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XNYSNMR
Market cap16bUSD
Dec 23, Last price  
5.77USD
1D
0.70%
1Q
4.91%
Jan 2017
-2.20%
Name

Nomura Holdings Inc

Chart & Performance

D1W1MN
XNYS:NMR chart
P/E
16.15
P/S
1.71
EPS
56.13
Div Yield, %
352.86%
Shrs. gr., 5y
-1.31%
Rev. gr., 5y
9.28%
Revenues
1.56t
+35.76%
799,313,738,4401,147,834,292,4001,113,637,664,640786,120,262,560312,627,000,0001,138,916,000,0001,111,406,000,000947,575,000,0001,722,243,000,0001,445,221,000,0001,474,199,000,0001,271,800,000,0001,267,994,000,0001,295,603,000,0001,002,119,000,0001,072,799,000,0001,243,866,000,0001,143,717,000,0001,150,541,000,0001,562,000,000,000
Net income
165.86b
+78.76%
94,793,848,240304,849,345,500176,259,198,720-67,703,660,360-708,192,000,00067,798,000,00028,661,000,00011,583,000,000107,234,000,000213,591,000,000224,785,000,000131,550,000,000239,617,000,000219,343,000,000-100,442,000,000216,998,000,000153,116,000,000142,996,000,00092,786,000,000165,863,000,000
CFO
132.64b
P
-279,019,901,720-404,778,725,550-1,630,751,049,120-646,923,929,920-712,629,000,000-1,500,770,000,000-235,090,000,000290,863,000,000549,501,000,000457,423,000,000-77,028,000,0001,238,372,000,0001,305,025,000,000-445,696,000,000-361,165,000,000-15,943,000,000665,770,000,000-1,368,710,000,000-974,750,000,000132,640,000,000
Dividend
Mar 27, 20240.08 USD/sh
Earnings
Jan 29, 2025

Profile

Nomura Holdings, Inc. provides various financial services to individuals, corporations, financial institutions, governments, and governmental agencies worldwide. It operates through three segments: Retail, Investment Management, and Wholesale. The Retail segment offers various financial products and investment services. As of March 31, 2022, this segment operated a network of 119 branches. The Investment Management segment engages in the management of funds, investment trusts, and other investment vehicles; and provision of investment advisory, custodial, and administrative services. The Wholesale segment is involved in the research, sale, trading, agency execution, and market-making of fixed income and equity-related products. It also engages in underwriting various securities and other financial instruments, such as various classes of shares, convertible and exchangeable securities, investment grade and high yield debts, sovereign and emerging market debts, structured securities, and other securities; arranging private placements, as well as other capital raising activities; and the provision of financial advisory services on business transactions comprising mergers and acquisitions, divestitures, spin-offs, capital structuring, corporate defense activities, leveraged buyouts, and risk solutions. In addition, this segment offers various financial instruments. The company was formerly known as The Nomura Securities Co., Ltd. and changed its name to Nomura Holdings, Inc. in October 2001. Nomura Holdings, Inc. was incorporated in 1925 and is headquartered in Tokyo, Japan.
IPO date
Oct 02, 1961
Employees
26,775
Domiciled in
JP
Incorporated in
JP

Valuation

Title
JPY in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑032023‑032022‑032021‑032020‑032019‑032018‑032017‑032016‑032015‑03
Income
Revenues
1,562,000,000
35.76%
1,150,541,000
0.60%
1,143,717,000
-8.05%
Cost of revenue
3,560,419,000
1,960,233,000
939,984,000
Unusual Expense (Income)
NOPBT
(1,998,419,000)
(809,692,000)
203,733,000
NOPBT Margin
17.81%
Operating Taxes
96,630,000
57,798,000
80,090,000
Tax Rate
39.31%
NOPAT
(2,095,049,000)
(867,490,000)
123,643,000
Net income
165,863,000
78.76%
92,786,000
-35.11%
142,996,000
-6.61%
Dividends
(60,164,000)
(57,262,000)
(70,714,000)
Dividend yield
1.96%
3.60%
4.35%
Proceeds from repurchase of equity
(60,076,000)
(24,724,000)
(39,639,000)
BB yield
1.95%
1.55%
2.44%
Debt
Debt current
1,054,717,000
1,008,541,000
1,050,141,000
Long-term debt
13,224,949,000
11,121,295,000
10,050,859,000
Deferred revenue
44,547,660,000
40,439,353,000
Other long-term liabilities
38,663,555,000
(10,927,412,000)
(198,131,000)
Net debt
(3,919,158,000)
(10,838,250,000)
(4,397,430,000)
Cash flow
Cash from operating activities
132,640,000
(974,750,000)
(1,368,710,000)
CAPEX
(145,784,000)
(171,165,000)
(111,331,000)
Cash from investing activities
(887,938,000)
38,945,000
(45,301,000)
Cash from financing activities
1,012,850,000
1,291,697,000
1,070,715,000
FCF
4,396,302,000
(10,231,200,000)
2,785,385,000
Balance
Cash
4,239,359,000
4,521,247,000
3,636,992,000
Long term investments
13,959,465,000
18,446,839,000
11,861,438,000
Excess cash
18,120,724,000
22,910,558,950
15,441,244,150
Stockholders' equity
2,858,526,000
4,282,532,000
3,994,638,000
Invested Capital
53,343,394,000
86,676,982,000
78,299,752,000
ROIC
0.17%
ROCE
0.49%
EV
Common stock shares outstanding
3,144,541
3,119,906
3,158,708
Price
977.60
91.80%
509.70
-1.07%
515.20
-11.39%
Market cap
3,074,103,256
93.31%
1,590,216,012
-2.28%
1,627,366,368
-11.07%
EV
(746,730,744)
(7,525,453,988)
(1,104,878,632)
EBITDA
(1,937,079,000)
(748,268,000)
263,257,000
EV/EBITDA
0.39
10.06
Interest
2,595,294,000
1,151,149,000
230,109,000
Interest/NOPBT
112.95%