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NYSE:NMR

Nomura Holdings

  • Stock

USD

Last Close

915.90

17/05 06:15

Market Cap

2.31T

Beta: 0.72

Volume Today

14.75M

Avg: 902.84K

PE Ratio

21.16

PFCF: −3.69

Dividend Yield

0.01%

Payout:43.83%

Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
216.45B
-
225.98B
4.40%
142.56B
36.91%
242.57B
70.15%
224.29B
7.53%
-94.71B
142.23%
219.37B
331.62%
160.40B
26.88%
146.53B
8.64%
91.68B
37.44%
165.86B
80.92%
depreciation and amortization
79.47B
-
78.88B
0.74%
79.39B
0.65%
70.93B
10.66%
71.58B
0.92%
57.92B
19.08%
63.58B
9.77%
63.85B
0.41%
59.52B
6.77%
61.42B
3.19%
61.34B
0.14%
deferred income tax
117.06B
-
26.49B
77.37%
-58.86B
322.20%
22.53B
138.27%
60.26B
167.48%
21.57B
64.21%
-23.91B
210.88%
-21.11B
11.70%
3.11B
114.71%
6.14B
97.59%
stock based compensation
21.09B
-
19.36B
8.19%
16.89B
12.78%
8.96B
46.95%
9.65B
7.70%
21.81B
126.05%
12.69B
41.81%
28.25B
122.55%
27.94B
1.10%
35.22B
26.04%
change in working capital
176.66B
-
-352.48B
299.52%
995.91B
382.55%
999.24B
0.33%
-724.33B
172.49%
-445.24B
38.53%
-205.26B
53.90%
483.80B
335.70%
-1.50T
409.48%
-1.11T
26.15%
-451.33B
59.18%
accounts receivables
157.60B
-
-1.36T
961.83%
1.15T
184.33%
-412.43B
136.01%
178.25B
143.22%
-276.06B
254.87%
inventory
-157.60B
-
1.36T
961.83%
-1.15T
184.33%
412.43B
136.01%
-178.25B
143.22%
accounts payables
278.32B
-
236.03B
15.20%
-41.84B
117.73%
531.52B
1,370.41%
132.96B
74.98%
-63.68B
147.90%
788.01B
1,337.39%
-33.99B
104.31%
-247.98B
629.48%
-139.42B
43.78%
709.84B
609.15%
other working capital
-101.66B
-
-588.51B
478.88%
1.04T
276.34%
467.72B
54.93%
-857.29B
283.29%
-381.56B
55.49%
-993.27B
160.32%
517.80B
152.13%
-1.25T
341.27%
-966.31B
22.65%
-885.11B
8.40%
other non cash items
-306.62B
-
-150.53B
50.91%
124.95B
183.01%
-78.39B
162.74%
-87.14B
11.16%
77.49B
188.92%
-82.41B
206.36%
-49.41B
40.04%
-108.57B
119.71%
-63.47B
41.54%
-307.65B
384.71%
net cash provided by operating activities
457.42B
-
-77.03B
116.84%
1.24T
1,707.69%
1.31T
5.38%
-445.70B
134.15%
-361.17B
18.97%
-15.94B
95.59%
665.77B
4,275.94%
-1.37T
305.58%
-974.75B
28.78%
-220.68B
77.36%
investments in property plant and equipment
-214.34B
-
-209.47B
2.27%
-324.72B
55.02%
-312.88B
3.65%
-285.16B
8.86%
-319.09B
11.90%
-206.75B
35.21%
-119.88B
42.02%
-111.33B
7.13%
-171.16B
53.74%
-145.78B
14.83%
acquisitions net
165.71B
-
-7.31B
104.41%
217.86B
-
-13.13B
106.02%
262.91B
2,103.11%
-2.48B
100.94%
-11.15B
348.95%
85.64B
867.93%
16.95B
80.21%
108.99B
542.99%
purchases of investments
-107.99B
-
-354M
99.67%
-647M
-
-61M
90.57%
-3.28T
5,382,122.95%
-2.36B
99.93%
-9.18B
289.23%
-51.37B
459.41%
-100M
99.81%
-791.79B
791,691%
sales maturities of investments
6.95B
-
116.74B
1,580.89%
57.71B
50.56%
90.10B
56.11%
81.57B
9.47%
29.97B
63.26%
13.32B
55.55%
44.91B
237.09%
2.50B
94.43%
195.06B
7,696.04%
1.02T
422.72%
other investing activites
212.18B
-
112.73B
46.87%
243.30B
115.83%
105.38B
56.69%
160.61B
52.41%
3.20T
1,890.46%
414.60B
87.03%
-43.73B
110.55%
29.25B
166.90%
-1.80B
106.14%
914M
150.86%
net cash used for investing activites
-103.19B
-
12.34B
111.96%
-23.71B
292.19%
-118.05B
397.87%
-56.17B
52.42%
-112.50B
100.28%
216.34B
292.29%
-139.03B
164.26%
-45.30B
67.42%
38.95B
185.97%
-599.83B
1,640.21%
debt repayment
-1.59T
-
-3.17T
98.72%
-2.92T
7.75%
-2.40T
17.77%
-1.96T
18.24%
-1.63T
17.26%
-2.40T
47.81%
-2.07T
13.90%
-2.67T
29.07%
-1.23T
53.92%
-3.03T
146.59%
common stock issued
674M
-
387M
42.58%
571M
47.55%
401M
29.77%
764M
90.52%
313M
59.03%
285M
8.95%
215M
24.56%
11M
94.88%
4M
63.64%
953M
23,725%
common stock repurchased
-32.50B
-
-104.05B
220.14%
-20.00B
80.78%
-61.34B
206.66%
-109.10B
77.86%
-51.71B
52.60%
-150.01B
190.07%
-11M
99.99%
-39.65B
360,354.55%
-24.73B
37.63%
-61.03B
146.80%
dividends paid
-51.95B
-
-55.32B
6.49%
-82.78B
49.65%
-42.83B
48.26%
-70.20B
63.89%
-47.48B
32.37%
-58.42B
23.05%
-76.36B
30.71%
-70.71B
7.39%
-57.26B
19.02%
-60.16B
5.07%
other financing activites
3.93T
-
6.30T
60.05%
8.02T
27.39%
752.40B
90.62%
2.52T
234.44%
2.49T
1.22%
2.94T
18.40%
1.87T
36.29%
3.85T
105.40%
2.60T
32.38%
-1.85T
171.12%
net cash used provided by financing activities
289.39B
-
-178.21B
161.58%
986.39B
653.51%
-2.13T
316.00%
373.17B
117.51%
761.19B
103.98%
332.06B
56.38%
-269.93B
181.29%
1.07T
496.67%
1.29T
20.64%
1.06T
17.81%
effect of forex changes on cash
41.09B
-
68.51B
66.74%
-40.20B
158.67%
4.25B
110.57%
-53.50B
1,359.14%
44.74B
183.63%
-27.28B
160.97%
60.88B
323.21%
149.69B
145.87%
148.55B
0.76%
net change in cash
684.71B
-
-174.38B
125.47%
2.16T
1,339.13%
-939.42B
143.47%
-182.20B
80.60%
332.26B
282.36%
505.18B
52.04%
317.70B
37.11%
-193.60B
160.94%
504.44B
360.56%
418.67B
17.00%
cash at beginning of period
805.09B
-
1.49T
85.05%
1.32T
11.71%
3.48T
164.27%
2.54T
27.02%
2.35T
7.17%
2.69T
14.11%
3.19T
18.80%
3.51T
9.95%
3.32T
5.52%
3.82T
15.21%
cash at end of period
1.49T
-
1.32T
11.71%
3.48T
164.27%
2.54T
27.02%
2.35T
7.18%
2.69T
14.12%
3.19T
18.80%
3.51T
9.95%
3.32T
5.52%
3.82T
15.21%
4.24T
10.95%
operating cash flow
457.42B
-
-77.03B
116.84%
1.24T
1,707.69%
1.31T
5.38%
-445.70B
134.15%
-361.17B
18.97%
-15.94B
95.59%
665.77B
4,275.94%
-1.37T
305.58%
-974.75B
28.78%
-220.68B
77.36%
capital expenditure
-214.34B
-
-209.47B
2.27%
-324.72B
55.02%
-312.88B
3.65%
-285.16B
8.86%
-319.09B
11.90%
-206.75B
35.21%
-119.88B
42.02%
-111.33B
7.13%
-171.16B
53.74%
-145.78B
14.83%
free cash flow
243.09B
-
-286.50B
217.86%
913.65B
418.90%
992.14B
8.59%
-730.86B
173.66%
-680.25B
6.92%
-222.69B
67.26%
545.89B
345.14%
-1.48T
371.12%
-1.15T
22.58%
-366.47B
68.02%

All numbers in USD (except ratios and percentages)