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Nomura (NMR) Stock Price, News & Analysis

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$8.80 +0.01 (+0.06%)
As of 03:27 PM Eastern
This is a fair market value price provided by Massive. Learn more.

About Nomura Stock (NYSE:NMR)

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Key Stats

Today's Range
$8.70
$8.82
50-Day Range
$7.76
$9.12
52-Week Range
$6.21
$9.58
Volume
428,340 shs
Average Volume
1.72 million shs
Market Capitalization
$25.80 billion
P/E Ratio
10.99
Dividend Yield
2.62%
Price Target
$10.20
Consensus Rating
Buy

Company Overview

Nomura Stock Analysis - MarketRank™

See Top-Rated MarketRank™ Stocks
87th Percentile Overall Score

NMR MarketRank™: 

Nomura scored higher than 87% of companies evaluated by MarketBeat, and ranked 198th out of 876 stocks in the finance sector. Scores are calculated by averaging available category scores, with extra weight given to analysis and valuation.

  • Consensus Rating

    Nomura has received a consensus rating of Buy. The company's average rating score is 3.00, and is based on 1 strong buy rating, 3 buy ratings, 1 hold rating, and no sell ratings.

  • Upside Potential

    Nomura has a consensus price target of $10.20, representing about 15.8% upside from its current price of $8.81.

  • Amount of Analyst Coverage

    Nomura has only been the subject of 3 research reports in the past 90 days.

  • Read more about Nomura's stock forecast and price target.
  • Earnings Growth

    Earnings for Nomura are expected to remain at $0.80 per share in the coming year.

  • Price to Earnings Ratio vs. the Market

    The P/E ratio of Nomura is 10.99, which means that it is trading at a less expensive P/E ratio than the market average P/E ratio of about 40.17.

  • Price to Earnings Ratio vs. Sector

    The P/E ratio of Nomura is 10.99, which means that it is trading at a less expensive P/E ratio than the Finance sector average P/E ratio of about 20.37.

  • Price to Earnings Growth Ratio

    Nomura has a PEG Ratio of 2.53. PEG Ratios above 1 indicate that a company could be overvalued.

  • Price to Book Value per Share Ratio

    Nomura has a P/B Ratio of 1.02. P/B Ratios below 3 indicates that a company is reasonably valued with respect to its assets and liabilities.

  • Read more about Nomura's valuation and earnings.
  • Percentage of Shares Shorted

    0.06% of the float of Nomura has been sold short.
  • Short Interest Ratio / Days to Cover

    Nomura has a short interest ratio ("days to cover") of 1.14, which is generally considered an acceptable ratio of short interest to trading volume.
  • Change versus previous month

    Short interest in Nomura has recently decreased by 18.02%, indicating that investor sentiment is improving significantly.
  • Dividend Yield

    Nomura pays a meaningful dividend of 2.72%, higher than the bottom 25% of all stocks that pay dividends.

  • Dividend Growth

    Nomura does not have a long track record of dividend growth.

  • Dividend Coverage

    The dividend payout ratio of Nomura is 28.75%. This payout ratio is at a healthy, sustainable level, below 75%.

  • Dividend Sustainability

    Based on earnings estimates, Nomura will have a dividend payout ratio of 28.75% next year. This indicates that Nomura will be able to sustain or increase its dividend.

  • Read more about Nomura's dividend.
  • News Sentiment

    Nomura has a news sentiment score of 0.90. This score is calculated as an average of sentiment of articles about the company over the last seven days and ranges from 2 (good news) to -2 (bad news). This is a higher news sentiment than the 0.74 average news sentiment score of Finance companies.
  • News Coverage This Week

    MarketBeat has tracked 2 news articles for Nomura this week, compared to 1 article on an average week.
  • MarketBeat Follows

    1 people have added Nomura to their MarketBeat watchlist in the last 30 days.
  • Insider Buying vs. Insider Selling

    In the past three months, Nomura insiders have not sold or bought any company stock.

  • Percentage Held by Insiders

    0.04% of the stock of Nomura is held by insiders.

  • Percentage Held by Institutions

    15.14% of the stock of Nomura is held by institutions.

  • Read more about Nomura's insider trading history.
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NMR Stock News Headlines

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Nomura Shares Jump As Wholesale Revenue Runs 30% Higher
See More Headlines

NMR Stock Analysis - Frequently Asked Questions

Nomura's stock was trading at $8.37 at the start of the year. Since then, NMR stock has increased by 5.2% and is now trading at $8.8050.

Nomura Holdings Inc ADR (NYSE:NMR) issued its earnings results on Friday, April, 24th. The financial services provider reported $0.16 earnings per share (EPS) for the quarter, missing the consensus estimate of $0.21 by $0.05. The financial services provider had revenue of $3.64 billion for the quarter, compared to the consensus estimate of $3.43 billion. Nomura had a trailing twelve-month return on equity of 9.70% and a net margin of 7.64%.
Read the conference call transcript
.

Nomura's top institutional shareholders include Dimensional Fund Advisors LP (0.11%), Quantinno Capital Management LP (0.09%), Renaissance Technologies LLC (0.08%) and Arrowstreet Capital Limited Partnership (0.02%).
View institutional ownership trends
.

Shares of NMR stock can be purchased through any online brokerage account. Popular online brokerages with access to the U.S. stock market include Charles Schwab, E*TRADE, Fidelity, and Vanguard Brokerage Services.

Based on aggregate information from My MarketBeat watchlists, some other companies that Nomura investors own include NVIDIA (NVDA), Meta Platforms (META), Broadcom (AVGO), Advanced Micro Devices (AMD), GE Aerospace (GE), Adobe (ADBE) and Intel (INTC).

Company Calendar

Last Earnings
4/24/2026
Today
6/29/2026
Next Earnings (Estimated)
7/29/2026
Fiscal Year End
3/31/2027

Industry, Sector and Symbol

Stock Exchange
NYSE
Sector
Finance
Industry
FIN - INVEST BKRS
Sub-Industry
Trading
Current Symbol
NYSE:NMR
CIK
1163653
Employees
27,242
Year Founded
1925

Price Target and Rating

High Price Target
$10.20
Low Price Target
$10.20
Potential Upside/Downside
+15.7%
Consensus Rating
Buy
Rating Score (0-4)
3.00
Research Coverage
5 Analysts

Profitability

EPS (Trailing Twelve Months)
$0.80
Trailing P/E Ratio
11.02
Forward P/E Ratio
11.02
P/E Growth
2.53
Net Income
$2.39 billion
Net Margins
7.64%
Pretax Margin
11.34%
Return on Equity
9.70%
Return on Assets
0.59%

Debt

Debt-to-Equity Ratio
7.38
Current Ratio
1.08
Quick Ratio
1.08

Sales & Book Value

Annual Sales
$1.84 trillion
Price / Sales
0.01
Cash Flow
$0.98 per share
Price / Cash Flow
9.03
Book Value
$8.67 per share
Price / Book
1.02

Miscellaneous

Outstanding Shares
2,933,855,000
Free Float
2,932,681,000
Market Cap
$25.86 billion
Optionable
Optionable
Beta
0.70

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This page (NYSE:NMR) was last updated on 6/29/2026 by MarketBeat.com Staff.
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