Sata Construction Co., Ltd.
Stock Price Chart
2026/08/21 UpdatedPrice Trend
2026/08/21 UpdatedPrice & Trading Details
2026/08/21 UpdatedPRICE
TRADING
Shareholder Composition
Updated 2026/08/01Dividend History
Updated 2026/08/23| Year | Dividend | Change |
|---|---|---|
| 2026 | ¥60 | 0.0% |
| 2025 | ¥60 | +130.8% |
| 2024 | ¥26 | 0.0% |
| 2023 | ¥26 | +100.0% |
| 2022 | ¥13 | - |
Financial Performance
2026/08/23 UpdatedRevenue & Profit
Margins
Cash Flow
Financial Health
| 2023 | 2024 | 2025 | 2026 | |
|---|---|---|---|---|
| Income Statement | ||||
| Revenue | ¥30,120M | ¥26,082M | ¥32,264M | ¥36,769M |
| Gross Profit | ¥3,467M | ¥1,723M | ¥2,980M | ¥3,912M |
| Operating Income | ¥1,823M | ¥200M | ¥961M | ¥1,772M |
| Pretax Income | ¥1,853M | ¥190M | ¥959M | ¥1,543M |
| Net Income | ¥1,325M | ¥75M | ¥611M | ¥964M |
| EPS | ¥85.68 | ¥4.90 | ¥39.67 | ¥71.57 |
| Operating Margin | 6.05% | 0.77% | 2.98% | 4.82% |
| Balance Sheet | ||||
| Total Assets | ¥26,781M | ¥26,297M | ¥27,489M | ¥25,352M |
| Total Equity | ¥15,572M | ¥15,244M | ¥15,521M | ¥11,350M |
| Total Liabilities | ¥11,209M | ¥11,053M | ¥11,968M | ¥14,002M |
| Cash | ¥12,394M | ¥13,936M | ¥14,103M | ¥8,721M |
| Interest-bearing Debt | ¥1,270M | ¥1,290M | ¥1,328M | ¥2,226M |
| Equity Ratio | 58.15% | 57.97% | 56.46% | 44.77% |
| D/E Ratio | 0.08 | 0.08 | 0.09 | 0.20 |
| Cash Flow | ||||
| Operating CF | ¥2,907M | ¥2,007M | ¥900M | -¥701M |
| Investing CF | -¥21M | -¥97M | -¥362M | -¥399M |
| Financing CF | -¥601M | -¥367M | -¥371M | -¥4,281M |
| Free CF | ¥2,717M | ¥1,972M | ¥565M | -¥834M |
| Efficiency | ||||
| ROE | 8.51% | 0.49% | 3.94% | 8.49% |
| ROA | 4.95% | 0.29% | 2.22% | 3.80% |
Latest IR Information
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Q1 FY2027 Financial Summary (Consolidated) [Japan GAAP]
Disclosure of the consolidated financial results for the first quarter of the fiscal year ending March 2027. Revenue changes YoY and QoQ, trends in operating, ordinary, and net income, segment contributions, and changes in asset composition are described. Although a...
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Completion of Treasury Stock Disposal with Transfer Restrictions | July 2026
Sata Construction disposed of 17,700 treasury shares at 996 yen per share on July 23, 2026, raising a total of 17,629,200 yen.
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Notice Regarding the Disposal of Treasury Shares as Restricted Stock Compensation
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Latest News (5 items)
Company Information
About
Sata Construction Co., Ltd. engages in the planning, design, supervision, and contracting for civil engineering, construction, and other construction work in Japan. It operates through Civil Engineering Related, Construction Related, and Side Business segments. The company contracts, research, plan, design, and supervise regional and urban development; manufactures, sells, and rents construction materials, equipment, and machineries; owns and leases vehicles, ships, aircrafts, and other machineries; and produces and sells gravel and wood products. It also provides industrial waste recycling and treatment; building rental and tourism; buy and sell land and buildings, brokerage services, and moneylending; and non-life insurance agency and life insurance solicitation. In addition, the company generates, manages, operates, supplies, and sells electricity and renewable energy; and temporary staffing business. Further, the company offers civil engineering services for expressways, bridges, tunnels, dams, residential land development, renewable energy facilities, disaster recovery work. Sata Construction Co., Ltd. was founded in 1919 and is headquartered in Maebashi, Japan.