Nomura Holdings, Inc. (NMR)

$6.04

-0.01

(-0.17%)

Market is closed - opens 8 PM, 25 Nov 2024

Performance

  • $6.00
    $6.06
    $6.04
    downward going graph

    0.75%

    Downside

    Day's Volatility :1.07%

    Upside

    0.33%

    downward going graph
  • $4.03
    $6.62
    $6.04
    downward going graph

    33.28%

    Downside

    52 Weeks Volatility :39.1%

    Upside

    8.73%

    downward going graph

Returns

PeriodNomura Holdings, Inc.Sector (Financials)Index (Russel 2000)
3 Months
5.04%
14.2%
0.0%
6 Months
1.0%
21.9%
0.0%
1 Year
47.68%
43.4%
0.0%
3 Years
41.78%
26.5%
-24.1%

Highlights

Market Capitalization
17.4B
Book Value
$1117.00
Earnings Per Share (EPS)
0.57
PE Ratio
10.35
PEG Ratio
0.85
Wall Street Target Price
5.791
Profit Margin
15.4%
Operating Margin TTM
27.52%
Return On Assets TTM
0.51%
Return On Equity TTM
8.42%
Revenue TTM
1.8T
Revenue Per Share TTM
598.26
Quarterly Revenue Growth YOY
31.4%
Gross Profit TTM
1.0T
Diluted Eps TTM
0.57
Quarterly Earnings Growth YOY
1.88
EPS Estimate Current Year
0.0
EPS Estimate Next Year
0.56
EPS Estimate Current Quarter
0.14
EPS Estimate Next Quarter
0.12

Analyst Recommendation

Hold
    8%Buy
    50%Hold
    41%Sell
Based on 12 Wall street analysts offering stock ratings for Nomura Holdings, Inc.(by analysts ranked 0 to 5 stars)
Based on 12 analyst
  • Current
  • 1M Ago
  • 3M Ago
Buy
1
5
5
Hold
6
5
5
Sell
5
1
1

Analyst Forecast

What analysts predicted

Downside of 4.13%

Current $6.04
Target $5.79

Company Financials

FY19Y/Y Change
Revenue
9.0B
↓ 22.65%
Net Income
-903.6M
↓ 145.79%
Net Profit Margin
-10.02%
↓ 26.95%
FY20Y/Y Change
Revenue
10.0B
↑ 7.05%
Net Income
2.0B
↓ 316.04%
Net Profit Margin
20.23%
↑ 30.25%
FY21Y/Y Change
Revenue
11.4B
↑ 15.95%
Net Income
1.4B
↓ 29.44%
Net Profit Margin
12.31%
↓ 7.92%
FY22Y/Y Change
Revenue
9.7B
↓ 8.05%
Net Income
1.2B
↓ 6.61%
Net Profit Margin
12.5%
↑ 0.19%
FY23Y/Y Change
Revenue
8.6B
↑ 0.6%
Net Income
694.2M
↓ 35.11%
Net Profit Margin
8.06%
↓ 4.44%
FY24Y/Y Change
Revenue
9.2B
↑ 19.77%
Net Income
1.1B
↑ 78.76%
Net Profit Margin
12.04%
↑ 3.98%
Q2 FY23Q/Q Change
Revenue
2.4B
↑ 45.7%
Net Income
249.2M
↑ 377.72%
Net Profit Margin
10.57%
↑ 7.35%
Q3 FY23Q/Q Change
Revenue
2.5B
↑ 9.74%
Net Income
342.0M
↑ 43.48%
Net Profit Margin
13.81%
↑ 3.24%
Q4 FY23Q/Q Change
Revenue
8.1B
↑ 219.96%
Net Income
394.5M
↑ 12.27%
Net Profit Margin
4.85%
↓ 8.96%
Q1 FY24Q/Q Change
Revenue
8.1B
↑ 4.03%
Net Income
460.2M
↑ 21.48%
Net Profit Margin
5.66%
↑ 0.81%
Q2 FY24Q/Q Change
Revenue
2.8B
↓ 64.04%
Net Income
622.6M
↑ 42.72%
Net Profit Margin
22.46%
↑ 16.8%
Q3 FY24Q/Q Change
Revenue
438.0B
↑ 0.0%
Net Income
98.4B
↑ 0.0%
Net Profit Margin
22.46%
↑ 0.0%
FY19Y/Y Change
Total Assets
368.6B
↑ 0.93%
Total Liabilities
344.4B
↑ 1.32%
FY20Y/Y Change
Total Assets
409.4B
↑ 7.4%
Total Liabilities
384.0B
↑ 7.78%
FY21Y/Y Change
Total Assets
391.2B
↓ 3.37%
Total Liabilities
365.9B
↓ 3.66%
FY22Y/Y Change
Total Assets
366.9B
↑ 2.11%
Total Liabilities
341.7B
↑ 1.71%
FY23Y/Y Change
Total Assets
357.4B
↑ 10.04%
Total Liabilities
333.3B
↑ 10.16%
FY24Y/Y Change
Total Assets
368.1B
↑ 15.44%
Total Liabilities
345.1B
↑ 16.05%
Q2 FY23Q/Q Change
Total Assets
387.7B
↑ 14.74%
Total Liabilities
363.8B
↑ 15.48%
Q3 FY23Q/Q Change
Total Assets
370.4B
↓ 0.11%
Total Liabilities
347.6B
↓ 0.1%
Q4 FY23Q/Q Change
Total Assets
383.4B
↑ 0.72%
Total Liabilities
359.4B
↑ 0.6%
Q1 FY24Q/Q Change
Total Assets
398.8B
↑ 8.33%
Total Liabilities
375.0B
↑ 8.66%
Q2 FY24Q/Q Change
Total Assets
363.6B
↓ 3.82%
Total Liabilities
342.1B
↓ 3.77%
Q3 FY24Q/Q Change
Total Assets
57.5T
↑ 0.0%
Total Liabilities
54.1T
↑ 0.0%
FY19Y/Y Change
Operating Cash Flow
-3.2B
↓ 18.97%
Investing Cash Flow
-1.0B
↑ 100.28%
Financing Cash Flow
6.8B
↑ 103.98%
FY20Y/Y Change
Operating Cash Flow
-148.3M
↓ 95.59%
Investing Cash Flow
2.0B
↓ 292.29%
Financing Cash Flow
3.1B
↓ 56.38%
FY21Y/Y Change
Operating Cash Flow
6.1B
↓ 4275.94%
Investing Cash Flow
-1.3B
↓ 164.26%
Financing Cash Flow
-2.5B
↓ 181.29%
FY22Y/Y Change
Operating Cash Flow
-11.6B
↓ 305.58%
Investing Cash Flow
-382.8M
↓ 67.42%
Financing Cash Flow
9.0B
↓ 496.67%
FY23Y/Y Change
Operating Cash Flow
-7.3B
↓ 28.78%
Investing Cash Flow
291.4M
↓ 185.97%
Financing Cash Flow
9.7B
↑ 20.64%
Q4 FY22Q/Q Change
Operating Cash Flow
-2.1B
↑ 18.51%
Investing Cash Flow
363.2M
↓ 370.37%
Financing Cash Flow
584.8M
↓ 79.19%
Q1 FY23Q/Q Change
Operating Cash Flow
-192.1M
↓ 91.12%
Investing Cash Flow
291.4M
↓ 20.58%
Financing Cash Flow
3.4B
↑ 479.24%
Q2 FY23Q/Q Change
Operating Cash Flow
2.2B
↓ 1316.27%
Investing Cash Flow
-81.4M
↓ 129.56%
Financing Cash Flow
-1.5B
↓ 145.75%
Q3 FY23Q/Q Change
Operating Cash Flow
-7.4B
↓ 451.12%
Investing Cash Flow
-414.1M
↑ 431.67%
Financing Cash Flow
1.9B
↓ 234.43%

Technicals Summary

Sell

Neutral

Buy

Nomura Holdings, Inc. is currently in a neutral trading position according to technical analysis indicators.

Peers

Company Name1 Month6 Month1 Year3 Years5 Years
Nomura Holdings, Inc.
Nomura Holdings, Inc.
18.2%
1.0%
47.68%
41.78%
17.97%
Interactive Brokers Group, Inc.
Interactive Brokers Group, Inc.
29.3%
49.7%
134.25%
147.64%
287.97%
Morgan Stanley
Morgan Stanley
13.02%
36.09%
71.25%
33.2%
169.6%
Robinhood Markets, Inc.
Robinhood Markets, Inc.
34.64%
78.69%
342.1%
30.99%
5.26%
Charles Schwab Corp., The
Charles Schwab Corp., The
11.94%
12.44%
44.0%
-2.26%
64.79%
Goldman Sachs Group, Inc., The
Goldman Sachs Group, Inc., The
14.92%
30.7%
77.73%
51.0%
170.61%
Company NameP/E RatioP/B RatioPEG RatioEPSROEROADiv YieldBVPS
Nomura Holdings, Inc.
Nomura Holdings, Inc.
10.35
10.35
0.85
0.0
0.08
0.01
NA
1117.0
Interactive Brokers Group, Inc.
Interactive Brokers Group, Inc.
29.86
29.86
14.25
6.81
0.22
0.02
0.01
38.07
Morgan Stanley
Morgan Stanley
20.52
20.52
3.81
7.33
0.11
0.01
0.03
58.25
Robinhood Markets, Inc.
Robinhood Markets, Inc.
60.5
60.5
NA
1.0
0.08
0.02
NA
8.16
Charles Schwab Corp., The
Charles Schwab Corp., The
31.56
31.56
1.3
3.12
0.12
0.01
0.01
20.78
Goldman Sachs Group, Inc., The
Goldman Sachs Group, Inc., The
17.68
17.68
4.03
36.74
0.1
0.01
0.02
327.61
Company NameAnalyst ViewMarket Cap5 Years Return %PE RatioProfit Margin
Nomura Holdings, Inc.
Nomura Holdings, Inc.
Hold
$17.4B
17.97%
10.35
15.4%
Interactive Brokers Group, Inc.
Interactive Brokers Group, Inc.
Buy
$81.0B
287.97%
29.86
14.12%
Morgan Stanley
Morgan Stanley
Hold
$217.5B
169.6%
20.52
19.21%
Robinhood Markets, Inc.
Robinhood Markets, Inc.
Hold
$31.0B
5.26%
60.5
21.8%
Charles Schwab Corp., The
Charles Schwab Corp., The
Buy
$147.9B
64.79%
31.56
27.47%
Goldman Sachs Group, Inc., The
Goldman Sachs Group, Inc., The
Buy
$189.2B
170.61%
17.68
24.65%

Insights on Nomura Holdings, Inc.

  • Decreasing Revenue

    Revenue is down for the last 3 quarters, 1217.88B → 438.00B (in $), with an average decrease of 32.0% per quarter

  • Increasing Net Profit

    Netprofit is up for the last 7 quarters, 7.37B → 98.38B (in $), with an average increase of 28.0% per quarter

  • Vs HOOD

    In the last 1 year, Robinhood Markets, Inc. has given 342.1% return, outperforming this stock by 294.4%

Institutional Holdings

  • Morgan Stanley - Brokerage Accounts

    0.65%
  • Fisher Asset Management, LLC

    0.29%
  • Arrowstreet Capital Limited Partnership

    0.20%
  • Goldman Sachs Group Inc

    0.16%
  • BlackRock Inc

    0.14%
  • Dimensional Fund Advisors, Inc.

    0.11%

Corporate Announcements

  • Nomura Holdings, Inc. Dividends December,2021

    In the quarter ending December,2021. Nomura Holdings, Inc. has declared dividend of $0.07

    Read More

Company Information

Nomura Holdings, Inc. is a Japanese financial holding company and a principal member of the Nomura Group.

Organization
Nomura Holdings, Inc.
Employees
26850
CEO
Mr. Kentaro Okuda
Industry
Finance

FAQs