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NMR
(NYSE)
Nomura Holdings, Inc.
$8.73-- (--)
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Nomura Holdings (NMR) Stock Price & Financial Analysis

Nomura Holdings Stock Price Chart

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Financial Metrics & Key Statistics

Fundamental metrics, valuation ratios, and profitability indicators

Day's Range$8.58 - $8.76
52-Week High$9.58
52-Week Low$6.02
Open$8.63
Volume1.58M
Average Volume (3M)1.43M
Market Cap25.07B
Shares Outstanding2.94B
P/E Ratio (TTM)11.10
Forward P/E10.76
Price to Sales (P/S)1.90
Price to Book (P/B)1.04
EV/EBITDA52.50
Revenue (TTM)13.18B
Net Income (TTM)2.26B
Free Cash Flow (TTM)-7.46B
EPS (TTM)$0.76
Profit Margin17.13%
Operating Margin25.54%
Return on Equity (ROE)9.39%
Debt to Equity8.54
50-Day MA$8.20
200-Day MA$7.99
52-Week Change40.84%
Annual Dividend$0.40
Dividend Yield4.60%
Payout Ratio52.56%
Last Dividend Ex-DateDec 11, 2026

Frequently Asked Questions About Nomura Holdings

What is the current stock price for NMR?

As of the latest trading session, NMR stock trades at $8.73. The 52-week range is $6.02–$9.58, with a day range of $8.58–$8.76.

What is the P/E ratio for NMR?

Nomura Holdings's trailing P/E ratio is 11.1, meaning investors pay $11.1 for every $1 of annual earnings. The forward P/E is 10.8, reflecting analyst expectations for future earnings. Nomura Holdings operates in the Financials sector.

Does NMR pay dividends?

Yes, Nomura Holdings pays a 4.60% annual dividend yield ($0.40 per share). The payout ratio is 52.6%. The last ex-dividend date was 2026-12-11.

What do analysts recommend for NMR?

Based on 1 analyst, the consensus for NMR is Buy. The average 12-month price target is $NaN, representing a NaN% downside from the current price.

What is the market cap of NMR?

Nomura Holdings's market capitalization is $25.69B, classifying it as a large-cap company. Nomura Holdings operates in the Financials sector within the Capital Markets industry.