Valuation: Nomura Holdings, Inc.

Market Cap 4,510B 27.92B 24.42B 22.53B 20.81B 39.48B 2,663B 40.14B 269B 106B 1,312B 105B 103B P/E 2027 *
11.5x
P/E 2028 * 11x
Enterprise Value 19,032B 118B 103B 95.06B 87.8B 167B 11,238B 169B 1,136B 446B 5,536B 442B 433B EV / Sales 2027 *
8.47x
EV / Sales 2028 * 9.6x
Free-Float
92.6%
Yield 2027 *
3.6%
Yield 2028 * 3.85%

Last Transcript: Nomura Holdings, Inc.

1 day+5.62%
1 week+5.88%
Current month+8.00%
1 month+10.20%
3 months+17.39%
6 months+9.46%
Current year+17.39%
1 week 7.8
Extreme 7.8
8.1
1 month 7.1
Extreme 7.1
8.1
Current year 6.2
Extreme 6.2
8.25
1 year 5.15
Extreme 5.15
8.25
3 years 3.16
Extreme 3.16
8.25
5 years 2.9
Extreme 2.9
8.25
10 years 2.76
Extreme 2.76
8.25
Manager TitleAgeSince
Chief Executive Officer 62 2020-03-31
Director of Finance/CFO - 2025-06-23
Compliance Officer 56 2025-03-31
Director TitleAgeSince
Chairman 67 2020-03-31
Director/Board Member 62 2021-03-31
Director/Board Member - 2025-03-31
Change 5-day change 1-year change 3-year change Capi.($)
+1.25%+5.88% - - 27.47B
+0.07%+0.08%+55.34%+166.52% 350B
-0.07%-0.01%+48.80%+233.42% 324B
+0.87%-2.13%+61.68%+208.28% 238B
+1.19%+2.48%+10.83%+78.32% 177B
-0.98%-0.77%+2.12%+41.08% 60.73B
-4.48%+3.80%+124.04%+221.56% 28.28B
-3.34%-0.50%+12.52%+47.70% 29.98B
-5.47%-5.25%+17.75%+47.81% 26.65B
-1.03%-4.04%+11.99%+42.01% 25.35B
Average -0.62%+0.22%+38.34%+120.74% 140.04B
Weighted average by Cap. +0.42%+1.75%+44.89%+166.54%

Financials

2027 *2028 *
Net sales 2,247B 13.91B 12.17B 11.23B 10.37B 19.67B 1,327B 20B 134B 52.67B 654B 52.24B 51.11B 2,277B 14.1B 12.33B 11.37B 10.51B 19.93B 1,345B 20.27B 136B 53.37B 662B 52.93B 51.78B
Net income 389B 2.41B 2.11B 1.94B 1.79B 3.4B 230B 3.46B 23.21B 9.11B 113B 9.04B 8.84B 406B 2.51B 2.2B 2.03B 1.87B 3.55B 240B 3.61B 24.21B 9.51B 118B 9.43B 9.23B
Net Debt 14,522B 89.9B 78.64B 72.54B 66.99B 127B 8,575B 129B 867B 340B 4,224B 338B 330B 17,361B 107B 94.02B 86.72B 80.09B 152B 10,251B 155B 1,036B 407B 5,050B 404B 395B
Logo Nomura Holdings, Inc.
Nomura Holdings Inc is a Japan-based company mainly engaged in the securities, investment, and other financial services business across the world. The Company has three business segments. The Sales segment provides investment consultation services to individual clients in Japan. The Investment Management segment provides investment management services and investment solutions, including the establishment and management of investment trusts, discretionary investment services for domestic and foreign investors, fund management and administration for investment corporations and institutional investors, and silent partnership management. The Wholesale segment is engaged in the sale and trading of bonds, equity securities, derivatives, and foreign exchange, as well as investment banking services such as the bonds and securities underwriting business, merger and acquisition (M&A) business and financial advisory services. The Company operates in Japan, the Americas, Europe, Asia and Oceania.
Employees
28,677
Date Price Change
26-07-10 €8.100 +1.25%
26-07-09 €8.000 -1.23%
26-07-08 €8.100 0.00%
26-07-07 €8.100 +3.85%
26-07-06 €7.800 +0.65%
Trader
Investor
-
Global
-
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
8
Last Close Price
1,543.00JPY
Average target price
1,603.75JPY
Spread / Average Target
+3.94%

Quarterly revenue - Rate of surprise