NOMURA HOLDINGS INC Financial Summary

Complete Filing Data

NOMURA HOLDINGS INC reported Allowance For Doubtful Accounts Receivable of $16.92 billion for FY2025.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean NOMURA HOLDINGS INC did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011
Net Income *$340.74B$165.86B$92.79B$143.00B$153.12B$217.00B-$100.44B$219.34B$239.62B$131.55B$224.79B$213.59B$107.23B$11.58B$28.66B
Revenues Net Of Interest Expense$1.89T$1.56T$1.34T$1.36T$1.40T$1.29T$1.12T$1.50T$1.40T$1.40T$1.60T$1.56T$1.81T$1.54T$1.13T
Revenues$4.74T$4.16T$2.49T$1.59T$1.62T$1.95T$1.84T$1.97T$1.72T$1.72T$1.93T$1.83T$2.08T$1.85T$1.39T
Net Income Loss Attributable To Noncontrolling Interest$6.52B$11.36B-$1.11B$3.54B$7.28B$2.37B$5.73B$4.95B$2.95B$11.01B$1.19B$2.86B-$1.54B$14.47B$3.26B
Investment Banking Revenue$212.23B$173.27B$113.21B$149.60B$108.68B$103.22B$101.52B$101.66B$92.58B$118.33B$95.08B$91.30B$62.35B$59.64B$107.01B
Interest Expense$2.84T$2.60T$1.15T$230.11B$215.36B$664.65B$718.35B$475.19B$312.32B$327.42B$326.41B$274.77B$266.31B$315.90B$254.79B
Income Tax Expense Benefit$124.71B$96.63B$57.80B$80.09B$70.27B$28.89B$57.01B$103.87B$80.23B$22.60B$120.78B$145.17B$132.04B$58.90B$61.33B
Comprehensive Income Net Of Tax Including Portion Attributable To Noncontrolling Interest$333.84B$320.79B$283.22B$315.58B$149.30B$222.01B-$63.66B$125.69B$209.85B$42.14B$358.83B$296.50B$198.32B$10.44B$10.31B
Comprehensive Income Net Of Tax Attributable To Noncontrolling Interest$5.28B$13.40B-$52.0M$6.46B$8.23B$2.07B$6.48B-$649.0M$852.0M$9.35B$10.95B$4.88B$3.33B$14.31B$2.21B
Comprehensive Income Net Of Tax$328.56B$307.39B$283.27B$309.11B$141.08B$219.94B-$70.14B$126.34B$209.00B$32.79B$347.89B$291.62B$194.99B-$3.87B$8.10B
Brokerage Commissions Revenue$407.01B$364.10B$279.86B$332.34B$376.90B$308.81B$293.07B$373.31B$327.13B$431.96B$453.40B$473.12B$358.21B$347.14B$405.46B
Income Loss From Continuing Operations Before Income Taxes Minority Interest And Income Loss From Equity Method Investments$471.96B$273.85B$149.47B$226.62B$230.67B$248.26B-$37.70B$328.16B$322.80B$165.16B$346.76B$361.61B$237.73B$84.96B$93.26B
Other Comprehensive Income Loss Pension And Other Postretirement Benefit Plans Tax-$5.33B-$5.81B-$4.79B$78.0M-$1.63B$693.0M$161.0M$3.31B$3.65B$8.15B-$1.85B-$5.38B-$3.01B$1.55B-$1.54B
Other Comprehensive Income Loss Pension And Other Postretirement Benefit Plans Adjustment Net Of Tax-$12.41B-$12.66B-$11.63B$326.0M-$19.09B-$8.54B$23.27B$6.82B$7.70B$17.92B-$3.41B-$9.71B-$5.70B$2.66B-$2.53B
Other Comprehensive Income Loss Pension And Other Postretirement Benefit Plans Adjustment Before Tax-$17.73B-$18.48B-$16.42B$404.0M-$20.72B-$7.84B$23.43B$10.12B$11.34B$26.07B-$5.26B-$15.09B-$8.70B$4.20B-$4.07B
Other Comprehensive Income Loss Net Of Tax-$13.42B$143.57B$191.54B$169.04B-$11.10B$2.64B$31.06B-$98.61B-$32.72B-$100.43B$132.85B$80.05B$92.63B-$15.62B-$21.62B
Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Net Of Tax-$37.34B$203.35B$106.91B$121.52B$45.53B-$44.41B$34.18B-$62.80B-$5.69B-$81.09B$110.49B$68.09B$74.30B-$13.80B-$24.15B
Income Taxes Paid Net$93.92B$26.05B$94.26B$114.62B$35.68B$55.59B$27.20B$49.45B$47.48B$118.58B$34.36B$116.04B$28.06B$16.08B$32.31B
Deferred Income Tax Expense Benefit$11.56B-$312.0M$6.14B$3.11B-$21.11B-$23.91B$21.57B$60.26B$22.53B-$58.86B$26.49B$117.06B$53.96B$37.77B$55.20B
Other Comprehensive Income Loss Foreign Currency Translation Adjustment Tax$1.57B$1.16B$145.0M$946.0M$1.29B-$591.0M$1.85B-$14.26B-$1.07B$12.86B$141.0M-$590.0M
Other Comprehensive Income Loss Foreign Currency Transaction And Translation Adjustment Before Tax-$35.77B$204.51B$107.06B$122.47B$46.82B-$45.00B$36.03B-$77.07B-$6.76B-$68.24B$110.63B$67.50B

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010
Stockholders Equity *$3.47T$3.35T$3.15T$2.91T$2.69T$2.65T$2.63T$2.75T$2.79T$2.70T$2.71T$2.51T$2.29T$2.11T$2.09T
Allowance For Doubtful Accounts Receivable$16.92B$18.05B$5.83B$66.35B$53.78B$14.98B$4.17B$3.51B$3.55B$3.48B$3.25B$3.01B$2.26B$4.89B$4.86B$5.43B
Accumulated Other Comprehensive Income Loss Net Of Tax$447.81B$459.98B$318.45B$127.97B-$38.14B-$26.11B-$29.05B-$59.36B$33.65B$44.98B$143.74B$20.64B-$57.40B-$145.15B
Cash And Cash Equivalents At Carrying Value$4.42T$4.24T$3.82T$3.32T$3.51T$3.19T$2.69T$2.35T$2.54T$3.48T$1.32T$1.49T$805.09B$1.07T$1.62T$1.02T
Gain Loss On Investments In Equity Securities$444.0M$9.61B-$1.43B$5.45B$14.05B-$14.73B-$6.98B$2.68B$7.71B-$20.50B$29.41B$15.16B$38.69B$4.01B-$16.68B
Repayments Of Long Term Debt$3.31T$2.10T$1.12T$2.66T$2.07T$2.40T$1.63T$1.96T$2.40T$2.92T$3.17T$1.59T$2.33T$2.88T$1.19T
Gain Loss On Investments$444.0M$9.61B-$1.43B$5.45B$14.05B-$14.73B-$6.98B$2.68B$7.71B-$20.50B$29.41B$15.16B$38.69B-$4.01B$16.68B
Treasury Stock Value$143.68B$118.80B$118.57B$112.36B$91.25B$243.60B$108.97B$157.99B$182.79B$148.52B$151.81B$72.09B$70.51B$99.82B
Trading Securities And Financial Instruments Owned Principal Investments At Fair Value$22.52T$19.66T$17.61T$15.30T$15.74T$16.90T$14.39T$14.98T$15.19T$16.41T$17.31T$18.71T$17.12T$14.12T
Trading Liabilities$11.38T$10.89T$10.56T$9.65T$9.47T$8.55T$8.22T$8.20T$8.19T$7.50T$10.04T$11.05T$8.49T$7.50T
Total Other Assets$2.65T$2.51T$2.32T$2.18T$2.43T$2.20T$2.13T$2.29T$2.77T$2.73T$2.71T$2.70T$2.42T$3.67T
Retained Earnings Accumulated Deficit$1.87T$1.71T$1.65T$1.61T$1.53T$1.65T$1.49T$1.70T$1.66T$1.52T$1.44T$1.29T$1.14T$1.06T
Receivables From Customers$410.72B$453.94B$379.91B$417.66B$459.09B$541.28B$449.71B$442.34B$308.09B$210.84B$187.03B$64.07B$63.79B$58.31B
Property Plant And Equipment Net$436.45B$448.79B$464.32B$419.05B$464.45B$440.51B$349.37B$338.98B$349.70B$355.51B$401.07B$408.92B$428.24B$1.05T

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011
Proceeds From Sale Of Treasury Stock$1.41B$953.0M$4.0M$11.0M$215.0M$285.0M$313.0M$764.0M$401.0M$571.0M$387.0M$682.0M$56.0M$10.0M$8.0M
Proceeds From Sale Of Property Plant And Equipment$131.08B$111.95B$63.65B$94.99B$49.64B$209.20B$262.91B$224.22B$239.18B$282.47B$159.48B$176.68B$147.65B$120.44B$109.89B
Proceeds From Issuance Of Long Term Debt$4.33T$3.06T$2.21T$3.89T$2.07T$2.36T$2.14T$2.31T$1.53T$3.02T$2.97T$2.14T$1.93T$2.02T$2.27T
Payments To Acquire Property Plant And Equipment$189.97B$145.78B$171.17B$111.33B$119.88B$206.75B$319.09B$285.16B$312.88B$324.72B$209.47B$214.34B$271.98B$182.57B$186.35B
Payments For Repurchase Of Common Stock$59.01B$61.03B$24.73B$39.65B$11.0M$150.01B$51.71B$109.10B$61.34B$20.00B$104.05B$32.51B$7.0M$8.29B$37.38B
Payments For Proceeds From Other Investing Activities-$16.15B-$914.0M$8.98B$4.47B$9.96B-$685.0M$3.95B$2.07B$113.29B$211.0M-$229.0M-$3.18B$228.0M$638.0M$49.0M
Payments For Proceeds From Loans Receivable$129.83B$112.22B$84.36B$110.81B$83.41B-$43.92B$74.05B$105.39B$21.32B$40.77B$49.19B$10.97B-$22.19B-$30.59B$60.35B
Net Cash Provided By Used In Operating Activities-$678.61B$132.64B-$694.82B-$862.83B$665.77B-$15.94B-$361.17B-$445.69B$1.30T$1.24T-$77.03B$457.43B$549.50B$290.86B-$235.09B
Net Cash Provided By Used In Investing Activities-$848.65B-$887.94B-$233.23B-$593.18B-$139.03B$216.34B-$112.50B-$56.17B-$118.05B-$23.71B$12.34B-$103.20B-$160.49B$9.94B-$423.21B
Net Cash Provided By Used In Financing Activities$1.68T$1.01T$1.28T$1.11T-$269.93B$332.06B$761.19B$373.17B-$2.13T$986.39B-$178.21B$289.39B-$701.62B-$844.31B$1.28T
Increase Decrease In Trading Liabilities$574.23B-$411.84B$467.26B-$284.75B$777.74B$429.00B-$143.14B$227.30B$711.54B-$2.28T-$1.73T$2.01T$248.02B-$1.06T$1.21T
Increase Decrease In Securities Borrowed-$526.23B$324.10B-$834.44B-$595.12B$1.24T-$291.78B-$1.99T-$763.30B$1.71T-$1.76T$221.30B$1.60T-$863.51B-$508.84B-$446.15B
Increase Decrease In Other Operating Capital Net-$8.50B-$167.84B$375.32B$125.13B-$20.09B$9.41B$32.29B$122.85B$40.00B$165.84B$113.32B$338.46B$309.58B$104.31B$414.52B
Increase Decrease In Financial Instruments Used In Operating Activities$3.03T$386.47B$1.62T-$1.23T-$1.47T$2.75T-$925.38B$239.33B-$1.20T-$248.50B-$2.92T$485.67B$1.45T$971.33B-$1.48T
Increase Decrease In Deposits$785.39B$107.53B$328.87B$372.58B$126.18B-$93.26B$257.47B-$13.25B-$1.07T$1.01T$140.57B-$23.61B$129.38B$117.05B$368.35B
Increase Decrease In Accrued Income Taxes Payable$19.24B$70.89B-$42.60B-$37.64B$55.71B-$2.79B$8.24B-$5.84B$10.22B-$37.13B$59.93B-$87.93B$50.02B$5.06B-$26.17B
Increase Decrease In Accounts Payable-$16.73B$709.84B-$139.42B-$247.98B-$33.99B$788.01B-$63.68B$209.46B$364.02B-$41.84B$236.03B$278.33B-$305.67B$218.92B$319.51B
Payments Of Dividends$112.54B$60.16B$57.26B$70.71B$76.36B$58.42B$47.48B$70.20B$42.83B$82.78B$55.32B$51.95B$14.73B$29.07B$29.08B
Increase Decrease In Receivables$179.67B$276.06B-$472.81B-$111.47B-$1.15T$1.36T-$157.60B$1.01T$32.15B$136.69B$92.71B-$217.40B$238.32B$28.93B-$354.69B
Increase Decrease In Employee Related Liabilities$26.50B$26.48B-$3.32B-$1.87B$15.84B$16.20B-$46.60B-$2.96B$4.54B-$41.28B-$3.66B$16.36B$31.42B-$13.36B-$8.80B
Proceeds From Repayments Of Short Term Debt-$81.93B-$475.51B-$325.24B$656.21B$85.90B$215.00B-$81.96B-$17.40B$34.04B-$149.44B-$416.17B-$56.38B-$97.28B
Increase Decrease In Other Secured Financings$62.42B-$2.12B$326.45B-$301.02B-$1.20B-$79.12B$138.20B$192.35B$145.88B-$7.99B$84.44B-$271.50B-$160.03B
Increase Decrease In Deposit Other Assets$70.53B$23.06B-$43.56B$33.03B-$21.83B$100.64B$18.28B-$124.92B-$38.34B-$274.59B-$137.53B-$318.10B-$155.25B
Share Based Compensation$38.58B$35.58B$35.22B$27.94B$28.25B$12.69B$21.81B$9.65B$8.96B$16.89B$19.36B$21.09B$21.96B$26.87B$18.64B

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011FY2010
Earnings Per Share Diluted$111.03$52.69$29.74$45.23$48.63$66.20$-29.92$61.88$65.65$35.52$60.03$55.81$28.37$3.14$7.86
Earnings Per Share Basic$115.30$54.97$30.86$46.68$50.11$67.76$-29.90$63.13$67.29$36.53$61.66$57.57$29.04$3.18$7.90
Common Stock Shares Outstanding2.96B2.97B3.00B3.02B3.06B3.04B3.31B3.39B3.53B3.61B3.60B3.72B3.71B3.66B3.60B3.67B

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014FY2013FY2012FY2011
Trading Gains Losses$580.10B$491.61B$563.27B$368.80B$310.04B$356.61B$342.96B$442.89B$475.59B$354.03B$531.34B$476.36B$367.98B$272.56B$336.50B
Principal Investment Gains Losses$7.63B$11.88B$14.50B$30.77B$12.73B-$93.0M$1.01B-$869.0M$1.37B$13.76B$5.50B$11.39B$8.05B$25.10B$19.29B
Other Noninterest Expense$186.44B$167.24B$162.05B$232.86B$287.02B$178.84B$306.05B$248.86B$209.30B$228.24B$227.21B$202.75B$616.46B$496.23B$125.45B
Other Income$223.26B$175.82B$130.94B$152.83B$208.32B$165.99B$81.06B$221.19B$153.63B$156.46B$175.70B$179.49B$708.77B$563.19B$43.86B
Occupancy Net$70.17B$68.70B$66.86B$69.74B$72.37B$72.99B$64.94B$67.90B$69.84B$78.41B$76.11B$80.14B$91.55B$100.89B$87.84B
Noninterest Expense$1.42T$1.29T$1.19T$1.14T$1.17T$1.04T$1.15T$1.17T$1.08T$1.23T$1.26T$1.20T$1.58T$1.45T$1.04T
Labor And Related Expense$732.39B$673.52B$605.79B$529.51B$507.91B$479.42B$497.07B$530.64B$496.39B$574.19B$596.59B$570.06B$547.59B$534.65B$518.99B
Interest And Dividend Income Operating$2.93T$2.62T$1.11T$284.22B$356.47B$794.47B$776.96B$585.68B$441.04B$440.05B$436.77B$416.35B$394.01B$435.89B$346.10B
Floor Brokerage Exchange And Clearance Fees$177.45B$137.33B$119.24B$105.20B$111.55B$106.12B$82.64B$99.87B$94.50B$123.88B$129.98B$111.85B$91.39B$93.50B$92.09B
Communications And Information Technology$227.02B$217.13B$209.54B$184.32B$178.84B$170.32B$166.87B$184.78B$175.28B$189.91B$192.30B$192.17B$179.90B$177.15B$182.92B
Business Development$27.06B$24.24B$22.64B$15.64B$13.52B$31.89B$36.92B$36.76B$35.11B$35.89B$35.23B$38.49B$49.01B$48.49B$30.15B
Asset Management Fees And Custody Fee$378.20B$310.15B$271.68B$269.99B$230.05B$238.20B$245.52B$245.62B$216.48B$229.01B$203.39B$168.68B$141.89B$144.25B$143.94B
Depreciation And Amortization$61.65B$61.34B$61.42B$59.52B$63.85B$63.58B$57.92B$71.58B$70.93B$79.39B$78.88B$79.47B$91.49B$100.57B$75.59B
Short Term Borrowings$1.12T$1.05T$1.01T$1.05T$1.37T$1.49T$841.76B$743.50B$543.05B$662.90B$662.26B$602.13B$738.45B$1.19T
Securities Sold Under Agreements To Repurchase$16.29T$16.87T$14.22T$12.57T$13.36T$16.35T$15.04T$14.76T$17.10T$14.19T$12.22T$13.94T$12.44T$9.93T
Securities Purchased Under Agreements To Resell$14.00T$15.62T$13.83T$11.88T$10.78T$12.38T$13.19T$9.85T$11.46T$9.21T$8.48T$9.62T$8.30T$7.66T
Securities Loaned$1.96T$2.13T$1.56T$1.57T$1.38T$961.45B$1.23T$1.52T$1.63T$1.94T$2.49T$2.36T$2.16T$1.70T

Most recent annual filing with the SEC: June 23, 2025

Data sourced from SEC EDGAR public filings as of August 5, 2026.