Nomura Holdings Inc. (8604:TYO) - Strategic SWOT and Financial Insights
野村ホールディングス株式会社 (8604:TYO)の戦略的SWOTと財政インサイト:機会、課題、リスクの360度レビュー、企業とESG戦略、競合情報、財政と経営KPI、最新動向
Nomura Holdings Inc. (8604:TYO) - Strategic SWOT and Financial Insights - A 360° Review of Opportunities, Challenges and Risk, Corporate and ESG Strategies, Competitive Intelligence, Financial and Operational KPI’s, and Recent Trends
| 出版 | Quaintel Research |
| 出版年月 | 2025年12月 |
| ページ数 | 72 |
| 価格 | 記載以外のライセンスについてはお問合せください |
| シングルユーザ | USD 150.00 |
| 企業ライセンス | USD 195.00 |
| 種別 | 英文調査報告書 |
| 商品番号 | SMR-15390 |
Report Overview
Report Summary
Nomura Holdings Inc. Strategic SWOT Analysis and Financial Insights – A 360° Review of Opportunities, Challenges and Risk, Corporate and ESG Strategies, Competitive Intelligence, and Recent Trends Report is a comprehensive and easily accessible overview of Nomura Holdings Inc.’s business operations. It provides a detailed analysis of the company’s financial and strategic standing, as well as its position in the industry compared to competitors. The report includes several key features to facilitate decision-making and provide insights into the company’s performance.
The report begins with in-depth information about Nomura Holdings Inc. including key insights, business segments, key executives, locations, products and services, historical events, corporate strategy, and management discussions. This section provides a solid foundation for understanding the company’s key attributes.
Next, the report assesses Nomura Holdings Inc.’s strategic standing through various analyses. The ESG spotlight evaluates the company’s environmental, social, and governance performance, providing insights into its sustainability efforts and ethical practices. The SWOT analysis examines the company’s internal strengths and weaknesses, as well as external opportunities and threats. Additionally, By integrating these strategic analyses, the report offers a comprehensive understanding of Nomura Holdings Inc.’s overall strategic standing and supports informed decision-making and strategic planning.
The report also covers Nomura Holdings Inc.’s financial analysis basis of latest income statement, balance sheet, and cash flow statement. Key financial ratios related to profitability, asset turnover, credit, market, and long-term solvency are outlined, providing guidance for investment decisions. Furthermore, the report compares Nomura Holdings Inc.’s financial parameters with those of its competitors, offering a unique analysis of the competitive landscape. This information helps manage the business environment and improve sales activities by gaining insight into competitors’ operations.
Finally, the report includes recent news and deal activities undertaken by Nomura Holdings Inc. enhancing awareness of the company’s business trends, growth perspectives, and more.
Key Highlights
Nomura Holdings, Inc., founded in 1925 and headquartered in Tokyo, Japan, is a leading global financial services group with an integrated network connecting markets across East and West. With a workforce of approximately 27,242 employees representing around 90 nationalities, Nomura serves individuals, institutions, corporates, and governments through four key business divisions: Wealth Management, Investment Management, Wholesale (Global Markets and Investment Banking), and Banking.The company manages over 162,300,000 million in wealth management client assets and 101,200,000 million in net assets under management through its investment trust and advisory businesses. Nomura operates in more than 30 countries, with regional offices across Japan, Asia ex-Japan, EMEA, and the Americas. Its extensive retail network in Japan includes 104 branches, serving as the backbone of its domestic operations.Driven by disciplined entrepreneurship and deep regional expertise, Nomura emphasizes customized financial solutions and long-term client relationships. With nearly a century of experience and a strong foundation in Asian markets, the firm continues to bridge global capital flows and provide access to major financial centers worldwide.
Nomura Holdings Inc. in the News:-
2025-10-28 – Nomura s Investment Management AUM Exceeds 100 Trillion Yen
2025-10-16 – Nomura Appoints Imran Razvi as Global Execution Services Technology Head
2025-09-01 – Nomura Appoints Filippo Zorzoli as Head of Global Markets Sales, EMEA
2025-08-22 – Nomura to Launch First Cross-listing ETFs in Japan and Taiwan
2025-08-04 – Nomura Appoints Moritz Westhoff as Head of US Rates
Scope
• Tactical Analysis:- Various strategic frameworks to gain insights into a Nomura Holdings Inc.’s competitive position and operational environment. These analytical tools assist in identifying competitive advantages, potential risks, and areas for improvement and efficiency, enabling companies to make informed tactical decisions.
• Business Strategy:- Contributes to shaping the Nomura Holdings Inc.’s overall direction, goals, and decision-making processes, ensuring long-term success and alignment with stakeholder expectations.
• Financial Position:- Provide valuable information on the financial performance and investor sentiment surrounding the company. Indicating the level of confidence and expectations in the company’s future prospects. These components collectively contribute to understanding the financial health and market perception of the company.
• Company Fundamentals:- These fundamentals offer valuable insights into the company’s history, operations, leadership, and geographical presence, aiding in a comprehensive understanding of the organization.
• Competitive Landscape:- An identification of the Nomura Holdings Inc.’s main competitors, providing insights into the competitive landscape it operates in.
Reasons to Buy
• Comprehensive Understanding of the Nomura Holdings Inc.’s internal and external factors through SWOT analysis, Financial Analysis, and Competitors Benchmarking.
• Strive Strategic Decision Making with various analyses and identifying potential customers and suppliers.
• Mitigate Risk with help of thorough analysis of internal and external factors. Furthermore, develop strategies and contingency plans to address these challenges and minimize their impact on business operations.
• Competitive Benchmarking will help to gain a competitive advantage by understanding industry trends, customer preferences, and best practices.
• Financial Performance Evaluation provides crucial insights into key financial ratios and trends, supporting better financial decision-making and resource allocation.
• Valuable insights from the report enable investors and partners to make informed decisions regarding potential Collaborations, Investments, or Partnerships with the company.
Additionally, available deep-dive analysis on the company Nomura Holdings Inc.:
• Nomura Holdings Inc. PESTLE Analysis
• Nomura Holdings Inc. Value Chain Analysis
• Nomura Holdings Inc. Porter’s Five Forces Analysis
• Nomura Holdings Inc. VRIO Analysis
• Nomura Holdings Inc. BCG Analysis
• Nomura Holdings Inc. Segmentation, Targeting and Positioning (STP) Analysis
• Nomura Holdings Inc. Ansoff Matrix Analysis
Table of Contents
Table of Contents 2
Tables 5
Charts 6
Nomura Holdings Inc. – Key Company Facts 7
Nomura Holdings Inc. – Company Description 8
Nomura Holdings Inc. – Top Executives 9
Nomura Holdings Inc.- Head Office & Locations 10
Head Office – Country 10
Nomura Holdings Inc. – Products and Services 11
Services 11
Nomura Holdings Inc. – Company’s Mission and Vision 12
Mission 12
Nomura Holdings Inc. – Corporate Strategy 13
Nomura Holdings Inc. – Business Description 16
Wholesale Segment 16
Investment Management Segment 17
Wealth Management Segment 17
Nomura Holdings Inc. – ESG Spotlight 19
Environment 19
Social 20
Corporate Governance 21
Nomura Holdings Inc. – SWOT Analysis 22
Overview 22
Strengths 24
Weaknesses 26
Opportunities 27
Threats 29
Nomura Holdings Inc. – Financial Deep Dive 31
Share Price Trend – Jan-2024to Dec-2025 (Average Share Closing Price) 31
Profit and Loss Statement 33
Summary of Profit and Loss Statement 33
Balance Sheet 35
Summary of Balance Sheet 35
Cash Flow Statement 37
Summary of Cash Flow Statement 37
Key Financial Ratio Analysis 39
Nomura Holdings Inc. – Ratio Charts 40
Activity Ratio Charts 40
Growth Ratios Charts 41
Leverage Ratio Charts 42
Liquidity Ratio Charts 43
Profitability Ratio Charts 44
Competing Players 45
Snapshot of Competing Players 46
Daiwa Securities Group Inc 46
Key Company Facts 46
Company Description 46
Snapshot of Competing Players 47
Mitsubishi UFJ Financial Group Inc 47
Key Company Facts 47
Company Description 47
Snapshot of Competing Players 48
Mizuho Financial Group Inc 48
Key Company Facts 48
Company Description 48
Snapshot of Competing Players 49
Sumitomo Mitsui Financial Group Inc 49
Key Company Facts 49
Company Description 49
Snapshot of Competing Players 50
UBS Group AG 50
Key Company Facts 50
Company Description 50
Nomura Holdings Inc. – In the News 51
28-Oct-2025 -Nomura’s Investment Management AUM Exceeds 100 Trillion Yen 51
16-Oct-2025 -Nomura Appoints Imran Razvi as Global Execution Services Technology Head 52
01-Sep-2025 -Nomura Appoints Filippo Zorzoli as Head of Global Markets Sales, EMEA 52
22-Aug-2025 -Nomura to Launch First Cross-listing ETFs in Japan and Taiwan 54
04-Aug-2025 -Nomura Appoints Moritz Westhoff as Head of US Rates 54
28-Jul-2025 -Nomura Announces Results of Share Buyback Program from Market 55
07-Jul-2025 -Nomura Becomes First Financial Institution Selected for Japan Forestry Agency’s Joint Crediting Mechanism Survey Project 56
26-Jun-2025 -Nomura Asset Management Appoints Terence Lam as Head of Distribution for Asia ex-Japan 57
24-Jun-2025 -Nomura Announces Appointment of Members of the Board of Directors 58
30-May-2025 -Nomura to Launch New ETF Designed to Track Performance of Bloomberg U.S.Treasury 7-10 Year Index TTM JPY Currency 75% Hedged 58
15-May-2025 -Nomura Determines to Make Disposition of Treasury Shares as Stock Award 58
30-Apr-2025 -Nomura Announces Corrections to Regulatory Capital and Liquidity Requirements Disclosures 59
09-Apr-2025 -Nomura Asset Management Enters Hong Kong Retail Market with Launch of Five SFC-Authorized Funds 60
07-Apr-2025 -Nomura Asset Management Appoints Douglas Stewart as Head of Distribution EMEA 60
25-Mar-2025 -Nomura to Launch Global Marketing Tour 62
Appendix 64
Definitions 64
SWOT Analysis 64
PESTLE Analysis 64
Value Chain Analysis 64
ESG Spotlight 64
Financial Deep Dive 64
Financial Ratios – 65
Activity Ratios 65
Growth Ratios 66
Leverage Ratios 67
Liquidity Ratios 68
Market Ratios 69
Profitability Ratios 69
Research Methodology 70
Disclaimer 71
Contact Us 71
List of Tables
Table 1: Nomura Holdings Inc. – Company Facts 7
Table 2: Nomura Holdings Inc. – Digital Presence 7
Table 3: Nomura Holdings Inc. – Top Executives 9
Table 4: Nomura Holdings Inc. – Services 11
Table 5: Nomura Holdings Inc. – Share Price Trend – Jan-2024 to Dec-2025 31
Table 6: Nomura Holdings Inc.- Ratio Analysis – 2021-2024 39
Table 7: Nomura Holdings Inc. -Competing Players 45
Table 8: Competing Players – Daiwa Securities Group Inc – Key Company Facts 46
Table 9: Competing Players – Mitsubishi UFJ Financial Group Inc – Key Company Facts 47
Table 10: Competing Players – Mizuho Financial Group Inc. – Key Company Facts 48
Table 11: Competing Players – Sumitomo Mitsui Financial Group Inc – Key Company Facts 49
Table 12: Competing Players – UBS Group AG – Key Company Facts 50
List of Figures
Figure 1: Nomura Holdings Inc.- SWOT Analysis 23
Figure 2: Nomura Holdings Inc. – Average Share Price Trend – Jan-2024 to Dec-2025 32
Figure 3: Nomura Holdings Inc. – Profit and Loss Statement – 2022-2025 34
Figure 4: Nomura Holdings Inc. – Balance Sheet – 2022-2025 36
Figure 5: Nomura Holdings Inc. – Cash Flow Statement 2022-2025 38
Figure 6: Nomura Holdings Inc. – Activity Ratio Charts 40
Figure 7: Nomura Holdings Inc. – Growth Ratio Charts (Value %) 41
Figure 8: Nomura Holdings Inc. – Leverage Ratio Charts 42
Figure 9: Nomura Holdings Inc. – Liquidity Ratio Charts 43
Figure 10: Nomura Holdings Inc. – Profitability Ratio Charts (Value %) 44
