities must navigate the challenges of securing adequate collateral and managing debt levels to maintain financial health and wellness. Effective debt management strategies, such as optimizing debt structures and maintaining strong credit ratings, will be essential for companies looking to succeed in this dynamic market. Debt financing is a significant component of the regional capital markets, with financial institutions, banks, and insurance companies serving as major players.
    

    What will be the Size of the Debt Financing Market during the forecast period?

    Request Free Sample

    The market encompasses various debt instruments issued by entities to secure funds for business operations and growth. Market dynamics are influenced by several factors, including interest rate cycles, monetary policy, and economic growth. Basel Accords and the Financial Stability Board set standards for financial institutions' risk management and capital adequacy, impacting debt issuance. Government debt, securitization transactions, and various debt instruments like interest rate swaps, loan-to-value ratios, and credit-linked notes, shape the market landscape. Market volatility, driven by factors such as business cycles, credit spreads, and risk appetite, influences investor sentiment. Debt sustainability, fiscal policy, and ESG investing are increasingly important considerations for issuers and investors.
    Asset managers are focusing on leveraging technology and data analytics to improve operational efficiency and meet the evolving needs of investors. The market is, however, not without challenges, with regulatory compliance and interest rate risks being major concerns. Overall, the income asset management market in North America is poised for steady growth, driven by the demand for debt financing and wealth management solutions, and the increasing adoption of advanced analytics and ETFs.
    

    How is this Debt Financing Industry segmented?

    The debt financing industry research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD million' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments.

    Source
    
      Private
      Public
    
    
    Type
    
      Long-term
      Short-term
      Long-term
    
    
    Geography
    
      North America
    
        US
        Canada
    
    
      Europe
    
        France
        Germany
        Italy
        Spain
        UK
    
    
      APAC
    
        China
        Japan
        South Korea
    
    
      Middle East and Africa
    
    
    
      South America
    

    By Source Insights

    The private segment is estimated to witness significant growth during the forecast period. Debt financing is a popular financing method for businesses seeking to expand operations while maintaining ownership. Private debt financing, in particular, has gained significant traction among financial specialists worldwide due to its importance in funding small- and mid-sized organizations globally. The demand for debt financing by startups has increased annually, leading to the sector's substantial growth over the last five years. This financing option's flexibility enables businesses to customize their financing solutions to address specific needs, making it an allure for numerous organizations. Private debt financing encompasses various instruments such as Real Estate Debt, Term Loans, Leveraged Buyouts, Asset Securitization, Infrastructure Financing, Loan Servicing, and more.

    Financial Leverage, Debt Covenants, Credit Risk, and Interest Rate Risk are essential considerations in this sector. Hedge Funds, Collateralized Loan Obligations, High Yield Debt, and Investment Grade Debt are alternative investment areas. Private Equity, Syndicated Loans, Venture Debt, Bridge Financing, and Mezzanine Financing are also integral components. Financial Institutions offer various debt financing solutions, including Capital Markets, Expansion Financing, Growth Capital, Debt Refinancing, and Debt Consolidation. Financial Modeling, Return on Investment, and Risk Management are crucial aspects of debt financing. Debt Advisory, Financial Engineering, and Debt Capital Markets are essential services in this field. Small Business Loans, Supply Ch

  3. ETF Market Analysis, Size, and Forecast 2025-2029: North America (US and...

    • technavio.com
    pdf
    Updated Feb 8, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    Technavio (2025). ETF Market Analysis, Size, and Forecast 2025-2029: North America (US and Canada), Europe (France, Germany, Switzerland, The Netherlands, and UK), Middle East and Africa (UAE), APAC (China, Japan, and South Korea), South America (Brazil), and Rest of World (ROW) [Dataset]. https://www.technavio.com/report/etf-market-industry-analysis
    Explore at:
    pdfAvailable download formats
    Dataset updated
    Feb 8, 2025
    Dataset provided by
    TechNavio
    Authors
    Technavio
    License

    https://www.technavio.com/content/privacy-noticehttps://www.technavio.com/content/privacy-notice

    Time period covered
    2025 - 2029
    Area covered
    United States, Canada, United Kingdom, Germany
    Description

    Snapshot img

    ETF Market Size 2025-2029

    The ETF market size is forecast to increase by USD 17.94 billion at a CAGR of 20.2% between 2024 and 2029.

    The market continues to experience robust growth, with increasing institutional adoption and investor preference for cost-effective, diversified investment solutions. One of the key drivers propelling this market forward is the expansion of bond ETFs, blockchains which now account for over one-third of the total assets under management. This trend is expected to persist, as fixed income securities offer attractive yields in the current low-interest-rate environment. However, the market is not without its challenges. A significant concern is the potential for transaction risks, particularly in illiquid securities. This risk can lead to price discrepancies between the ETF's net asset value and its market price, potentially resulting in losses for investors.
    Additionally, market volatility and sudden price movements can exacerbate these risks, making it crucial for market participants to closely monitor market conditions and adjust their strategies accordingly. Companies seeking to capitalize on the growth opportunities in the market while mitigating transaction risks may consider focusing on liquid securities and implementing robust risk management strategies.
    

    What will be the Size of the ETF Market during the forecast period?

    Request Free Sample

    The exchange-traded fund (ETF) market continues to evolve, integrating advanced technologies and applications across various sectors. Machine learning algorithms enhance the investment process, enabling more precise index construction in fixed income ETFs. Currency ETFs leverage technology to offer real-time exposure to foreign exchange markets. Small businesses benefit from scalability and affordability, with increasing numbers turning to ETFs for diversified investment opportunities. Service providers and financial institutions collaborate to ensure financial market stability, offering innovative solutions for passive investing strategies, including index funds and index mutual funds.
    The integration of artificial intelligence and blockchain technology further enhances ETF offerings, reducing transaction costs and improving security. The ongoing unfolding of market activities reveals evolving patterns in trade finance, international trade, and asset management. ETFs continue to adapt, providing investors with efficient and cost-effective investment vehicles.
    

    How is this ETF Industry segmented?

    The etf industry research report provides comprehensive data (region-wise segment analysis), with forecasts and estimates in 'USD million' for the period 2025-2029, as well as historical data from 2019-2023 for the following segments.

    Type
    
      Fixed income ETF
      Equity ETF
      Commodity ETF
      Real estate ETF
      Others
    
    
    Product Type
    
      Large cap ETFs
      Mega cap ETFs
      Mid cap ETFs
      Small cap ETFs
    
    
    End-User
    
      Retail Investors
      Institutional Investors
    
    
    Investment Type
    
      Active
      Passive
    
    
    Distribution Channel
    
      Brokerage Platforms
      Direct Sales
    
    
    Geography
    
      North America
    
        US
        Canada
    
    
      Europe
    
        France
        Germany
        Switzerland
        The Netherlands
        UK
    
    
      Middle East and Africa
    
        UAE
    
    
      APAC
    
        China
        Japan
        South Korea
    
    
      South America
    
        Brazil
    
    
      Rest of World (ROW)
    

    By Type Insights

    The fixed income etf segment is estimated to witness significant growth during the forecast period.

    In the dynamic securities markets of 2024, the fixed income Exchange-traded fund (ETF) emerged as a leading investment choice. This type of ETF, which invests in various fixed-income securities like corporate, municipal, and treasury bonds, is traded on a centralized stock exchange. In contrast, most corporate bonds are sold through bond brokers, limiting bond buyers' exposure to the stock exchange. Fixed income ETFs, however, provide extensive exposure, enabling investors to participate in the stock exchange's activity. These ETFs employ various technologies, such as Optical Character Recognition and Machine Learning, to ensure efficient trade processing and risk management.

    Additionally, the integration of Blockchain technology enhances security and transparency. Fixed income ETFs cater to diverse investor needs, including small businesses seeking scalability and financial institutions aiming for financial market stability. The market offers various categories, such as Government Bond ETFs, which invest in government securities, and Currency ETFs, which provide exposure to foreign currencies. Furthermore, Real Estate ETFs, Commodity ETFs, and Alternative Trading Funds expand the investment universe. Service providers play a crucial role in facilitating these investment solutions, ensuring affordability through passive investing strategies and competitive transaction costs. Trade agreements and international

  4. m

    Kyushu Financial Group Inc - Diluted-Average-Shares

    • macro-rankings.com
    csv, excel
    Updated Jun 30, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    macro-rankings (2025). Kyushu Financial Group Inc - Diluted-Average-Shares [Dataset]. https://www.macro-rankings.com/Markets/Stocks/7180-TSE/Income-Statement/Diluted-Average-Shares
    Explore at:
    csv, excelAvailable download formats
    Dataset updated
    Jun 30, 2025
    Dataset authored and provided by
    macro-rankings
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Area covered
    japan
    Description

    Diluted-Average-Shares Time Series for Kyushu Financial Group Inc. Kyushu Financial Group, Inc., through its subsidiaries, provides various financial products and services to customers in Japan. The company operates through Banking and Leasing segments. It offers deposit, lending, securities investment, domestic funds transfer, foreign exchange, and agency services. The company also provides over-the-counter sales service for government and other public bonds, securities investment trusts and insurance products, and trust services. In addition, the company provides credit card, DX solutions and collection agency, credit guarantee services, and e-commerce malls business. Further, it engages in leasing and lending activities, and financial instruments business. Kyushu Financial Group, Inc. was incorporated in 2015 and is headquartered in Kumamoto, Japan.

  5. m

    Kyushu Financial Group Inc - End-Period-Cash-Flow

    • macro-rankings.com
    csv, excel
    Updated Aug 15, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    macro-rankings (2025). Kyushu Financial Group Inc - End-Period-Cash-Flow [Dataset]. https://www.macro-rankings.com/Markets/Stocks/7180-TSE/Cashflow-Statement/End-Period-Cash-Flow
    Explore at:
    csv, excelAvailable download formats
    Dataset updated
    Aug 15, 2025
    Dataset authored and provided by
    macro-rankings
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Area covered
    japan
    Description

    End-Period-Cash-Flow Time Series for Kyushu Financial Group Inc. Kyushu Financial Group, Inc., through its subsidiaries, provides various financial products and services to customers in Japan. The company operates through Banking and Leasing segments. It offers deposit, lending, securities investment, domestic funds transfer, foreign exchange, and agency services. The company also provides over-the-counter sales service for government and other public bonds, securities investment trusts and insurance products, and trust services. In addition, the company provides credit card, DX solutions and collection agency, credit guarantee services, and e-commerce malls business. Further, it engages in leasing and lending activities, and financial instruments business. Kyushu Financial Group, Inc. was incorporated in 2015 and is headquartered in Kumamoto, Japan.

  6. m

    Kyushu Financial Group Inc - Net-Income-From-Continuing-Operations

    • macro-rankings.com
    csv, excel
    Updated Sep 12, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    macro-rankings (2025). Kyushu Financial Group Inc - Net-Income-From-Continuing-Operations [Dataset]. https://www.macro-rankings.com/markets/stocks/7180-tse/income-statement/net-income-from-continuing-operations
    Explore at:
    excel, csvAvailable download formats
    Dataset updated
    Sep 12, 2025
    Dataset authored and provided by
    macro-rankings
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Area covered
    japan
    Description

    Net-Income-From-Continuing-Operations Time Series for Kyushu Financial Group Inc. Kyushu Financial Group, Inc., through its subsidiaries, provides various financial products and services to customers in Japan. The company operates through Banking and Leasing segments. It offers deposit, lending, securities investment, domestic funds transfer, foreign exchange, and agency services. The company also provides over-the-counter sales service for government and other public bonds, securities investment trusts and insurance products, and trust services. In addition, the company provides credit card, DX solutions and collection agency, credit guarantee services, and e-commerce malls business. Further, it engages in leasing and lending activities, and financial instruments business. Kyushu Financial Group, Inc. was incorporated in 2015 and is headquartered in Kumamoto, Japan.

  7. m

    Kyushu Financial Group Inc - Operating-Profit-Margin

    • macro-rankings.com
    csv, excel
    Updated Sep 14, 2025
    + more versions
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    macro-rankings (2025). Kyushu Financial Group Inc - Operating-Profit-Margin [Dataset]. https://www.macro-rankings.com/markets/stocks/7180-tse/key-financial-ratios/profitability/operating-profit-margin
    Explore at:
    excel, csvAvailable download formats
    Dataset updated
    Sep 14, 2025
    Dataset authored and provided by
    macro-rankings
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Area covered
    japan
    Description

    Operating-Profit-Margin Time Series for Kyushu Financial Group Inc. Kyushu Financial Group, Inc., through its subsidiaries, provides various financial products and services to customers in Japan. The company operates through Banking and Leasing segments. It offers deposit, lending, securities investment, domestic funds transfer, foreign exchange, and agency services. The company also provides over-the-counter sales service for government and other public bonds, securities investment trusts and insurance products, and trust services. In addition, the company provides credit card, DX solutions and collection agency, credit guarantee services, and e-commerce malls business. Further, it engages in leasing and lending activities, and financial instruments business. Kyushu Financial Group, Inc. was incorporated in 2015 and is headquartered in Kumamoto, Japan.

  8. m

    Kyushu Financial Group Inc - Dividends-Paid

    • macro-rankings.com
    csv, excel
    Updated Sep 16, 2025
    Share
    FacebookFacebook
    TwitterTwitter
    Email
    Click to copy link
    Link copied
    Close
    Cite
    macro-rankings (2025). Kyushu Financial Group Inc - Dividends-Paid [Dataset]. https://www.macro-rankings.com/markets/stocks/7180-tse/cashflow-statement/dividends-paid
    Explore at:
    excel, csvAvailable download formats
    Dataset updated
    Sep 16, 2025
    Dataset authored and provided by
    macro-rankings
    License

    Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
    License information was derived automatically

    Area covered
    japan
    Description

    Dividends-Paid Time Series for Kyushu Financial Group Inc. Kyushu Financial Group, Inc., through its subsidiaries, provides various financial products and services to customers in Japan. The company operates through Banking and Leasing segments. It offers deposit, lending, securities investment, domestic funds transfer, foreign exchange, and agency services. The company also provides over-the-counter sales service for government and other public bonds, securities investment trusts and insurance products, and trust services. In addition, the company provides credit card, DX solutions and collection agency, credit guarantee services, and e-commerce malls business. Further, it engages in leasing and lending activities, and financial instruments business. Kyushu Financial Group, Inc. was incorporated in 2015 and is headquartered in Kumamoto, Japan.

  9. Not seeing a result you expected?
    Learn how you can add new datasets to our index.

Share
FacebookFacebook
TwitterTwitter
Email
Click to copy link
Link copied
Close
Cite
TRADING ECONOMICS (2025). Japan Interest Rate [Dataset]. https://tradingeconomics.com/japan/interest-rate

Japan Interest Rate

Japan Interest Rate - Historical Dataset (1972-10-02/2025-09-19)

Explore at:
312 scholarly articles cite this dataset (View in Google Scholar)
excel, xml, json, csvAvailable download formats
Dataset updated
Sep 30, 2025
Dataset authored and provided by
TRADING ECONOMICS
License

Attribution 4.0 (CC BY 4.0)https://creativecommons.org/licenses/by/4.0/
License information was derived automatically

Time period covered
Oct 2, 1972 - Sep 19, 2025
Area covered
Japan
Description

The benchmark interest rate in Japan was last recorded at 0.50 percent. This dataset provides - Japan Interest Rate - actual values, historical data, forecast, chart, statistics, economic calendar and news.

Search
Clear search
Close search
Google apps
Main menu