NYSE · Financial - Capital Markets

Nomura Holdings, Inc. (NMR) Stock

$9.53 -2.56% NYSE: NMR Financial Services

Nomura Holdings, Inc. engages in the provision of investment, financing, and related services to individual, institutional, and government clients worldwide.

Valuation

MetricValue
Price$9.53
Market Cap$27.85B
P/E Ratio0.30
P/B Ratio1.13
P/S Ratio0.02
EPS (TTM)$31.77
52-Week High$10.94
52-Week Low$6.71
Dividend Yield3.42%

Financials & Margins

MetricValue
ROE395.36%
ROA21.27%
ROCE43.23%
Gross Margin42.03%
Operating Margin12.26%
Net Margin8.27%
Debt/Equity10.19
Current Ratio0.85

Annual Financials (USD)

Metric20222023202420252026
Revenue$1.37T$2.30T$3.97T$4.51T$4.76T
Operating Profit$226.6B$149.5B$273.9B$472.0B$539.8B
Net Profit$143.0B$92.8B$165.9B$340.7B$362.1B
EPS$45.23$29.74$52.75$111.03$118.99
Op Margin16.5%6.5%6.9%10.5%11.3%

Balance Sheet (USD)

Metric20222023202420252026
Total Assets$43.41T$47.77T$55.15T$56.80T$62.65T
Total Liabilities$40.44T$44.55T$51.70T$53.22T$58.79T
Cash$4.06T$4.52T$5.15T$5.51T$4.30T
Borrowings$23.48T$26.15T$30.96T$31.35T$17.30T

Latest News

Nomura (NMR) Forms 'Hammer Chart Pattern': Time for Bottom Fishing? Zacks · Oct 2, 2026 NMR or TW: Which Is the Better Value Stock Right Now? Zacks · Sep 29, 2026 Nomura (TSE:8604) Stock Looks Below Fair Value After Its 255% Run Simply Wall St. · Sep 25, 2026 New Strong Buy Stocks for September 24th Zacks · Sep 24, 2026 Best Income Stocks to Buy for September 24th Zacks · Sep 24, 2026

Cash Flow (USD)

Metric20222023202420252026
Operating Cash Flow$-862.8B$-694.8B$132.6B$-678.6B$-843.0B
Investing Cash Flow$-704.5B$-404.4B$-1.03T$-1.04T$-1.85T
Financing Cash Flow$321.6B$317.2B$55.8B$689.7B$726.7B
Net Cash Flow$-193.6B$504.4B$478.2B$126.4B$-106.7B
Free Cash Flow$-974.2B$-866.0B$-13.1B$-868.6B$-1.20T

Valuation & Return Ratios

MetricValue
PEG Ratio0.00
EV / EBITDA1.79
FCF Yield0.00%
Quick Ratio0.85
Interest Coverage0.21
Return 1Y34.04%
Return 3Y155.19%
Return 5Y111.35%

Peer Comparison

TickerPriceChangeP/EMarket CapDiv Yield
DSEEYDaiwa Securities Group Inc. $11.59 +3.11% 14.88 $16.07B 1.21%
EVREvercore Inc. $266.75 -0.19% 13.63 $10.32B 1.36%
GSGoldman Sachs Group, Inc. (The) $882.59 -0.52% 14.25 $260.37B 2.14%
IVTJYInvestec Group $16.90 +0.00% 8.66 $5.73B 5.86%
JEFJefferies Financial Group Inc. $44.40 +0.59% 12.13 $9.03B 3.48%

About Nomura Holdings, Inc.

Nomura Holdings, Inc. engages in the provision of investment, financing, and related services to individual, institutional, and government clients worldwide. It operates through three segments: Wealth Management, Investment Management, and Wholesale. The Wealth Management segment offers investment consultation services. The Investment Management segment provides investment management services and investment solutions, such as establishing and managing investment trusts, discretionary investment services, as well as investment and management for investment vehicles, and for funds for institutional investors, and management of silent partnerships. The Wholesale segment is involved in the sales and trading of debt and equity securities, foreign exchange contracts and derivatives; offers investment banking services, including underwriting and distribution of debt and equity securities, mergers and acquisitions, and financial advisory. 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.

Nomura Holdings, Inc. is headquartered in JP.

Nomura Holdings, Inc. (NMR) stock trades at $9.53 with a market capitalization of $27.85B. The stock is valued at a price-to-earnings (P/E) ratio of 0.30, price-to-book of 1.13, price-to-sales of 0.02. Over the past 52 weeks the stock has ranged between $6.71 and $10.94, and currently trades 12.9% below its 52-week high. It pays a dividend yielding 3.42%.

On profitability, Nomura Holdings, Inc. generates a return on equity (ROE) of 395.36% — well above the market average, a sign of a high-quality business, return on capital employed of 43.23%, an operating margin of 12.26%, a net profit margin of 8.27%.

In its most recent fiscal year, Nomura Holdings, Inc. reported annual revenue of $4.76T, net profit of $362.1B, revenue has compounded at 27.5% a year over the last five years, profit at 18.8% a year.

The balance sheet shows a debt-to-equity ratio of 10.19 — a leveraged balance sheet worth monitoring, a current ratio of 0.85, total assets of $62.65T, $4.30T in cash and equivalents.

NMR has an average daily trading volume of 978,507 shares, a beta of 0.60 (less volatile than the overall market).

Official website: www.nomuraholdings.com

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