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Marubeni Corp. (MARUY) is one of Japan’s largest and most diversified global trading conglomerates, with a legacy dating back to 1858. In 2025, Marubeni is trending among US investors due to record profits, bold investments in energy transition, a shareholder-friendly dividend policy, and high-profile partnerships in hydrogen, ammonia, and digital innovation. This in-depth guide covers everything: latest news, price history, financials, strategy, dividends, innovation, risks, and what makes Marubeni unique in the global trading sector.
Live MARUY Stock Price & Chart (NASDAQ)
📰 2025 News: Earnings, Investments, Strategic Partnerships
💹 Record Profits: For the fiscal year ending March 2025, Marubeni posted a 7% increase in net profit to ¥503 billion ($3.5 billion), its second-biggest profit ever and above analyst forecasts. The company expects a further rise to ¥510 billion in FY2026, even after setting aside a ¥30 billion contingency reserve to buffer against global uncertainties.
⚡ Energy Transition & Hydrogen: In May 2025, Marubeni agreed to acquire a minority stake in ExxonMobil’s Low Carbon Hydrogen and Ammonia Facility, accelerating its push into clean energy. The company is also expanding wind and solar projects in Saudi Arabia and Asia, and is a key player in Japan’s national hydrogen and ammonia supply chain.
🤝 IoT & Digital Innovation: Marubeni and Soracom announced a strategic IoT collaboration, launching a joint venture to drive smart logistics, industrial automation, and next-gen connectivity across Asia.
🏆 Shareholder Returns: Marubeni plans to distribute ¥210 billion to shareholders in FY2026 (about 40% payout ratio) and will repurchase up to ¥70 billion in shares. The annual dividend for 2025 is 95 JPY (3.42% yield), with ex-dividend date March 28 and payment on June 2.
🌍 Warren Buffett’s Bet: Berkshire Hathaway, led by Warren Buffett, continues to hold a significant minority stake in Marubeni, reflecting global confidence in the company’s diversified growth and capital discipline.
Reuters: Marubeni Beats Profit Forecasts in 2025
⚡ Energy Transition & Hydrogen: In May 2025, Marubeni agreed to acquire a minority stake in ExxonMobil’s Low Carbon Hydrogen and Ammonia Facility, accelerating its push into clean energy. The company is also expanding wind and solar projects in Saudi Arabia and Asia, and is a key player in Japan’s national hydrogen and ammonia supply chain.
🤝 IoT & Digital Innovation: Marubeni and Soracom announced a strategic IoT collaboration, launching a joint venture to drive smart logistics, industrial automation, and next-gen connectivity across Asia.
🏆 Shareholder Returns: Marubeni plans to distribute ¥210 billion to shareholders in FY2026 (about 40% payout ratio) and will repurchase up to ¥70 billion in shares. The annual dividend for 2025 is 95 JPY (3.42% yield), with ex-dividend date March 28 and payment on June 2.
🌍 Warren Buffett’s Bet: Berkshire Hathaway, led by Warren Buffett, continues to hold a significant minority stake in Marubeni, reflecting global confidence in the company’s diversified growth and capital discipline.
📈 Price History, Volatility & Shareholder Returns
💹 Stock Performance: MARUY reached an all-time high of $198.28 on May 28, 2024. As of late May 2025, it trades near $196, up 30% YTD. The 52-week range is $126.85–$203.84, with an average price of $165.33. The stock has delivered a 5-year CAGR of over 25%, outperforming many global conglomerates.
📉 Volatility: Marubeni’s shares are moderately volatile, with a beta of 0.69. The stock saw a -4.1% dip in 2024 but rebounded strongly in 2025. Over the past decade, annual returns have ranged from -46.7% (2008) to +94% (2005), reflecting both resilience and cyclicality.
💰 Dividends: The annual dividend yield is 3.42%, with a strong history of consistent payouts and a rising trend in total returns to shareholders.
Marubeni (MARUY) 21-Year Stock Price History
📉 Volatility: Marubeni’s shares are moderately volatile, with a beta of 0.69. The stock saw a -4.1% dip in 2024 but rebounded strongly in 2025. Over the past decade, annual returns have ranged from -46.7% (2008) to +94% (2005), reflecting both resilience and cyclicality.
💰 Dividends: The annual dividend yield is 3.42%, with a strong history of consistent payouts and a rising trend in total returns to shareholders.
🏢 Company Overview, Business Model & Global Reach
🏭 About Marubeni: Founded in 1858 and headquartered in Tokyo, Marubeni is a top-tier Japanese sogo shosha (general trading company) with operations in over 80 countries. Its core businesses include trading, investment, and resource development across food, energy, chemicals, metals, infrastructure, IT, and finance.
🌐 Business Model: Marubeni’s model is built on global partnerships, integrated supply chains, and strategic investments. The company manages everything from food imports and agri-business to renewable energy, mining, logistics, aerospace, and digital solutions. It is organized into 10 divisions (as of April 2025), each targeting high-growth sectors and cross-value platforms.
🔑 Key Segments:
Marubeni Mid-Term Management Strategy GC2027
🌐 Business Model: Marubeni’s model is built on global partnerships, integrated supply chains, and strategic investments. The company manages everything from food imports and agri-business to renewable energy, mining, logistics, aerospace, and digital solutions. It is organized into 10 divisions (as of April 2025), each targeting high-growth sectors and cross-value platforms.
🔑 Key Segments:
- Food & Consumer Products: 16% of profit (import/export, retail, agri-business)
- Energy & Chemicals: 25% of revenue (oil, gas, renewables, chemicals)
- Metals & Mineral Resources: 22% of profit (mining, trading, recycling)
- Infrastructure & Construction: 22% of profit (power, water, transport, real estate)
- Financial Services: 13% of profit (leasing, real estate, fintech, insurance)
- Logistics & Transportation: 10% of profit (shipping, warehousing, fleet management)
- IT Solutions: Digital transformation, DX/GX, IoT, and AI integration across industries
🚀 Growth Strategy, Investments & Global Projects
📈 Growth Investments: Marubeni plans ¥570 billion in new investments for FY2026, focusing on energy trading, food, digital, and next-gen consumer businesses. The company is divesting ¥230 billion in non-core assets and reinvesting in high-growth areas.
⚡ Energy & Infrastructure: Recent wins include a minority stake in ExxonMobil’s low-carbon hydrogen/ammonia facility, major wind/solar projects in Saudi Arabia, and expansion into US power and mobility markets.
🤖 Digital & IoT: The Soracom JV will drive innovation in logistics, smart cities, and industrial automation. Marubeni is also enhancing its IT solutions and DX/GX offerings for clients worldwide.
🌏 Americas Focus: Marubeni America Corp. is a major player in US food, energy, and industrial supply chains, with recent investments in disaster relief, agri-business, and digital transformation.
Marubeni Latest News & Press Releases
⚡ Energy & Infrastructure: Recent wins include a minority stake in ExxonMobil’s low-carbon hydrogen/ammonia facility, major wind/solar projects in Saudi Arabia, and expansion into US power and mobility markets.
🤖 Digital & IoT: The Soracom JV will drive innovation in logistics, smart cities, and industrial automation. Marubeni is also enhancing its IT solutions and DX/GX offerings for clients worldwide.
🌏 Americas Focus: Marubeni America Corp. is a major player in US food, energy, and industrial supply chains, with recent investments in disaster relief, agri-business, and digital transformation.
📊 Financials, Analyst Views & Outlook
💰 Key Financials (2025):
📅 Next Earnings: May 2, 2025.
⚠️ Risks: Global macro headwinds, commodity price swings, FX risk, and regulatory changes are key watchpoints. However, Marubeni’s diversified model and strong balance sheet provide resilience.
MARUY Stock Price & Financial Overview
- Market Cap: $32.6B
- Revenue (ttm): $52.02B
- Net Income (ttm): $3.36B
- EPS (ttm): 2.02
- P/E Ratio: 9.7
- Dividend Yield: 3.42%
- Beta: 0.69 (lower volatility than market)
📅 Next Earnings: May 2, 2025.
⚠️ Risks: Global macro headwinds, commodity price swings, FX risk, and regulatory changes are key watchpoints. However, Marubeni’s diversified model and strong balance sheet provide resilience.
🏆 Why Marubeni Is Trending: Buffett, Green Energy, and a Global Pivot
🌟 Buffett’s Endorsement: Warren Buffett’s Berkshire Hathaway has increased its stake in Marubeni, boosting global attention and validating the firm’s capital discipline.
🌱 Green Leadership: Marubeni is a first-mover in hydrogen, ammonia, renewables, and circular economy projects, making it a top ESG pick among global conglomerates.
🌏 Global Pivot: The company’s focus on digital, energy transition, and consumer business investments positions it for growth in the next decade.
💼 Diversification: Marubeni’s ability to pivot across sectors—food, energy, digital, metals, infrastructure—gives it a unique hedge against global volatility and market cycles.
Marubeni Investor Relations & Reports
🌱 Green Leadership: Marubeni is a first-mover in hydrogen, ammonia, renewables, and circular economy projects, making it a top ESG pick among global conglomerates.
🌏 Global Pivot: The company’s focus on digital, energy transition, and consumer business investments positions it for growth in the next decade.
💼 Diversification: Marubeni’s ability to pivot across sectors—food, energy, digital, metals, infrastructure—gives it a unique hedge against global volatility and market cycles.
©️ 2025 | Marubeni Corp. (MARUY) Stock: Complete Guide for US Investors
