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Compare Nomura Holdings Inc (NMR) vs Verizon Communications Inc (VZ) Price & Performance

Nomura Holdings IncTrade
Verizon Communications IncTrade

Price performance (Past 24H)

Key statistics

Nomura Holdings Inc vs Verizon Communications Inc — how do they compare? Nomura Holdings Inc trades at $9.49 (market cap $28.05B), while Verizon Communications Inc trades at $43.69 (market cap $190.16B). The key difference: Verizon Communications Inc is far larger — about 6.8× Nomura Holdings Inc's market cap, and Verizon Communications Inc pays the higher dividend (6.18%). Which is the better fit depends on your goals — on Pluang, investors hold Nomura Holdings Inc for 55 Days and Verizon Communications Inc for 109 Days on average.

NMRVZ
Market Cap
$28.05B$190.16B
Volume
729,57415,790,993
Sector
FinancialsMedia
52-Week High
$10.86$51.45
52-Week Low
$6.73$38.40
Typical Hold Time
55 Days109 Days
Enterprise Value
$38.55T$376.87B
Dividend Yield
3.4%6.18%

Aura AI Summary

Signals from Pluang's Aura AI — not financial advice

Nomura Holdings Inc

Nomura Holdings (NMR) trades at $9.54, down 2.45% today, with a bearish technical signal despite recent earnings beats. The company shows strong fundamentals with revenue growth from $1.38T in 2024 to $1.66T in 2025 and net income surging to $340.74B. Valuation metrics appear attractive with P/E of 11.29 and P/B of 1.15, while analyst consensus leans toward Hold (66.67%) with some positive momentum coverage from Zacks.

The outlook presents a mixed picture - strong profitability and reasonable valuation support upside potential, but negative operating cash flows and increasing debt-to-asset ratios pose significant risks. Recent technical weakness suggests near-term pressure, though fundamental strength could drive recovery if earnings momentum continues.

Verizon Communications Inc

Verizon (VZ) trades at $46.35, up 0.8% with a bearish technical signal despite recent earnings beats. The stock shows attractive valuation metrics with P/E of 11.9 and dividend yield support, while fundamentals indicate stable revenue growth and strong cash flow generation. Recent corporate developments include board appointments and a joint venture with telecom peers to expand coverage.

Outlook remains balanced with value appeal from dividends and cash flow offset by competitive pressures and debt levels. Key catalysts include Q3 earnings on October 26, 2026, while risks involve industry competition and capital expenditure requirements. Analyst consensus leans hold with $48.58 price target suggesting modest upside potential.

Returns comparison

Trailing returns across standard periods

Investor sentiment on Pluang

What Pluang investors did over the last 30 days

NMR
100% Buy0% Sell
Avg holding period · 55 Days
VZ
86% Buy14% Sell
Avg holding period · 109 Days

Top news

Latest headlines on both assets

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.

Read more on NMR →

About Verizon Communications Inc

Verizon Communications Inc. is an integrated telecommunications company that provides wire line voice and data services, wireless services, Internet services, and published directory information. The Company also provides network services for the federal government including business phone lines, data services, telecommunications equipment, and payphones.

Read more on VZ →