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8604 Nomura Holdings

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  • 930.0
  • +1.4+0.15%
20min DelayMarket Closed Nov 22 15:30 JST
2.94TMarket Cap17.65P/E (Static)

Nomura Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
119.09%132.64B
-231.14%-448.01B
202.65%386.52B
51.62%-118.06B
175.07%312.19B
19.47%-694.82B
379.17%341.63B
47.08%-376.56B
-177.10%-244.03B
22.86%-415.87B
Net income from continuing operations
93.31%177.22B
639.45%63.62B
-20.93%52.14B
112.54%35.59B
6,485.75%25.88B
-37.44%91.68B
-70.78%8.6B
7.01%65.94B
205.36%16.74B
-99.21%393M
Operating gains losses
30.70%-38.98B
-10.75%-35.11B
110.51%2.94B
-237.98%-2.28B
-356.83%-4.53B
48.19%-56.25B
51.60%-31.7B
-1,139.87%-27.96B
208.91%1.65B
103.99%1.77B
Depreciation and amortization
-0.14%61.34B
6.25%15.93B
-4.31%15.38B
-1.78%15.03B
-0.37%14.99B
3.19%61.42B
2.46%14.99B
4.96%16.08B
2.52%15.31B
2.77%15.05B
Provision for loans, leases and other losses
443.71%13.91B
271.23%14.18B
---47M
----
----
-146.26%-4.05B
--3.82B
----
----
----
Remuneration paid in stock
1.03%35.58B
----
----
----
----
26.04%35.22B
----
----
----
----
Deferred tax
-105.08%-312M
-49.82%-1.68B
187.27%3.31B
-144.75%-3.56B
-48.23%1.61B
97.59%6.14B
88.96%-1.12B
-292.35%-3.8B
-24.34%7.95B
307.88%3.1B
Change in working capital
85.99%-116.12B
-273.35%-540.53B
174.66%312.79B
43.07%-162.62B
162.87%274.24B
17.11%-828.98B
371.27%311.82B
47.18%-418.95B
-199.50%-285.67B
22.15%-436.18B
-Change in payables and accrued expense
535.53%807.21B
218.98%175.09B
138.49%129.03B
-143.82%-54.04B
220.73%557.13B
35.53%-185.34B
36.03%-147.16B
-3,433.43%-335.21B
-76.02%123.33B
129.86%173.71B
-Change in loans
112.57%14.79B
-317.25%-2.11T
223.46%1.65T
67.28%-351.87B
256.93%824.58B
94.42%-117.61B
203.03%972.08B
182.44%511.32B
-274.01%-1.08T
54.83%-525.46B
-Change in other working capital
-78.34%-938.11B
372.12%1.4T
-147.06%-1.47T
-63.50%243.29B
-1,211.77%-1.11T
-137.67%-526.03B
-141.39%-513.09B
-225.31%-595.06B
178.86%666.55B
-107.13%-84.43B
Cash from discontinued operating activities
Operating cash flow
119.09%132.64B
-231.14%-448.01B
202.65%386.52B
51.62%-118.06B
175.07%312.19B
19.47%-694.82B
379.17%341.63B
47.08%-376.56B
-177.10%-244.03B
22.86%-415.87B
Investing cash flow
Cash flow from continuing investing activities
-280.72%-887.94B
59.99%-147.88B
-382.43%-407.18B
-1,671.77%-321.36B
-210.95%-11.51B
60.68%-233.23B
33.61%-369.64B
572.46%144.17B
66.34%-18.14B
-78.35%10.38B
Proceeds payment in interest bearing deposits in bank
-39.64%-82.96B
----
----
----
----
-110.91%-59.41B
----
----
----
----
Net PPE purchase and sale
68.54%-33.83B
145.02%12.39B
27.57%-35.75B
23.26%-13.12B
119.59%2.65B
-557.76%-107.52B
-652.20%-27.52B
-945.86%-49.36B
-26.51%-17.1B
0.75%-13.55B
Net business purchase and sale
-102.70%-457M
-100.06%-10M
---1M
---11M
---435M
--16.95B
--16.95B
--0
--0
--0
Net investment purchase and sale
-91.06%20.16B
-23.57%24.61B
-94.42%7.69B
-127.21%-7.35B
-116.87%-4.8B
149.74%225.57B
-61.93%32.2B
613.54%137.93B
199.21%27.01B
-52.48%28.43B
Net proceeds payment for loan
-164.07%-791.76B
66.93%-107.14B
-800.49%-400.72B
-898.13%-277.99B
-14.11%-5.91B
52.75%-299.83B
44.46%-324.01B
696.89%57.21B
15.20%-27.85B
40.45%-5.18B
Net other investing changes
110.18%914M
166.65%5.23B
845.75%12.01B
-6,619.19%-13.3B
-546.31%-3.03B
-101.03%-8.98B
77.40%-7.85B
-1,832.26%-1.61B
-101.01%-198M
-93.52%678M
Cash from discontinued investing activities
Investing cash flow
-280.72%-887.94B
59.99%-147.88B
-382.43%-407.18B
-1,671.77%-321.36B
-210.95%-11.51B
60.68%-233.23B
33.61%-369.64B
572.46%144.17B
66.34%-18.14B
-78.35%10.38B
Financing cash flow
Cash flow from continuing financing activities
-21.11%1.01T
-4.19%430.73B
354.24%358.63B
14.06%432.71B
-155.64%-209.22B
15.39%1.28T
3.11%449.56B
-38.63%78.95B
15.21%379.38B
71.88%376.06B
Increase decrease in deposit
-67.30%107.53B
13.31%92.96B
1,041.35%160.01B
-166.00%-86.08B
-157.96%-59.35B
-11.73%328.87B
166.45%82.04B
-92.58%14.02B
52.91%130.42B
51.47%102.4B
Net issuance payments of debt
0.58%1.03T
7.52%391.88B
187.52%208.13B
123.24%548.21B
-134.63%-118.29B
18.83%1.02T
-12.50%364.46B
1,644.66%72.39B
0.65%245.57B
73.29%341.62B
Net commonstock issuance
-142.99%-60.08B
-4,028,100.00%-40.28B
106.79%103M
-994,900.00%-19.9B
100.00%-1M
37.63%-24.72B
---1M
96.17%-1.52B
300.00%2M
-773,700.00%-23.21B
Cash dividends paid
-5.07%-60.16B
--0
-60.68%-24.12B
--0
14.69%-36.05B
19.02%-57.26B
--0
39.39%-15.01B
--0
8.05%-42.25B
Net other financing activities
-133.48%-4.36B
-551.13%-13.82B
59.96%14.51B
-380.74%-9.52B
278.85%4.47B
215.49%13.03B
--3.06B
--9.07B
--3.39B
---2.5B
Cash from discontinued financing activities
Financing cash flow
-21.11%1.01T
-4.19%430.73B
354.24%358.63B
14.06%432.71B
-155.64%-209.22B
15.39%1.28T
3.11%449.56B
-38.63%78.95B
15.21%379.38B
71.88%376.06B
Net cash flow
Beginning cash position
15.21%3.82T
27.72%4.34T
11.69%4.11T
16.53%4.05T
15.21%3.82T
-5.52%3.32T
3.93%3.4T
-4.18%3.68T
7.62%3.48T
-5.52%3.32T
Current changes in cash
-27.63%257.55B
-139.18%-165.16B
320.27%337.97B
-105.73%-6.71B
410.70%91.45B
203.67%355.89B
953.07%421.55B
74.99%-153.44B
-80.20%117.21B
89.19%-29.44B
Effect of exchange rate changes
48.51%220.62B
3,699.70%126.91B
16.12%-105.96B
-26.09%60.14B
-26.63%139.53B
-0.76%148.55B
-96.60%3.34B
-382.47%-126.32B
510.32%81.37B
2,978.19%190.16B
End cash position
12.51%4.3T
12.51%4.3T
27.72%4.34T
11.69%4.11T
16.53%4.05T
15.21%3.82T
15.21%3.82T
3.93%3.4T
-4.18%3.68T
7.62%3.48T
Free cash from
98.48%-13.14B
-251.16%-476.24B
169.17%321.77B
46.04%-149.24B
166.15%290.57B
11.10%-865.99B
875.55%315.05B
36.45%-465.17B
-191.11%-276.58B
24.00%-439.29B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 119.09%132.64B-231.14%-448.01B202.65%386.52B51.62%-118.06B175.07%312.19B19.47%-694.82B379.17%341.63B47.08%-376.56B-177.10%-244.03B22.86%-415.87B
Net income from continuing operations 93.31%177.22B639.45%63.62B-20.93%52.14B112.54%35.59B6,485.75%25.88B-37.44%91.68B-70.78%8.6B7.01%65.94B205.36%16.74B-99.21%393M
Operating gains losses 30.70%-38.98B-10.75%-35.11B110.51%2.94B-237.98%-2.28B-356.83%-4.53B48.19%-56.25B51.60%-31.7B-1,139.87%-27.96B208.91%1.65B103.99%1.77B
Depreciation and amortization -0.14%61.34B6.25%15.93B-4.31%15.38B-1.78%15.03B-0.37%14.99B3.19%61.42B2.46%14.99B4.96%16.08B2.52%15.31B2.77%15.05B
Provision for loans, leases and other losses 443.71%13.91B271.23%14.18B---47M---------146.26%-4.05B--3.82B------------
Remuneration paid in stock 1.03%35.58B----------------26.04%35.22B----------------
Deferred tax -105.08%-312M-49.82%-1.68B187.27%3.31B-144.75%-3.56B-48.23%1.61B97.59%6.14B88.96%-1.12B-292.35%-3.8B-24.34%7.95B307.88%3.1B
Change in working capital 85.99%-116.12B-273.35%-540.53B174.66%312.79B43.07%-162.62B162.87%274.24B17.11%-828.98B371.27%311.82B47.18%-418.95B-199.50%-285.67B22.15%-436.18B
-Change in payables and accrued expense 535.53%807.21B218.98%175.09B138.49%129.03B-143.82%-54.04B220.73%557.13B35.53%-185.34B36.03%-147.16B-3,433.43%-335.21B-76.02%123.33B129.86%173.71B
-Change in loans 112.57%14.79B-317.25%-2.11T223.46%1.65T67.28%-351.87B256.93%824.58B94.42%-117.61B203.03%972.08B182.44%511.32B-274.01%-1.08T54.83%-525.46B
-Change in other working capital -78.34%-938.11B372.12%1.4T-147.06%-1.47T-63.50%243.29B-1,211.77%-1.11T-137.67%-526.03B-141.39%-513.09B-225.31%-595.06B178.86%666.55B-107.13%-84.43B
Cash from discontinued operating activities
Operating cash flow 119.09%132.64B-231.14%-448.01B202.65%386.52B51.62%-118.06B175.07%312.19B19.47%-694.82B379.17%341.63B47.08%-376.56B-177.10%-244.03B22.86%-415.87B
Investing cash flow
Cash flow from continuing investing activities -280.72%-887.94B59.99%-147.88B-382.43%-407.18B-1,671.77%-321.36B-210.95%-11.51B60.68%-233.23B33.61%-369.64B572.46%144.17B66.34%-18.14B-78.35%10.38B
Proceeds payment in interest bearing deposits in bank -39.64%-82.96B-----------------110.91%-59.41B----------------
Net PPE purchase and sale 68.54%-33.83B145.02%12.39B27.57%-35.75B23.26%-13.12B119.59%2.65B-557.76%-107.52B-652.20%-27.52B-945.86%-49.36B-26.51%-17.1B0.75%-13.55B
Net business purchase and sale -102.70%-457M-100.06%-10M---1M---11M---435M--16.95B--16.95B--0--0--0
Net investment purchase and sale -91.06%20.16B-23.57%24.61B-94.42%7.69B-127.21%-7.35B-116.87%-4.8B149.74%225.57B-61.93%32.2B613.54%137.93B199.21%27.01B-52.48%28.43B
Net proceeds payment for loan -164.07%-791.76B66.93%-107.14B-800.49%-400.72B-898.13%-277.99B-14.11%-5.91B52.75%-299.83B44.46%-324.01B696.89%57.21B15.20%-27.85B40.45%-5.18B
Net other investing changes 110.18%914M166.65%5.23B845.75%12.01B-6,619.19%-13.3B-546.31%-3.03B-101.03%-8.98B77.40%-7.85B-1,832.26%-1.61B-101.01%-198M-93.52%678M
Cash from discontinued investing activities
Investing cash flow -280.72%-887.94B59.99%-147.88B-382.43%-407.18B-1,671.77%-321.36B-210.95%-11.51B60.68%-233.23B33.61%-369.64B572.46%144.17B66.34%-18.14B-78.35%10.38B
Financing cash flow
Cash flow from continuing financing activities -21.11%1.01T-4.19%430.73B354.24%358.63B14.06%432.71B-155.64%-209.22B15.39%1.28T3.11%449.56B-38.63%78.95B15.21%379.38B71.88%376.06B
Increase decrease in deposit -67.30%107.53B13.31%92.96B1,041.35%160.01B-166.00%-86.08B-157.96%-59.35B-11.73%328.87B166.45%82.04B-92.58%14.02B52.91%130.42B51.47%102.4B
Net issuance payments of debt 0.58%1.03T7.52%391.88B187.52%208.13B123.24%548.21B-134.63%-118.29B18.83%1.02T-12.50%364.46B1,644.66%72.39B0.65%245.57B73.29%341.62B
Net commonstock issuance -142.99%-60.08B-4,028,100.00%-40.28B106.79%103M-994,900.00%-19.9B100.00%-1M37.63%-24.72B---1M96.17%-1.52B300.00%2M-773,700.00%-23.21B
Cash dividends paid -5.07%-60.16B--0-60.68%-24.12B--014.69%-36.05B19.02%-57.26B--039.39%-15.01B--08.05%-42.25B
Net other financing activities -133.48%-4.36B-551.13%-13.82B59.96%14.51B-380.74%-9.52B278.85%4.47B215.49%13.03B--3.06B--9.07B--3.39B---2.5B
Cash from discontinued financing activities
Financing cash flow -21.11%1.01T-4.19%430.73B354.24%358.63B14.06%432.71B-155.64%-209.22B15.39%1.28T3.11%449.56B-38.63%78.95B15.21%379.38B71.88%376.06B
Net cash flow
Beginning cash position 15.21%3.82T27.72%4.34T11.69%4.11T16.53%4.05T15.21%3.82T-5.52%3.32T3.93%3.4T-4.18%3.68T7.62%3.48T-5.52%3.32T
Current changes in cash -27.63%257.55B-139.18%-165.16B320.27%337.97B-105.73%-6.71B410.70%91.45B203.67%355.89B953.07%421.55B74.99%-153.44B-80.20%117.21B89.19%-29.44B
Effect of exchange rate changes 48.51%220.62B3,699.70%126.91B16.12%-105.96B-26.09%60.14B-26.63%139.53B-0.76%148.55B-96.60%3.34B-382.47%-126.32B510.32%81.37B2,978.19%190.16B
End cash position 12.51%4.3T12.51%4.3T27.72%4.34T11.69%4.11T16.53%4.05T15.21%3.82T15.21%3.82T3.93%3.4T-4.18%3.68T7.62%3.48T
Free cash from 98.48%-13.14B-251.16%-476.24B169.17%321.77B46.04%-149.24B166.15%290.57B11.10%-865.99B875.55%315.05B36.45%-465.17B-191.11%-276.58B24.00%-439.29B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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Overall
Symbol
Latest Price
% Chg

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