Nomura Holdings, Inc.

Nomura Holdings, Inc.

Financial Services

NYSE:NMR · New York Stock Exchange

Market Cap $25.49B Beta 0.61 P/E (TTM) 0.3
$8.72 +0.35%

+$0.03 today

52W Low $6.02High $9.58

Vol 1.11M · Avg 1.78M

EPS (TTM)$4,986.67
Div Yield3.74%
Financial - Capital Markets

Intrinsic Value

NMR Intrinsic Value

Start with the valuation result. Compare the current market price with the system DCF estimate, then use the supporting sections below to decide whether the assumptions are reasonable.

Intrinsic Value

System DCF · consensus of 4 models

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Price Alerts

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Baseline
$8.72
Current Price

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Valuation History

Is NMR cheaper or more expensive than usual?

Review how the market has valued Nomura Holdings, Inc. over time before deciding whether today’s discount or premium is unusual.

Price History

Dividend-adjusted closing price

Events

Change

+42.32%

Period High

$9.54

Period Low

$5.97

Latest

$8.71

Analyst Targets

See where analysts expect NMR to trade next

Compare the latest consensus target range with the current share price to understand how much upside or downside Wall Street is pricing in.

Wall Street Price Targets

1-year price history with analyst consensus target

Growth

Current

$8.71

Low Target

$5.79

Avg Target

$5.79

High Target

$5.79

Upside (Avg)

-33.52%

Alternatives to NMR

Compare Nomura Holdings, Inc. with similar companies

A stock can look attractive in isolation and still be less compelling than a peer. Check competitors before committing to the thesis.

Fundamental Analysis

Capture the investment case and test company quality

Write down the key idea, risks, and what would change your mind. Then review growth, profitability, returns, owner payouts, and insider activity.

My Notes

Journal entries for NMR

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Quality Snapshot

Start with the numbers that compound value

Check whether earnings, revenue, equity, cash, and returns on capital are moving in the same direction as your written thesis.

Big Five Numbers

CAGR by period · ROIC shows average

Metric 10yr 5yr3yr1yr
EPS
N/AN/A+7.8%-40.8%
Revenue
N/AN/A-7.7%-9.4%
Equity
+4.0%+4.0%+6.7%+7.6%
Cash
N/AN/A+33.1%+86.0%
ROIC
0.5%0.5%0.6%0.5%

Analysis

Latest growth is strongest in Cash at +86.0% and weakest in EPS at -40.8%. Three-year average ROIC is 0.6%, which helps show whether that growth is being earned efficiently.

Growth Profile

Compare historical growth with forward expectations

Strong past growth matters more when analysts still expect the business to expand without relying on one temporary driver.

Growth Analysis

Historical CAGR & forward analyst estimates

Metric 10yr5yr3yr Fwd Est.
EPSN/AN/A+7.8%
+10.6% (14yr)1 analysts
RevenueN/AN/A-7.7%
+2.7% (14yr)3 analysts
Net IncomeN/AN/A+7.0%
+9.1% (14yr)3 analysts
EBITN/AN/A-11.4%
+2.5% (14yr)3 analysts

Analysis

Recent growth has been strongest in EPS at +7.8% over three years. Forward estimates point to EPS at +10.6% (14yr), giving you a quick check on whether expectations are accelerating or cooling.

Earnings Quality

Follow revenue through to net income

Use the waterfall to see which costs, margins, and operating lines explain how much of each sales dollar becomes profit.

Earnings Waterfall

Revenue to Net Income

Key Ratios

EPS$118.99
Gross Margin45.2%
Net Margin7.7%
P/E Ratio9.6
P/S Ratio2.8

Analysis

$4.8T of revenue converted into $362.1B of net income for the selected period. Gross margin is 45.2% and net margin is 7.7%, showing how much revenue survives after costs and taxes. EPS is $118.99, tying the income statement back to per-share earnings.

Capital Efficiency

Measure how well Nomura Holdings, Inc. turns capital into returns

Returns on equity, invested capital, and assets help separate durable operators from businesses that only grow by adding more capital.

Return Metrics

ROE, ROIC & ROA over time

Management

ROE

9.8%

avg 5.8%

ROIC

1.6%

avg 0.6%

ROA

0.6%

avg 0.4%

Analysis

ROE is currently the strongest return metric at 9.8% versus its period average of 5.8%. 0 of 3 return metrics are above their quality threshold, which helps indicate how efficiently the company turns capital and assets into profit.

Owner Returns

Review how cash comes back to shareholders

Dividends, buybacks, and debt paydown show whether excess cash is being reinvested, returned, or used to strengthen the balance sheet.

Shareholder Returns

Dividend, buyback & debt paydown yields

Management

Dividend Yield (TTM)

0.00%

Buyback Yield (TTM)

0.00%

Debt Paydown (TTM)

0.00%

Total Yield (TTM)

0.00%

Analysis

Total TTM shareholder yield is 0.00% including 0.00% from debt paydown. The largest current contributor is dividends at 0.00%, which helps show whether capital returns are coming from direct cash payouts, share count reduction, or balance sheet cleanup.

Dividend Record

Check payout durability before counting on yield

A dividend is more useful when growth, payout ratio, and free cash flow support the current yield.

Dividends

Dividend history, growth & yield

Dividends

Yield

3.74%

Annual Div/Share

$0.41

Payout Ratio

0.0%

Frequency

Semi-Annual

Shareholder Yield

1103.55%

Next Ex-Date

Not announced

Next Payment

1Y Growth

+5.3%

3Y CAGR

+49.7%

5Y CAGR

+4.6%

Dividend Payments, Annual Total (TTM) & Yield

Analysis

The current indicated dividend yield is 3.74%, with TTM dividends of $0.41 per share. Three-year dividend growth is +49.7%, which helps show whether payouts are compounding or flattening. The payout ratio is 0.0%, so compare payout growth against earnings coverage. Payments are currently semi-annual.

Company Overview

Understand how Nomura Holdings, Inc. makes money

Finish by grounding the numbers in the company profile, leadership, balance sheet, and free cash flow.

Key Information

Filings
No data available

Leadership

Put the business in management context

Company facts explain what Nomura Holdings, Inc. does; leadership context helps you judge who is responsible for capital allocation and execution.

Management

Key executives, compensation & ownership

Management
NameTitleCompensationTenureAgeShares OwnedOwnership %

Christopher Paul Willcox

Executive Officer, Deputy President, Head of Wholesale & Chairman of Investment Management$14.28M58$0.00<0.01%

Kentaro Okuda

President, Group Chief Executive Officer, Representative Executive Officer & Director$7.54M63$0.00<0.01%

Yutaka Nakajima

Representative Executive Officer, Deputy President & Director$4.30M61$0.00<0.01%

Toshiyasu Iiyama

Chief of Staff, Executive Officer, Head of Well Growing Institute & Deputy President$3.19M61$0.00<0.01%

Takumi Kitamura

Executive Officer & Chief Transformation Officer$1.69M60$0.00<0.01%

Sotaro Kato

Executive Officer & Chief Risk Officer$1.42M57$0.00<0.01%

Yosuke Inaida

Senior MD & Head of Content Company and Global Regulatory Affairs$880,887.0059

Hiroyuki Moriuchi

Executive Officer & Chief Financial Officer50$0.00<0.01%

Gareth Nicholson

Executive Director, Chief Investment Officer & Head of Discretionary Portfolio Management

Patrick Eltridge

Senior MD & Chief Information Officer$0.00<0.01%

Shinichi Mizuno

Senior MD, Joint Chief Compliance Officer & Audit Mission Director.58$0.00<0.01%

Takako Mori

Senior MD of General Counsel & Joint Chief Compliance Officer$0.00<0.01%

Akihiro Koseki

MD, Head of Investor Relations & Co-Head of Investment Banking - Asia ex-Japan

Insider Trading

SEC Form 4 transactions — last 12 months

Management

Buys

3

$3,898.70

Sells

0

$0.00

Net Sentiment

+$3,898.70

Net buying

Most Active

Ishizuka Masahiro

1 transactions

DateInsiderTypeSharesPriceValue
Mar 25, 2026

Ishizuka Masahiro

Indirect

Buy238.186$8.05$1,917.40
Mar 25, 2026

Ozaki Yukiko

Indirect

Buy7.939$8.05$63.91
Mar 25, 2026

Ogawa Shoji

Indirect

Buy238.186$8.05$1,917.40

Analysis

Insiders reported 3 buys worth $3,898.70 and 0 sells worth $0.00 over the last 12 months. That adds up to net buying of $3,898.70. Ishizuka Masahiro was the most active insider with 1 transactions.

Financial Position

Check what supports the company underneath the income statement

The balance sheet shows liquidity, debt, asset mix, and book value quality before you rely on earnings or growth assumptions.

Balance Sheet

Assets, liabilities & equity

Cash & Equivalents$4.3T
Short-term Investments$709.6B
Receivables$1.8T
Other Current$52.3T
Total Current Assets$59.1T
PP&E (Net)$543.8B
Long-term Investments$1.4T
Other Non-current$1.6T
Total Non-current Assets$3.6T
Total Assets$62.6T

Analysis

Selected assets total $62.6T for Latest. The largest visible component is Other Current at $52.3T, about 83.4% of the tab total. Use the mix to judge balance sheet concentration, liquidity, leverage, and how much of book value is supported by tangible operating assets.

Cash Generation

Finish by testing whether profit turns into cash

Free cash flow connects accounting earnings to owner earnings, showing how much cash remains after reinvestment needs.

Free Cash Flow

Net Income to FCF bridge

Cash Flow Statement

Analysis

Analysis will appear once cash flow data is available for this period.

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