Nomura Holdings Inc.  (NMR)
Other Ticker:  
    Sector  Financial    Industry Money Center Banks
   Industry Money Center Banks
   Sector  Financial
Price: $3.3000 $0.01 0.304%
Day's High: $3.35 Week Perf: -1.2 %
Day's Low: $ 3.28 30 Day Perf: -9.09 %
Volume (M): 1,345 52 Wk High: $ 4.99
Volume (M$): $ 4,440 52 Wk Avg: $4.12
Open: $3.29 52 Wk Low: $3.26

 Market Capitalization (Millions $) 10,433
 Shares Outstanding (Millions) 3,162
 Employees 28,865
 Revenues (TTM) (Millions $) 11,789
 Net Income (TTM) (Millions $) 1,084
 Cash Flow (TTM) (Millions $) 2,868
 Capital Exp. (TTM) (Millions $) 1,082

Nomura Holdings Inc.

We are one of the leading financial services groups in Japan and we operate offices in countries and regions worldwide including Japan, the U.S., the U.K., Singapore and Hong Kong Special Administrative Region (“Hong Kong”) through our subsidiaries.
Our clients include individuals, corporations, financial institutions, governments and governmental agencies.

The Nomura Group’s management vision is to enhance its corporate value by deepening society’s trust in the Company and increasing satisfaction of stakeholders, including that of our shareholders and clients.
As “Asia’s global investment bank”, Nomura will provide high value-added solutions to clients globally, and recognizing its wider social responsibility, Nomura will continue to contribute to the economic growth and development of society.
To enhance its corporate value, Nomura places significance on earnings per share (“EPS”) and will seek to maintain sustained improvement of management’s target.


   Company Address: 13-1, Nihonbashi 1-chome Chuo-ku 103
   Company Phone Number: 5255-1000   Stock Exchange / Ticker: NYSE NMR
   NMR is expected to report next financial results on June 23, 2023.

Customers Net Income grew by NMR's Customers Net Profit Margin fell to

24.19 %

9.31 %

• Customers Performance • Customers Expend. • Customers Efficiency • List of Customers


Stock Performances by Major Competitors

Year to Date Decrease / Increase
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Dynatronics Corporation

Weak Demand Cause for EPS Slide

In the fiscal time-frame ending Jun 30 2022 earnings per share plummeted by -55.89 % to $0.07 per share due to Sales decrease of -8.55% to $11.19 millions, year on year.

Nutanix Inc.

Nutanix Inc reported fourth quarter of 2022 earnings season operating shortfall of $-133.42 millions

In the fourth quarter of 2022 earnings season Nutanix Inc lost money of $-0.67 per share compared to $-1.69 a year ago and increased losses from $-0.50 per share from the previous quarter.

Pluri Inc.

Pluri Inc reported fourth quarter of 2022 operating shortfall of $-8.882 millions

In the fourth quarter of 2022 Pluri Inc lost money of $-0.14 per share compared to $-0.46 a year ago and from $0.00 per share from the previous quarter.

General Mills Inc.

Strong Double Digit EPS Growth at General Mills Inc in the most recent fiscal period

For the most recent fiscal period eps growth outpaced revenue increase, where profits soared by 32.35 % at $1.35 per share, Sales advanced by 3.91% to $4.72 billions from the same quarter a year ago.

Natural Alternatives International Inc

Sales Increased in Double Digits

Double digits Sales growth of 18.33% to $52.53 millions, led to modest earnings growth of 10.86 % to $0.52 per share, in the financial interval ending Jun 30 2022 year on year.


Nomura Holdings's Segments
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