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Nomura Holdings, Inc.

NYSE•NMR
CEO: Mr. Kentaro Okuda
セクター: Financial Services
業種: Financial - Capital Markets
上場日: 2001-12-17
Nomura Holdings, Inc. provides various financial services to individuals, corporations, financial institutions, governments, and governmental agencies worldwide. It operates through three segments: Wealth Management, Investment Management, and Wholesale. The Wealth Management segment offers various financial products and investment consultation services. The Investment Management segment offers investment trust management, discretionary investment services, and investment funds. The Wholesale segment is involved in the sale, trading, agency execution, and market-making of fixed income and equity products, as well as structured financing and solutions. This segment 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 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. 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.
連絡先情報
13-1, Nihonbashi 1-chome, Chuo-ku, Tokyo, 103-8645, Japan
81-3-5255-1000
www.nomuraholdings.com
時価総額
$21.65B
PER (TTM)
9.6
16.2
配当利回り
4.3%
52週高値
$9.58
52週安値
$4.86
52週レンジ
54%
順位44Top 53.8%
3.7
F-Score
改良版 Piotroski 分析
10年ファンダメンタル
弱い • 3.7 / 9 ポイント
スコアレンジ (0-9)
8-9: 価値が優れている
6-7: 基礎体質が強い
4-5: 全体的に堅調
0-3: パフォーマンスが弱い
データ期間: 2016-2025

財務ダッシュボード

Q3 2026 データ

売上高

$7.55B+1.70%
直近4四半期の推移

EPS

$0.20-7.46%
直近4四半期の推移

フリーCF

$0.00+0.00%
直近4四半期の推移

2025 Annual 決算ハイライト

主なハイライト

Strong Net Revenue Growth Net Revenue reached ¥1.89T, marking a 21.2% increase, driven by asset management fees and trading gains.
Net Income Attributable Surge Net Income attributable to NHI shareholders was ¥340.7B, reflecting a substantial 105.4% increase over the prior year.
ROE Target Achieved Return on Equity improved significantly to 10.0% for the fiscal year, aligning with management's focus on capital efficiency.
Total Assets Growth Total Assets grew to ¥56.8T, reflecting balance sheet expansion driven by increased trading assets and private equity investments.

リスク要因

Market Volatility Exposure Business highly affected by financial markets, economic conditions, and geopolitical events globally, potentially causing material losses.
Intense Competition Pressure Financial services face intense competition from traditional firms and FinTech, requiring continuous business model revisions to maintain share.
Operational and Cybersecurity Threats System failures, information leakage, and maintaining sufficient cybersecurity pose ongoing risks to financial condition and operations.
Third Party Default Risk Losses possible from third-party non-performance, including defaults by large financial institutions or counterparties failing obligations.

見通し

Expand Private Markets Strategy Strategy focuses on expanding into private markets to complement public market businesses and achieve sustainable, diversified revenue.
New Banking Division Launch Established new Banking Division effective April 2025, leveraging Trust and Luxembourg bank strengths for asset building services.
Capital Allocation Focus Aiming for ROE of 8-10%+ by FY2030, maintaining capital ratios, and targeting total shareholder payout ratio of at least 50%.
Human Capital Development Focusing on evolving HR strategies, deepening 'Conduct' and 'Inclusion', and enhancing consulting capabilities for future competitiveness.

同業比較

売上高 (TTM)

NMR stock ticker logoNMR
$29.31B
-5.0%
L stock ticker logoL
$18.18B
+5.4%
FCNCA stock ticker logoFCNCA
$14.50B
-2.6%

粗利益率 (最新四半期)

CFG stock ticker logoCFG
100.0%
+40.1pp
TROW stock ticker logoTROW
94.6%
+50.2pp
TW stock ticker logoTW
88.5%
+3.2pp

主要指標

銘柄コード
時価総額
PER (TTM)
ROE (TTM)
負債比率
TW$26.45B32.613.1%3.4%
BAP$25.85B13.019.3%12.9%
CFG$23.90B13.17.2%5.0%

長期トレンド

直近4四半期
売上高
純利益
営業キャッシュフロー
4四半期売上高CAGR
5.5%
安定成長
4四半期純利益CAGR
7.7%
収益性の着実な向上
キャッシュフロー安定性
0%
キャッシュフローに注意が必要

深度リサーチ

次回決算:2026年4月24日
|
EPS:$0.17
|
売上高:$3.24B
財務データ
決算説明会
財務レポート
ニュース
損益計算書
バランスシート
キャッシュフロー計算書
財務比率
変化率
損益計算書
直近12ヶ月
データなし