NAGANO KEIKI

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Stock Information

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Basic Information

Stock Exchange
Tokyo Stock Exchange, Prime Market
Securities Code
7715
Industry
Precision Instruments
Number of Shares per Unit
100shares
Authorized Shares(as of June 30, 2026)
54,840,000shares
Issued Shares(as of June 30, 2026)
18,892,484shares
Total Shareholders(as of June 30, 2026)
6,691shareholders
Unit Shareholders(as of June 30, 2026)
5,112unit shareholders
Fiscal Year
April 1 – March 31
Annual General Meeting
Held every June (Record date: March 31)
Dividend Record Dates
Year-end: March 31 / Interim: September 30
Shareholder Registry Administrator
Sumitomo Mitsui Trust Bank, Limited

Share Status

Share Distribution by Holder Type(as of June 30, 2026)

Name Number of Shares Held (Thousands) Shareholding Ratio (%)
Individuals and Others 6,629 35.09
Financial Institutions 5,033 26.64
Other Domestic Corporations 2,758 14.60
Foreign Investors 3,967 21.00
Securities Companies 303 1.60
Treasury Stock 199 1.05

Major Shareholders(Top 10)(as of June 30, 2026)

Name Number of Shares Held (Thousands) Shareholding Ratio (%)
The Master Trust Bank of Japan, Ltd. (Trust Account) 2,394 12.81
Custody Bank of Japan, Ltd. (Trust Account) 1,574 8.42
Nagano Keiki Client Stockholding Association 1,515 8.11
MSIP CLIENT SECURITIES 716 3.83
NIDEC INSTRUMENTS CORPORATION 521 2.79
Hachijuni Capital Co., Ltd. 505 2.70
Hachijuni Nagano Bank,Ltd. 504 2.70
Naoki Toya 451 2.41
THE BANK OF NEW YORK 134088 380 2.03
BNY GCM CLIENT ACCOUNT JPRD AC ISG(FE-AC) 365 1.96

Ownership ratios are calculated excluding treasury stock.
Treasury stock held by Sumitomo Mitsui Trust Bank under the stock compensation plan is not included.

Shareholder Returns

Dividend Policy

We regard shareholder returns as a key management priority, aiming to maintain stable dividends while strengthening our financial base through appropriate internal reserves.

Dividend History

FY03/2023 FY03/2024 FY03/2025 FY03/2026 FY03/2027 (Forecast)
Interim (yen) 16 18 22 26 30
Interim Special (yen) --- --- 2 --- ---
Year-end (yen) 16 18 22 26 30
Year-end Special (yen) 4 4 2 --- ---
Total (yen) 36 40 48 52 60
Payout Ratio 20.1% 14.1% 15.1% 18.2% 26.4%

Procedures

Share-Related Inquiries

Shareholder Registry Administrator and
Administrator of Special Accounts
Sumitomo Mitsui Trust Bank, Limited
Office Handling Shareholder Registry
Administrative Services
Sumitomo Mitsui Trust Bank, Limited Securities Agency Department
Mailing Address
2-8-4 Izumi, Suginami-ku, Tokyo 168-0063, Japan
Contact
0120-782-031
Website
Procedures Related to Shares
Various Procedures / Document Requests
Sumitomo Mitsui Trust Bank

Address Changes and Other Share-Related Inquiries

As a general rule, shareholder procedures such as address changes, share purchase requests, and other matters are handled through the account management institution (such as securities companies) with which the shareholder has opened an account.
Please contact the securities company where your account is held.

For shares recorded in special accounts (shares not yet transferred to general accounts with securities companies, etc.), please contact the Securities Agency Department of Sumitomo Mitsui Trust Bank, Limited, which is the administrator of the Company’s special accounts.

Contact

Inquiries regarding shareholder and investor information

DepartmentCorporate Strategy Dept.
Phone03-3776-5332