Nomura Posts Higher Nine-Month Profit and Expands Balance Sheet Amid Market Uncertainty
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An announcement from Nomura Holdings ( (NMR) ) is now available.
On January 30, 2026, Nomura Holdings reported its consolidated financial results for the nine months ended December 31, 2025, showing a 10.5% year-on-year rise in net revenue to ¥1.59 trillion and a 15.5% increase in income before income taxes to ¥432.1 billion, while net income attributable to shareholders climbed 7.2% to ¥288.2 billion and annualized return on equity edged up to 10.8%. Total assets expanded to ¥61.9 trillion and shareholders’ equity per share rose to ¥1,244.72, though the equity-to-asset ratio dipped slightly to 5.9%, cash dividends for the current fiscal year remain partially unconfirmed, and Nomura continues to refrain from issuing earnings forecasts amid global market uncertainties; the company also disclosed a change in its consolidation scope with the inclusion of Delaware Management Company as a specified subsidiary.
The most recent analyst rating on (NMR) stock is a Hold with a $10.00 price target. To see the full list of analyst forecasts on Nomura Holdings stock, see the NMR Stock Forecast page.
Spark’s Take on NMR Stock
According to Spark, TipRanks’ AI Analyst, NMR is a Neutral.
Nomura Holdings’ overall stock score is driven by a solid valuation and positive technical indicators, suggesting potential for price appreciation. However, financial performance concerns, particularly high leverage and negative cash flows, present risks. The earnings call provided a balanced view with both achievements and challenges, slightly impacting the score.
To see Spark’s full report on NMR stock, click here.
More about Nomura Holdings
Nomura Holdings, Inc. is a Japan-based global financial services group listed in Tokyo, Nagoya, New York and Singapore, providing investment, financing and related services across capital markets. The firm focuses on securities and investment banking, serving institutional and retail clients worldwide, and positions itself as a key intermediary in global capital flows.
Average Trading Volume: 1,033,666
Technical Sentiment Signal: Buy
Current Market Cap: $26.68B
For an in-depth examination of NMR stock, go to TipRanks’ Overview page.
