Nomura Holdings Inc
NYSE:NMR
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Gross Margin
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Peer Comparison
| Country | Company | Market Cap |
Gross Margin |
||
|---|---|---|---|---|---|
| JP |
|
Nomura Holdings Inc
TSE:8604
|
4.1T JPY |
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|
| US |
|
Morgan Stanley
NYSE:MS
|
289.8B USD |
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|
|
| US |
|
Goldman Sachs Group Inc
NYSE:GS
|
280.1B USD |
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|
|
| US |
|
Charles Schwab Corp
NYSE:SCHW
|
185.1B USD |
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|
|
| EG |
|
EFG Hermes Holdings SAE
LSE:EFGD
|
167.9B USD |
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|
|
| US |
|
Interactive Brokers Group Inc
NASDAQ:IBKR
|
126.6B USD |
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|
|
| US |
|
Robinhood Markets Inc
NASDAQ:HOOD
|
88.8B USD |
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|
|
| CN |
|
CITIC Securities Co Ltd
SSE:600030
|
420.3B CNY |
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|
| CN |
|
Guotai Junan Securities Co Ltd
SSE:601211
|
349.1B CNY |
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|
|
| US |
|
Raymond James Financial Inc
NYSE:RJF
|
32.4B USD |
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|
|
| CN |
|
Huatai Securities Co Ltd
SSE:601688
|
209.8B CNY |
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|
Market Distribution
| Min | -179.8% |
| 30th Percentile | 21.8% |
| Median | 30.6% |
| 70th Percentile | 42.3% |
| Max | 18 197.9% |
Other Profitability Ratios
Nomura Holdings Inc
Glance View
Nomura Holdings Inc., a venerable name in the world of finance, is Japan’s largest securities company. Founded in 1925, the firm has expanded its reach from its roots in Osaka to become a global powerhouse in financial services. What sets Nomura apart is its comprehensive suite of offerings that cater to a diverse clientele, ranging from retail investors to large institutions. The company operates primarily through three business segments: Retail, Asset Management, and Wholesale, effectively positioning itself to capture various streams of revenue. Each segment plays a crucial role in the firm's overall profitability. Nomura’s retail division provides financial solutions including brokerage services, investment advisory, and wealth management, tapping into the robust demand from Japan’s affluent population seeking to enhance their financial well-being. Globally, Nomura's Wholesale segment, which includes Global Markets and Investment Banking, is where much of its international ambitions take flight. This division handles trading and investment services for both individual and institutional clients, transacting in equities, fixed income, and various derivatives. It leverages its strong research capabilities to offer insights that inform and guide investment strategies. Meanwhile, its Asset Management arm delivers investment solutions not only in Japan but also to a global clientele, focusing on innovative products such as fixed income, equities, and alternative investments. Through these dynamic and interconnected segments, Nomura effectively generates revenue by navigating the intricate demands of each financial service vertical, continuously adapting to the evolving market landscapes, and maintaining its stature as a formidable player on the global stage.
See Also
Gross Margin is calculated by dividing the Gross Profit by the Revenue.
The current Gross Margin for Nomura Holdings Inc is 43.4%, which is in line with its 3-year median of 43.4%.
Over the last 3 years, Nomura Holdings Inc’s Gross Margin has decreased from 74.6% to 43.4%. During this period, it reached a low of 37.2% on Jun 30, 2024 and a high of 74.6% on Sep 30, 2022.