7022
Sanoyas Holdings Corporation
サノヤスホールディングス株式会社
Transportation Equipments
Sanoyas Holdings Corporation, together with its subsidiaries, engages in the manufacturing and assembly of machinery and parts in Japan. The company operates through three segments: Manufacturing, Construction, and Leisure segments. The Manufacturing segment manufactures, assembles, and maintains shot blast machines, parts for various industrial machinery, agricultural machinery, and specially equipped automobiles, emulsifying and stirring equipment, and designs and constructs pure water equipment, wastewater treatment equipment, membrane separation equipment, and tanks, such as large food tanks. The Construction segment manufactures and maintains mechanical parking equipment, and electric machinery and electrical work; manufactures and rents elevators for construction work; and designs and installs air-conditioning, water supply and drainage, and sanitary equipment. The Leisure segment manufactures amusement park machines and equipment; and operates and manages amusement parks. Sanoyas Holdings Corporation was founded in 1911 and is headquartered in Osaka, Japan.
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Overview
Filings & Signals
Ownership
Financials
▾ Collapse Charts
Income Statement
Balance Sheet
Cash Flow
Ratios & Per Share
Metric
FY 2025
TDnet
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Net Sales
¥26.8B
¥25.0B
¥23.4B
¥20.1B
¥19.1B
Cost of Sales
¥19.3B
¥18.8B
¥18.0B
¥15.2B
¥14.5B
Gross Profit
¥7.5B
¥6.2B
¥5.3B
¥4.9B
¥4.7B
SG&A
¥5.8B
¥5.2B
¥4.8B
¥4.8B
¥4.4B
Operating Income
¥1.7B
¥1.1B
¥509M
¥95M
¥222M
Non-Operating Income
¥233M
¥186M
¥240M
¥448M
¥188M
Dividend Income
—
¥171M
¥197M
¥364M
¥132M
Interest Income
—
¥3M
¥3M
¥2M
¥3M
Non-Operating Expenses
—
¥178M
¥114M
¥149M
¥206M
Interest Expense
—
¥118M
¥96M
¥113M
¥133M
Ordinary Income
¥1.6B
¥1.1B
¥636M
¥395M
¥205M
Pre-tax Income
¥1.7B
¥1.1B
¥775M
¥466M
¥227M
Income Taxes
¥227M
¥-118M
¥315M
¥41M
¥-207M
Current Tax
—
¥165M
¥273M
¥143M
¥446M
Deferred Tax
—
¥-284M
¥42M
¥-102M
¥-653M
Net Income (owners)
¥1.4B
¥1.2B
¥459M
¥425M
¥434M
Comprehensive Income
—
¥1.3B
¥1.1B
¥272M
¥887M
EBITDA
¥2.4B
¥1.9B
¥1.3B
¥897M
¥983M
Goodwill Amort. (J-GAAP)
—
¥89M
¥89M
¥120M
¥94M
EPS
¥42.74
¥35.59
¥13.65
¥12.77
¥13.17
Shares Outstanding
—
33.3M
33.8M
33.4M
33.1M
Shares Issued (total)
—
33.9M
33.8M
33.5M
33.1M
Treasury Shares
—
0.6M
0.0M
0.0M
0.0M
Metric
FY 2025
TDnet
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Total Assets
¥34.1B
¥27.7B
¥27.2B
¥25.7B
¥25.4B
Current Assets
¥14.8B
¥12.8B
¥12.4B
¥11.8B
¥11.5B
Cash & Deposits
¥2.3B
¥2.0B
¥1.6B
¥1.4B
¥3.4B
Trade Receivables
—
¥4.8B
¥4.8B
¥4.7B
¥3.6B
Non-Current Assets
¥19.2B
¥14.9B
¥14.8B
¥13.9B
¥13.9B
PP&E
¥9.1B
¥8.1B
¥8.2B
¥8.3B
¥7.8B
Goodwill
—
¥499M
¥589M
¥679M
¥711M
Intangible Assets
—
¥1.1B
¥1.1B
¥1.1B
¥1.1B
Investment Securities
¥6.3B
¥4.8B
¥4.8B
¥3.9B
¥4.4B
Deferred Tax Assets
—
¥409M
¥200M
¥222M
¥166M
Total Liabilities
¥21.6B
¥17.5B
¥18.3B
¥17.7B
¥17.6B
Current Liabilities
¥12.4B
¥10.4B
¥12.0B
¥10.4B
¥8.6B
Accounts Payable
—
¥1.8B
¥1.8B
¥3.6B
¥3.0B
ST Debt
¥4.9B
¥4.0B
¥5.1B
¥4.0B
¥3.0B
Taxes Payable
—
¥98M
¥212M
¥91M
¥289M
Non-Current Liabilities
¥9.2B
¥7.1B
¥6.3B
¥7.3B
¥9.0B
Total LT Borrowings
¥5.4B
¥3.7B
¥2.4B
¥3.7B
¥4.9B
Pension Obligations
—
¥1.7B
¥1.8B
¥1.7B
¥1.8B
Deferred Tax Liab.
—
¥1.2B
¥1.4B
¥1.1B
¥1.2B
Total Equity
¥12.5B
¥10.2B
¥9.0B
¥8.0B
¥7.9B
Capital Stock
—
¥69M
¥2.6B
¥2.6B
¥2.6B
Capital Surplus
—
¥2.6B
¥46M
¥22M
—
Retained Earnings
¥6.2B
¥5.0B
¥3.8B
¥3.5B
¥3.2B
Treasury Stock
—
¥-125M
¥-9M
¥-9M
¥-9M
AOCI
—
¥2.6B
¥2.4B
¥1.8B
¥2.0B
Equity (owners)
¥8.8B
¥7.6B
¥6.5B
¥6.1B
¥5.8B
Total Interest-Bearing Debt ⓘ
¥10.3B
¥7.7B
¥7.5B
¥7.7B
¥7.8B
Net Cash ⓘ
¥-8.0B
¥-5.7B
¥-5.9B
¥-6.3B
¥-4.4B
NCAV ⓘ
¥-6.8B
¥-4.7B
¥-5.8B
¥-5.9B
¥-6.0B
NCAV/Share
—
¥-141
¥-173
¥-176
¥-183
BV/Share
—
¥227
¥191
¥183
¥176
Metric
FY 2025
TDnet
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Operating CF
¥3.4B
¥1.5B
¥1.6B
¥-534M
¥284M
Taxes Paid
—
¥-311M
¥293M
¥-810M
¥808M
Interest Paid
—
¥-118M
¥-97M
¥-114M
¥-133M
Interest Received
—
¥175M
¥200M
¥366M
¥136M
D&A
¥725M
¥794M
¥735M
¥682M
¥667M
Goodwill Amort.
—
¥89M
¥89M
¥120M
¥94M
Investing CF
¥-3.9B
¥-817M
¥-804M
¥-933M
¥-1.2B
CapEx
¥1.2B
¥569M
¥637M
¥1.0B
¥955M
Purchase Investments
—
¥-17M
¥-18M
¥-18M
¥-166M
Proceeds from Invest.
—
¥0M
¥179M
¥573M
¥78M
Financing CF
¥780M
¥-337M
¥-583M
¥-597M
¥-1.2B
Dividends Paid
—
¥-168M
¥-167M
¥-165M
¥-164M
Share Buybacks
—
¥-149M
—
—
—
LT Debt Repaid
—
¥-1.8B
¥-2.5B
¥-2.6B
¥-3.1B
Free Cash Flow
¥2.2B
¥931M
¥973M
¥-1.6B
¥-671M
Net Change in Cash
—
¥389M
¥237M
¥-2.0B
¥-2.1B
Metric
FY 2025
TDnet
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
ROE
12.6%
12.3%
5.5%
5.4%
5.9%
ROA
4.6%
4.3%
1.7%
1.7%
1.7%
EPS
¥42.74
¥35.59
¥13.65
¥12.77
¥13.17
DPS
¥0.00
¥7.50
¥5.00
¥5.00
¥5.00
BPS
¥371.13
¥304.11
¥263.62
¥237.40
¥235.25
FCF/Share
—
¥28
¥29
¥-47
¥-20
NCAV/Share
—
¥-141
¥-173
¥-176
¥-183
Payout Ratio
0.0%
21.1%
36.6%
39.2%
38.0%
Event Timeline
S Shareholder
A Capital Signal
▾ Hide Chart
Large Shareholder Reports 23
Date Activist Stake Event Flag Demands Source
2025-04-09
NIPPON PARKING DEVELOPMENT Co.,Ltd.
12.33%
+1.06%
change
Passive
—
2025-04-07
NIPPON PARKING DEVELOPMENT Co.,Ltd.
11.27%
+1.02%
change
Passive
—
2025-02-12
NIPPON PARKING DEVELOPMENT Co.,Ltd.
10.25%
+1.02%
change
Passive
—
2025-01-14
NIPPON PARKING DEVELOPMENT Co.,Ltd.
9.23%
+1.02%
initial_5pct
Passive
—
2024-11-19
NIPPON PARKING DEVELOPMENT Co.,Ltd.
8.21%
+1.06%
change
Passive
—
2024-09-13
NIPPON PARKING DEVELOPMENT Co.,Ltd.
6.1%
correction
Passive
—
2024-09-13
NIPPON PARKING DEVELOPMENT Co.,Ltd.
7.15%
+1.05%
correction
Passive
—
2024-09-10
NIPPON PARKING DEVELOPMENT Co.,Ltd.
7.15%
+1.05%
change
Passive
—
2024-09-05
NIPPON PARKING DEVELOPMENT Co.,Ltd.
6.1%
correction
Passive
—
2024-08-27
NIPPON PARKING DEVELOPMENT Co.,Ltd.
6.1%
+0.1%
correction
Passive
—
2024-08-08
NIPPON PARKING DEVELOPMENT Co.,Ltd.
6.0%
+1.0%
change
Passive
—
2024-06-25
NIPPON PARKING DEVELOPMENT Co.,Ltd.
5.0%
correction
Passive
—
2024-06-18
NIPPON PARKING DEVELOPMENT Co.,Ltd.
5.0%
initial_5pct
Passive
—
2024-04-05
SMBC Nikko Securities Inc.
4.21%
change
Passive
—
2024-03-19
GINSEN CO., LTD.
5.04%
correction
Passive
—
2024-02-22
GINSEN CO., LTD.
5.04%
-0.18%
correction
Passive
—
2024-01-05
GINSEN CO., LTD.
5.04%
-0.18%
change
Passive
—
2024-01-05
GINSEN CO., LTD.
5.22%
correction
Passive
—
2024-01-05
GINSEN CO., LTD.
5.22%
correction
Passive
—
2023-12-12
GINSEN CO., LTD.
5.22%
change
Passive
—
2023-12-12
GINSEN CO., LTD.
5.22%
change
Passive
—
2023-12-12
GINSEN CO., LTD.
5.22%
correction
Passive
—
2023-12-12
GINSEN CO., LTD.
5.22%
correction
Passive
—
Capital Allocation Signals 1
Date
Type
Amount
Summary
2026-05-12
15:30
Buyback
¥5.0B 0.8%
Sanoyas Holdings (7022, TSE Standard Market) board resolved on 2026-05-12 to authorize repurchase of up to 2.5 million s…
Summary
Sanoyas Holdings (7022, TSE Standard Market) board resolved on 2026-05-12 to authorize repurchase of up to 2.5 million shares (0.75% of outstanding) for a maximum of ¥5.0 billion through open market purchases. The program runs from 2026-05-13 through 2026-07-31 and is aimed at enhancing shareholder returns and improving capital efficiency.
Deadline: 2026-07-31
% of Shares: 0.8%
Shares: 2,500,000
Source (JP)
株主還元と資本効率の向上を図ることを目的としております。取得し得る株式の総数25万株(上限とする)、株式の取得価額の総額50百万円(上限とする)、取得期間2026年5月13日~2026年7月31日
Top 10 Shareholders
Ownership DNA
Cross-Holdings Tracker 10
#
Shareholder
Shares (thou.)
% of Total
1
日本駐車場開発㈱
3,834
11.51%
2
サノヤス共栄会
2,539
7.62%
3
Sumitomo Mitsui Banking Corporation
㈱三井住友銀行
1,425
4.28%
4
ストラクス㈱
1,402
4.21%
5
三井住友海上火災保険㈱
1,123
3.37%
6
住友不動産㈱
1,120
3.36%
7
日本証券金融㈱
1,107
3.32%
8
三井住友信託銀行㈱
650
1.95%
9
石田眞信
649
1.95%
10
TAKUMA CO., LTD.
㈱タクマ
534
1.60%
Domestic Nominees
1.9%
-3.6% vs 2024
Trust bank custodians — GPIF, pensions, investment trusts
Foreign Custodians
0.0%
+0.0% vs 2024
Sub-custodians for foreign asset managers
Direct / Strategic
41.2%
+12.5% vs 2024
Named entities with disclosed investment intent
Shareholder
Trend
2023
2024
2025
日本駐車場開発
NEW ENTRY
—
—
—
11.51%
NEW
サノヤス共栄会
6.69%
7.26%
7.62%
+0.36%
Sumitomo Mitsui Banking Corporation
三井住友銀行
4.26%
4.22%
4.28%
+0.06%
ストラクス
4.19%
4.15%
4.21%
+0.06%
三井住友海上火災保険
3.36%
3.33%
3.37%
+0.04%
住友不動産
3.35%
3.32%
3.36%
+0.04%
日本証券金融
NEW ENTRY
—
—
—
3.32%
NEW
石田眞信
1.94%
1.92%
1.95%
+0.03%
三井住友信託銀行
1.94%
1.92%
1.95%
+0.03%
TAKUMA CO., LTD.
㈱タクマ
1.60%
1.58%
1.60%
+0.02%
日本マスタートラスト信託銀行
last seen 2024
Exited Top 10
5.41%
3.59%
—
水戸証券
last seen 2024
Exited Top 10
—
2.95%
—
㈱IHI原動機
last seen 2023
Exited Top 10
1.41%
—
—
Concentration (HHI)
ⓘ
144
141
270
3 fiscal years · top-10 holders per year · >2,500 HHI = high concentration · entity-resolved
Portfolio Book Value
¥1,956M
-18% since 2023
Holdings
10
+1 new
2 exited
Trend
1 building
vs 2023
Held Company
FY2025
¥1,956M total
FY2023
¥2,384M total
Book Val ¥M
Shares
Book Val ¥M
Shares
Sumitomo Mitsui Trust Group, Inc.
三井住友トラストグループ㈱
554
NEW
New
149,000
—
M
TAKUMA CO., LTD.
㈱タクマ
499
272,000
360
272,000
M
Keihanshin Building Co., Ltd.
京阪神ビルディング㈱
399
294,000
351
294,000
M
Sumitomo Realty & Development Co.,Ltd.
住友不動産㈱
209
37,500
111
37,500
M
不二製油グループ本社㈱
164
53,862
103
53,862
Sumitomo Mitsui Financial Group, Inc.
㈱三井住友フィナンシャルグループ
82
+200.0%
↑
21,645
38
7,215
M
Resona Holdings, Inc.
㈱りそなホールディングス
29
22,720
14
22,720
M
TOYO CONSTRUCTION CO.,LTD.
東洋建設㈱
13
10,000
9
10,000
San ju San Financial Group,Inc
㈱三十三フィナンシャルグループ
7
3,330
5
3,330
M
kuribayashi steamship co.,ltd.
栗林商船㈱
—
—
M
Mitsui O.S.K. Lines, Ltd.
㈱商船三井
—
−100%
Exit
—
1,055
318,934
三井住友トラスト・ホールディングス㈱
—
−100%
Exit
—
338
74,500
M
Portfolio total
1,956
2,384
Book value in ¥M · ↓ reduced · ↑ increased vs prior year · M = mutual holding