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Financial Services - Financial - Capital Markets - NYSE - JP
$ 5.86
-0.678 %
$ 17.3 B
Market Cap
10.28
P/E
BALANCE SHEET
55.1 T ASSETS
15.44%
51.7 T LIABILITIES
16.05%
3.35 T EQUITY
6.40%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition Nomura Holdings, Inc.
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Current Assets 4.24 T
Cash & Short-Term Investments 4.24 T
Receivables 0
Other Current Assets 0
Non-Current Assets 64.9 T
Long-Term Investments 14 T
PP&E 449 B
Other Non-Current Assets 50.5 T
Current Liabilities 0
Accounts Payable 1.31 T
Short-Term Debt 1.05 T
Other Current Liabilities -2.37 T
Non-Current Liabilities 53 T
Long-Term Debt 13 T
Other Non-Current Liabilities 40 T

Balance Sheet

Millions
Mar-2024 Mar-2023 Mar-2022 Mar-2021 Mar-2020 Mar-2019 Mar-2018 Mar-2017 Mar-2016 Mar-2015 Mar-2014 Mar-2013 Mar-2012 Mar-2011 Mar-2010 Mar-2009 Mar-2008 Mar-2007 Mar-2006 Mar-2005 Mar-2004 Mar-2003 Mar-2002 Mar-2001 Mar-2000
ASSETS
Cash & Cash Equivalents 5 154 971.0 4 521 247.0 4 063 511.0 4 164 735.0 3 874 948.0 3 261 869.0 2 959 046.0 2 972 088.0 3 898 843.0 2 096 596.0 2 189 310.0 1 652 752.0 1 953 677.0 2 150 453.0 1 352 244.0 1 150 650.0 1 432 047.1 1 056 377.0 1 512 947.3 1 144 389.1 931 297.0 954 757.3 738 839.1 828 649.0 1 074 691.0
Short Term Investments (915 612.0) 409 082.0 4 417 431.0 281 422.0 309 373.0 5 200 360.0 315 445.0 207 792.0 196 632.0 0 0 0 0 0 0 272 059.0 0 (13 179 431.6) 0 0 0 0 0 0 0
Receivables 0 1 199 174.0 1 713 539.0 1 248 242.0 2 269 368.0 1 340 110.0 1 414 253.0 1 225 151.0 1 367 452.0 1 490 602.0 1 245 812.0 1 056 639.0 918 051.0 956 538.0 761 339.0 1 643 007.0 1 087 645.8 9 474.0 656 897.4 731 113.6 13 366 556.2 9 311 508.3 7 082 487.2 380 592.0 233 649.0
Inventory 0 9 436 961.0 8 639 253.0 7 933 623.0 8 618 175.0 1 879.0 1 957.0 0 0 0 0 0 0 0 0 0 0 427 927.0 0 0 0 0 0 0 0
Other Current Assets 0 0 17 165.0 0 0 20 400 292.0 19 312 592.0 21 420 487.0 17 413 408.0 18 713 778.0 19 207 156.0 16 103 178.0 0 0 0 0 0 129 720.0 0 0 0 0 0 0 0
Total Current Assets 4 239 359.0 5 720 421.0 5 124 313.0 5 412 977.0 6 144 316.0 25 004 150.0 23 930 363.0 25 617 726.0 22 679 703.0 22 300 976.0 22 642 278.0 18 812 569.0 2 871 728.0 3 106 991.0 2 113 583.0 3 065 716.0 2 519 692.9 601 666.0 (76 213.0) 1 875 502.7 (1 846 210.0) (597 073.0) 7 821 326.3 1 209 241.0 1 308 340.0
PP&E 448 785.0 464 316.0 419 047.0 464 449.0 440 512.0 349 365.0 338 984.0 349 696.0 355 507.0 401 069.0 408 917.0 428 241.0 1 045 950.0 392 036.0 357 194.0 357 256.0 388 573.1 423 210.6 331 567.8 261 433.7 200 792.3 184 746.1 171 031.9 992 284.0 576 223.0
Intangible Assets 19 127.0 18 556.0 15 600.0 15 895.0 17 311.0 19 318.0 20 932.0 24 414.0 110 532.0 123 486.0 115 143.0 115 661.0 0 0 0 0 0 2 730.0 0 0 0 0 0 0 0
Goodwill 19 260.0 17 638.0 14 407.0 13 145.0 472.0 474.0 78 523.0 80 407.0 80 763.0 86 190.0 77 737.0 74 242.0 0 0 0 0 0 0 0 0 0 0 0 0 0
Long Term Investments 13 959 465.0 18 446 839.0 11 861 438.0 11 329 243.0 12 642 523.0 10 395 772.0 10 735 976.0 16 534 235.0 17 814 068.0 18 795 061.0 20 220 237.0 18 514 155.0 15 268 493.0 16 197 868.0 15 383 317.0 12 279 015.0 10 780 736.0 13 311 457.6 30 783 428.0 29 993 138.2 13 371 560.3 5 921 783.8 5 504 722.9 0 0
Other Long Term Assets (14 446 637.0) (18 911 155.0) 4 401 869.0 (189 696.0) (13 431.0) 5 185 334.0 99 455.0 104 821.0 110 532.0 123 486.0 115 143.0 115 661.0 (16 314 443.0) (16 589 904.0) (15 740 511.0) (12 636 271.0) (11 169 309.2) 132 027.0 (31 114 995.8) (30 254 571.9) (13 572 352.7) (6 106 529.8) 1 (992 284.0) (576 223.0)
Other Assets (13 959 465.0) 23 140 226.0 21 559 920.0 25 280 771.0 24 754 681.0 0 0 0 0 0 3.0 0 16 511 141.0 16 996 095.0 14 376 334.0 9 135 861.0 12 573 138.1 35 029 900.8 4 053 614.2 2 362 876.1 18 047 837.2 15 642 669.6 4 289 266.5 14 944 499.0 12 726 305.0
Total Assets 55 147 203.0 47 771 802.0 43 412 156.0 42 516 480.0 43 999 815.0 40 969 439.0 40 591 329.0 42 852 078.0 41 090 167.0 41 783 236.0 43 520 317.0 37 942 439.0 35 697 312.0 36 692 990.0 32 230 428.0 24 837 848.0 26 262 140.2 35 952 752.8 35 092 397.0 34 492 950.7 29 773 979.9 21 152 126.5 17 786 347.6 17 146 024.0 14 610 868.0
LIABILITIES
Accounts Payable 1 310 825.0 1 359 948.0 1 522 961.0 1 454 755.0 1 467 434.0 1 229 083.0 1 176 773.0 1 065 920.0 688 196.0 723 839.0 492 516.0 476 705.0 764 857.0 0 0 0 0 0 866 643.1 634 067.9 15 920 246.9 11 508 169.6 9 172 636.2 812 877.0 721 598.0
Short Term Debt 1 054 717.0 1 008 541.0 1 050 141.0 1 368 098.0 1 486 733.0 841 758.0 743 497.0 543 049.0 662 902.0 662 256.0 602 131.0 738 445.0 1 185 613.0 1 167 077.0 1 301 664.0 1 183 374.0 1 426 266.0 9 839 764.0 10 179 967.2 22 301 861.3 3 026 480.6 1 496 254.3 1 692 207.4 1 151 823.0 1 146 030.0
Other Current Liabilities (2 447 127.0) (42 254.0) (2 607 260.0) (2 883 128.0) (2 970 529.0) (2 082 739.0) (1 954 451.0) (1 633 182.0) (1 384 045.0) (1 434 727.0) (1 126 277.0) (1 271 503.0) (1 960 563.0) (1 167 077.0) (1 301 664.0) (1 198 458.0) (1 441 439.0) (9 869 563.0) (11 235 758.2) (22 999 840.0) (19 040 347.1) (13 032 973.5) (10 915 844.1) (2 008 453.0) (1 880 999.0)
Total Current Liabilities 0 2 368 489.0 2 573 102.0 2 822 853.0 2 954 167.0 2 070 841.0 1 920 270.0 1 548 719.0 1 351 098.0 1 386 095.0 1 094 647.0 1 215 150.0 1 185 613.0 1 167 077.0 1 301 664.0 1 183 374.0 1 424 269.6 9 839 764.0 11 068 738.4 23 014 209.2 18 946 727.4 13 004 424.0 10 864 812.5 1 964 700.0 1 867 628.0
Long Term Debt 13 035 135.0 10 927 412.0 9 852 728.0 8 574 399.0 8 685 536.0 8 334 074.0 7 796 128.0 7 533 477.0 8 605 832.0 9 004 919.0 9 041 563.0 8 398 875.0 8 504 840.0 8 402 917.0 7 199 061.0 5 483 028.0 5 224 426.0 5 013 961.5 3 598 163.9 2 828 910.1 2 387 197.8 1 953 872.5 1 757 599.1 1 489 184.0 1 625 369.0
Deferred Tax Income 0 (44 547 660.0) (40 439 353.0) (31 185 630.0) (32 583 015.0) (29 954 572.0) (30 998 840.0) (34 166 227.0) 0 0 0 0 0 0 0 710.0 165.0 185.0 0 0 0 0 0 0 0
Other Liabilities (13 035 135.0) (10 927 412.0) (9 852 728.0) (8 574 399.0) (8 685 536.0) (8 334 074.0) (7 796 128.0) (7 533 477.0) (8 605 832.0) (9 004 919.0) (9 041 563.0) (8 398 875.0) (8 504 840.0) (8 402 917.0) (7 199 061.0) (5 483 028.0) (5 224 426.0) (5 013 961.5) (3 598 163.9) (2 828 910.1) (2 387 197.8) (1 953 872.5) (1 757 599.1) (1 489 184.0) (1 625 369.0)
Total Liabilities 51 698 690.0 44 547 660.0 40 439 353.0 39 760 029.0 41 268 551.0 38 288 646.0 37 791 505.0 40 008 287.0 38 347 152.0 39 038 290.0 40 967 101.0 35 623 456.0 33 308 175.0 34 601 354.0 30 097 414.0 23 298 452.0 24 276 797.6 33 762 001.8 33 025 188.8 32 624 310.9 27 987 074.0 19 511 119.0 16 178 881.3 15 709 596.0 13 199 892.0
EQUITY
Common Stock 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 594 493.0 0 594 493.0 594 493.0 321 765.0 1 015.0 0 0 182 832.0 182 965.0 182 622.5 183 089.0 182 797.0 182 796.0
Retained Earnings 1 705 725.0 1 647 005.0 1 606 987.0 1 533 713.0 1 645 451.0 1 486 825.0 1 696 890.0 1 663 234.0 1 516 577.0 1 437 940.0 1 287 003.0 1 136 523.0 1 058 945.0 1 069 334.0 1 074 213.0 1 038 557.0 1 777 246.0 1 915 169.3 1 822 504.7 1 606 348.2 1 551 292.8 1 405 886.9 1 318 301.9 1 177 660.0 1 154 599.0
Other Accumulative Comprehensive Income/Loss 459 984.0 318 454.0 127 973.0 (38 144.0) (26 105.0) (29 050.0) (59 356.0) 33 652.0 44 980.0 143 739.0 20 636.0 (57 395.0) (145 149.0) (129 696.0) (109 132.0) (118 437.0) (70 994.1) 6 597.9 (15 301.3) (42 678.7) (68 703.1) (63 823.5) (44 727.6) (70 104.0) (63 789.0)
Total Equity 31 691 531.0 3 224 142.0 2 972 803.0 2 756 451.0 2 731 264.0 2 680 793.0 2 799 824.0 2 843 791.0 2 743 015.0 2 744 946.0 2 553 216.0 2 318 983.0 2 389 137.0 2 091 636.0 2 133 014.0 1 539 396.0 1 985 342.5 2 190 751.0 2 067 208.1 1 868 639.8 1 786 905.8 1 641 007.5 1 607 466.3 1 436 428.0 1 410 976.0
Total Liabilities and Equity 55 147 203.0 47 771 802.0 43 412 156.0 42 516 480.0 43 999 815.0 40 969 439.0 40 591 329.0 42 852 078.0 41 090 167.0 41 783 236.0 43 520 317.0 37 942 439.0 35 697 312.0 36 692 990.0 32 230 428.0 24 837 848.0 26 262 140.2 35 952 752.8 35 092 397.0 34 492 950.7 29 773 979.9 21 152 126.5 17 786 347.6 17 146 024.0 14 610 868.0
SHARES OUTSTANDING
Common Shares Outstanding 3 147.6 3 006.7 3 063.5 3 055.5 3 202.4 3 359.6 3 474.6 3 560.8 3 600.7 3 645.5 3 709.8 3 692.8 3 643.5 3 628.0 3 127.2 1 941.9 1 908.4 1 914.8 1 921.7 1 921.7 1 937.3 1 966.7 1 960.8 1 962.7 1 962.7