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Buy & Sell Nomura Holdings Inc (NMR) – Nomura Holdings Inc Price Today

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Aura AI Summary

Nomura Holdings (NMR) trades at $7.95, up 0.44% with bearish technical signals but attractive valuation metrics including a P/E of 10.46 and P/B of 0.97. The company reported record annual profit of $340.74 billion for 2025 with a 20.49% net margin, though recent quarterly earnings have missed expectations. Technical indicators show bearish momentum with neutral oscillators, while analyst consensus leans toward Hold with 67% of ratings cautious.
NMR presents a value opportunity with below-market multiples and strong profitability, but faces headwinds from inconsistent quarterly performance and macroeconomic risks from the Iran conflict impacting Asian markets. The stock's discount to book value and solid ROE of 10.09% support long-term potential, though investors should monitor integration costs from the Macquarie acquisition and geopolitical volatility.
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Key Stats

  • Market Cap
    $22.61B
  • Sector
    Financials
  • 3M Drawdown
    -22.43%
  • Enterprise Value
    -
  • Dividend Yield
    5.18%
  • Typical Hold Time
    38 days
$7.82
52W Low: $5.63
09 May 2025
52W High: $9.54
13 Feb 2026

Nomura Holdings Inc (NMR) is currently valued at a market capitalization of $22.61B. Over the past 52 weeks, Nomura Holdings Inc has traded between a low of $5.63 and a high of $9.54, highlighting its annual price range. Over the past three months, Nomura Holdings Inc has recorded a drawdown of -22.43%, reflecting recent price volatility. Nomura Holdings Inc offers a dividend yield of 5.18%, with the most recent dividend of $0.24 paid on 31 Mar 25. On average, investors hold Nomura Holdings Inc for approximately 38 days, indicating typical investor behavior on the platform.

About Nomura Holdings Inc

Nomura is Japan's largest broker, about twice the size of rival Daiwa Securities and roughly three times the size of the securities units of the three megabanks. It is also the largest asset-management company in Japan, with a similar size differential compared with its rivals. Despite its topnotch brand name in retail broking and asset management in Japan, Nomura has struggled to compete effectively in the institutional securities business against larger global rivals. In 2008, Nomura bought European and Asian assets of the failed Lehman Brothers, which led to a sharply higher cost base but did not provide commensurate revenue. Nomura has reduced the scale of these businesses but maintains its ambition to compete globally with the top players.


Technical Indicators
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Overall Summary
Bearish (9)Neutral (5)Bullish (13)

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Key Stats

  • Market Cap
    $22.61B
  • Sector
    Financials
  • 3M Drawdown
    -22.43%
  • Enterprise Value
    -
  • Dividend Yield
    5.18%
  • Typical Hold Time
    38 days
$7.82
52W Low: $5.63
09 May 2025
52W High: $9.54
13 Feb 2026

Nomura Holdings Inc (NMR) is currently valued at a market capitalization of $22.61B. Over the past 52 weeks, Nomura Holdings Inc has traded between a low of $5.63 and a high of $9.54, highlighting its annual price range. Over the past three months, Nomura Holdings Inc has recorded a drawdown of -22.43%, reflecting recent price volatility. Nomura Holdings Inc offers a dividend yield of 5.18%, with the most recent dividend of $0.24 paid on 31 Mar 25. On average, investors hold Nomura Holdings Inc for approximately 38 days, indicating typical investor behavior on the platform.

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