NMR Stock Snapshot Price, market cap, P/E, EPS, ROE, debt/equity, 52-week range

03
Price $9.73
Market Cap $28.23B
P/E 0.1
EPS $118.99
Revenue $4.76T
Div Yield 636.7%
ROE 10.1%
Debt/Equity 0.5
52W Range $7–$11

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04
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About Nomura Holdings Inc ADR American Depositary Shares Company overview from Wikipedia

05 · wikidata

Nomura Holdings, Inc. is a Japanese financial holding company and a principal member of the Nomura Group, which is Japan's largest investment bank and brokerage group. It, along with its broker-dealer, banking and other financial services subsidiaries, provides investment, financing and related services to individual, institutional, and government customers on a global basis with an emphasis on securities businesses.

History

Origins

The history of Nomura began on December 25, 1925, when Nomura Securities Co., Ltd. (NSC) was established in Osaka, as a spin-off from Securities Dept. of Osaka Nomura Bank Co., Ltd (the present day Resona Bank). NSC initially focused on the bond market. It was named after its founder Tokushichi Nomura II, a wealthy Japanese businessman and investor. He had earlier established Osaka Nomura bank in 1918, based on the Mitsui zaibatsu model with a capital of ¥10 million. Like the majority of Japanese conglomerates, or zaibatsu, its origins were in Osaka, but today operates out of Tokyo. NSC gained the authority to trade stock in 1938, and went public in 1961.

Lehman Brothers acquisition

In October 2008, Nomura acquired most of Lehman Brothers' Asian operations together with its European equities and investment banking units to make one of the world's largest independent investment banks with ¥20,300bn (£138bn) assets under management. In April 2009, the global headquarters for investment banking was moved out of Tokyo to London as part of a strategy to move the company's focus from Japan to global markets, with Josh Tokley appointed Head of UK Investments. Following his subsequent suspension, Tokley was replaced by Michael Coombs.

Nomura paid $225 million for the purchase of Lehman's Asia-Pacific unit. Due to large losses with shares dropping to their lowest level in nearly 37 years, Nomura cut around 5 percent of its staff in Europe (as many as 500 people) in mid-September 2011.

Greentech acquisition

In December 2019, Nomura announced that it would acquire Greentech Capital Advisors, a boutique investment bank with stated aims of assisting clients across sustainable technology and infrastructure. The transaction is expected to close on March 31, 2020.

Greentech will be rebranded to "Nomura Greentech" and will form part of their Investment Banking franchise in the U.S.

Macquarie asset management acquisition

In April 2025, Nomura agreed to acquire Macquarie's U.S. and European public asset management business in a $1.8 billion all-cash deal. As a result, Nomura's investment management division will take on roughly $180 billion in new assets across equities, fixed income and multi-asset strategies, for a total of approximately $770 billion in total assets under management (AUM). Expected to close by the end of 2025, the acquisition represents Nomura's largest international expansion since 2008, when it bought Lehman Brothers' Asian and European assets.

Nomura Holdings and member companies

The marketing slogan of Nomura is "Connecting Markets East & West".

Nomura Holdings, Inc. is the holding company of the Nomura Group and the group's principal member. As a keiretsu, Nomura Holdings, Inc. does not directly run member companies, rather it keeps a controlling stake of cross shareholdings and manages financial assistance among member companies which help to deflect hostile takeovers.

Core members

Nomura Holding America Inc. operates as a subsidiary of Nomura Holdings, Inc.

Nomura Europe Holdings plc operates as a subsidiary of Nomura Holdings, Inc.

Nomura Asia Holding N.V. operates as a subsidiary of Nomura Holdings, Inc.

Nomura Securities, operates as a subsidiary of Nomura Holdings, Inc.

Nomura Research Institute

Nomura Financial Products Europe GmbH

Nomura Asset Management Co., Ltd.

The Nomura Trust & Banking Co.

Nomura Babcock & Brown Co., Ltd.

Nomura Capital Investment Co., Ltd.

Nomura Investor Relations Co., Ltd.

Nomura Principal Finance Co., Ltd.

Nomura Funds Research And Technologies Co., Ltd.

Nomura Pension Support & Service Co., Ltd.

Nomura Research & Advisory Co., Ltd.

Nomura Business Services Co., Ltd.

Nomura Satellite Communications Co., Ltd.

Nomura Facilities, Inc.

Nomura Institute of Capital Markets Research

Nomura Services India Pvt. Ltd.

Nomura Healthcare

Nomura Private Equity Capital

Unified Partners

Nomura Agri Planning & Advisory

Instinet

Nomura Securities

Nomura Securities Co., Ltd. is a Japanese financial services company and a wholly owned subsidiary of Nomura Holdings, Inc. (NHI), which forms part of the Nomura Group. It plays a central role in the securities business, the group's core business. Nomura is a financial services group and global investment bank. Based in Tokyo, Japan, with regional headquarters in Hong Kong, London, and New York, Nomura employs about 26,000 staff worldwide; it is known as Nomura Securities International in the US, and Nomura International plc. in EMEA. It operates through five business divisions: retail (in Japan), global markets, investment banking, merchant banking, and asset management.

Established December 25, 1925 in Osaka, it is the oldest brokerage firm in Japan. It is named after its founder Tokushichi Nomura II, a wealthy Japanese businessman and investor.

History

Background (before 1925)

Nomura was founded by Tokushichi Nomura, father of Nomura Securities founder Tokushichi Nomura II as a money changing business. This was just before the Meiji Restoration, the move to setting up a bank was a logical extension and progression of this business as times changed. Changes included the founding of stock exchanges in Tokyo and Osaka as the country became industrialised. Key amongst these changes was the Japanese government's decision to issue foreign currency denominated public bonds to fund the Russo-Japanese War; Nomura employed English speaking staff so that they could take on this international business.

By 1906 Nomura had founded an in-house research department headed up by former Osaka newspaper journalist Kisaku Hashimoto. This was responsible for publishing the Osaka Nomura Business News with trading news, stock analysis and current economic trends. Research combined with a substantial newspaper advertising campaign helped raise the profile of Nomura. By 1917, Nomura had gone public and soon after Osaka Nomura Bank (the present day Resona Bank) was set up, within this business there was a securities section to handle bond sales and underwriting.

Source: Wikipedia, CC BY-SA 4.0 · View on Wikipedia ↗

Wikidata ↗

sectorFinancial Services industryFinancial Services employees28,677 countryJP

10-Year Performance Revenue, net income, margins and EPS trends

06
Revenue$4.76T
2017-03-31 → 2026-03-31
EPS$118.99
2017-03-31 → 2026-03-31
Free Cash Flow$-1.20T
2017-03-31 → 2026-03-31
Net margin7.6%
2017-03-31 → 2026-03-31
Valuation & Ratios 07–12

Valuation P/E, P/S, P/B, EV/EBITDA ratios — is the stock expensive or cheap?

Metric 5Y trend NMR 5Y avg Peer Median Verdict
P/E 0.15Y avg ≈0.1 ≈0.1 · ·
P/S 0.05Y avg ≈0.0 ≈0.0 · ·
P/B 0.05Y avg ≈0.0 ≈0.0 · ·
Price / FCF -0.05Y avg ≈-0.3 ≈-0.3 · ·
Price / Cash Flow -0.05Y avg ≈0.0 ≈0.0 · ·
EV / Revenue -0.55Y avg ≈-0.9 ≈-0.9 · ·
EV / FCF 2.15Y avg ≈50.3 ≈50.3 · ·
Price / Tangible Book 0.05Y avg ≈0.0 ≈0.0 · ·

Peer median is calculated on a standardized basis per metric and may not always match the TTM/MRQ basis shown for this stock.

value · ≈ 5Y avg · industry median · verdict relative to median

Dividends Yield, payout ratio, dividend history, 5Y CAGR

13
Dividend Yield636.7%
Payout Ratio49.6%
Annualized Payout≈$0.48Paid semi-annually
Ex-dateAmountCurrencyYield
Mar 31, 2025$0.24USD≈6.4%
Sep 30, 2024$0.15USD≈4.8%
Mar 27, 2024$0.10USD≈1.5%
Mar 30, 2020$0.05USD≈1.0%
Sep 26, 2007$0.08USD≈2.4%
Jun 27, 2007$0.07USD≈1.6%
Mar 28, 2007$0.16USD≈1.4%
Sep 27, 2006$0.07USD≈2.5%
Jun 27, 2006$0.07USD≈2.8%
Mar 28, 2006$0.31USD≈2.0%
Sep 27, 2005$0.11USD≈1.3%
Mar 28, 2005$0.10USD≈1.3%
Sep 27, 2004$0.09USD≈1.2%
Mar 26, 2004$0.07USD≈0.75%
Sep 25, 2003$0.07USD≈1.2%
Mar 26, 2003$0.12USD≈1.1%

Earnings History EPS actual vs estimate, surprise %, beat rate, next earnings date

14
Avg Surprise -7.0%
PeriodReportEPS ActualEPS EstSurprise
June 30, 2026 $34.04 $38.90 -12.5%
March 31, 2026 $25.35 $35.06 -27.7%
Dec. 31, 2025 $31.18 $34.32 -9.2%
Sept. 30, 2025 $31.35 $25.61 22.4%
June 30, 2025 $35.19 $36.91 -4.6%
March 31, 2025 $24.35 $27.12 -10.2%

Full Fundamentals All metrics by year — income statement, balance sheet, cash flow

15
Income Statement 10
Metric Trend 202620252024202320222021202020192018201720162015
Revenue $4.76T$4.74T$4.16T$2.49T$1.59T$1.62T$1.95T$1.84T$1.97T$1.72T$1.72T$1.93T
Interest Expense $2.59T$2.84T$2.60T$1.15T$230.11B$215.36B$664.65B$718.35B$475.19B$312.32B$327.42B$326.41B
Interest Income $2.67T$2.93T$2.62T$1.11T$284.22B$356.47B$794.47B$776.96B$585.67B$441.04B$440.05B$436.77B
Pretax Income $531.55B$473.51B$284.19B$179.75B$221.00B$219.13B$269.59B$-30.50B$326.26B$316.18B$185.85B$322.07B
Income Tax $165.44B$124.71B$96.63B$57.80B$80.09B$70.27B$28.89B$57.01B$103.87B$80.23B$22.60B$120.78B
Net Income $362.13B$340.74B$165.86B$92.79B$143.00B$153.12B$217.00B$-100.44B$219.34B$239.62B$131.55B$224.78B
EPS (Basic) $123.08$115.30$54.97$30.86$46.68$50.11$67.76$-29.90$63.13$67.29$36.53$61.66
EPS (Diluted) $118.99$111.03$52.69$29.74$45.23$48.63$66.20$-29.92$61.88$65.65$35.52$60.03
Shares (Basic) 2,942,280,410,000,0002,955,204,882,000,0003,017,128,412,000,0003,006,744,201,000,0003,063,524,091,000,0003,055,525,640,000,0003,202,369,845,000,0003,359,564,840,000,0003,474,593,441,000,0003,560,775,6523,600,701,4993,645,514,878
Shares (Diluted) 3,041,190,068,000,0003,066,458,811,000,0003,144,540,974,000,0003,114,313,612,000,0003,158,708,013,000,0003,147,338,609,000,0003,276,510,404,000,0003,359,566,740,000,0003,543,602,532,000,0003,647,729,9093,700,388,0503,743,690,088
Balance Sheet 19
Metric Trend 202620252024202320222021202020192018201720162015
Cash & Equivalents $4.30T$4.42T$4.24T$3.82T$3.32T$3.51T$3.19T$2.69T$2.35T$2.54T$3.48T$1.32T
PP&E (Net) $543.85B$436.45B$448.79B$464.32B$419.05B$464.45B$440.51B$349.37B$338.98B$349.70B$355.51B$401.07B
Accum. Depreciation $600.42B$546.12B$529.61B$459.95B$426.08B$395.43B$397.11B$416.05B$397.83B$445.00B$402.60B$383.99B
Goodwill $172.49B$17.20B$19.26B$17.64B$14.41B$13.14B$472M$474M$78.52B$80.41B$80.76B$86.19B
Intangibles $114.13B$3.02B$7.86B$8.49B$6.25B$7.29B$8.62B$10.46B$12.38B$15.45B$20.77B$27.79B
Total Assets $62.65T$56.80T$55.15T$47.77T$43.41T$42.52T$44.00T$40.97T$40.34T$42.85T$41.09T$41.78T
Short-term Debt $1.75T$1.12T$1.05T$1.01T$1.05T$1.37T$1.49T$841.76B$743.50B$543.05B$662.90B$662.26B
Deferred Tax ······$66.91B$84.57B$57.11B$34.37B$35.24B$71.17B
Total Liabilities $58.79T$53.22T$51.70T$44.55T$40.44T$39.76T$41.27T$38.29T$37.54T$40.01T$38.35T$39.04T
Long-term Debt $15.54T$13.37T$12.45T$10.40T$9.26T$7.98T$7.78T$7.92T$7.38T$7.20T$8.13T$8.34T
Total Debt $1.75T$1.12T$1.05T$1.01T$1.05T$1.37T$1.49T$841.76B$743.50B$543.05B$662.90B$662.26B
Common Stock $594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B$594.49B
Paid-in Capital $706.26B$704.88B$708.78B$707.19B$697.51B$696.12B$683.23B$687.76B$675.28B$681.33B$692.71B$683.41B
Retained Earnings $2.01T$1.87T$1.71T$1.65T$1.61T$1.53T$1.65T$1.49T$1.70T$1.66T$1.52T$1.44T
Treasury Stock $155.09B$143.68B$118.80B$118.57B$112.36B$91.25B$243.60B$108.97B$157.99B$182.79B$148.52B$151.81B
AOCI $548.22B$447.81B$459.98B$318.45B$127.97B$-38.14B$-26.11B$-29.05B$-59.36B$33.65B$44.98B$143.74B
Stockholders' Equity $3.71T$3.47T$3.35T$3.15T$2.91T$2.69T$2.65T$2.63T$2.75T$2.79T$2.70T$2.71T
Liabilities + Equity $62.65T$56.80T$55.15T$47.77T$43.41T$42.52T$44.00T$40.97T$40.34T$42.85T$41.09T$41.78T
Shares Outstanding 2,901,337,2242,956,210,9652,970,755,1603,003,679,3243,017,804,0123,063,155,4343,038,587,4933,310,800,7993,392,937,4863,528,429,4513,608,391,9993,598,865,213
Cash Flow 17
Metric Trend 202620252024202320222021202020192018201720162015
D&A $68.27B$61.65B$61.34B$61.42B$59.52B$63.85B$63.58B$57.92B$71.58B$70.93B$79.39B$78.88B
Stock-based Comp $40.84B$38.58B$35.58B$35.22B$27.94B$28.25B$12.69B$21.81B$9.65B$8.96B$16.89B$19.36B
Deferred Tax $8.35B$11.56B$-312M$6.14B$3.11B$-21.11B$-23.91B$21.57B$60.26B$22.53B$-58.86B$26.49B
Amort. of Intangibles $4.85B$2.55B$2.48B$1.59B$1.72B$2.30B$1.66B$2.50B$3.32B$4.54B$5.18B$4.98B
Operating Cash Flow $-842.96B$-678.61B$132.64B$-694.82B$-862.83B$667.61B$-15.94B$-361.17B$-445.69B$1.30T$1.24T$-77.03B
CapEx $353.82B$189.97B$145.78B$171.16B$111.33B$119.88B$206.75B$319.09B$285.16B$312.88B$324.72B$209.47B
Investing Cash Flow $-1.50T$-848.65B$-887.94B$-233.22B$-593.18B$257.93B$216.34B$-112.50B$-56.17B$-118.05B$-23.71B$12.34B
Debt Issued $4.61T$4.33T$3.06T$2.21T$3.89T$2.06T$2.36T$2.14T$2.31T$1.53T$3.02T$2.97T
Net Debt Issued $1.44T$1.02T$962.94B$1.09T$1.22T$-970M$-38.36B$516.70B$349.95B$-876.74B$95.89B$-193.84B
Stock Repurchased $101.50B$59.01B$61.03B$24.73B$39.65B$11M$150.01B$51.71B$109.10B$61.34B$20.00B$104.05B
Net Stock Activity $-101.50B$-59.01B$-61.03B$-24.73B$-39.65B$-11M$-150.01B$-51.71B$-109.10B$-61.34B$-20.00B$-104.05B
Dividends Paid $179.74B$112.54B$60.16B$57.26B$70.71B$76.36B$58.42B$47.48B$70.20B$42.83B$82.78B$55.32B
Financing Cash Flow $2.10T$1.68T$1.01T$1.28T$1.11T$-668.73B$332.06B$761.19B$373.17B$-2.13T$986.39B$-178.21B
Net Change in Cash $-106.72B$126.42B$478.17B$504.44B$-193.60B$317.70B$505.18B$332.26B$-182.20B$-939.45B$2.16T$-174.38B
Taxes Paid $118.85B$93.92B$26.05B$94.26B$114.62B$35.67B$55.59B$27.20B$49.45B$47.48B$118.58B$34.36B
Free Cash Flow $-1.20T$-868.58B$-13.14B$-865.99B$-1.48T$545.89B$-222.69B$-680.25B$-730.86B$992.14B$913.65B$-286.50B
Levered FCF $-2.98T$-2.96T$-1.73T$-1.65T$-1.63T$399.60B$-816.10B$-2.74T$-1.05T$759.08B$626.04B$-490.50B
Profitability 4
Metric Trend 202620252024202320222021202020192018201720162015
Net Margin 7.6%7.2%4.0%3.7%9.0%9.5%11.1%-5.5%11.1%14.0%7.6%11.6%
Pretax Margin 11.2%10.0%6.8%7.2%13.9%13.6%13.8%-1.7%16.5%18.4%10.8%16.7%
ROA 0.61%0.61%0.32%0.20%0.33%0.35%0.51%-0.25%0.53%0.57%0.32%0.53%
ROE 10.1%10.0%5.1%3.1%5.1%5.7%8.2%-3.7%7.9%8.7%4.9%8.6%
Liquidity & Solvency 1
Metric Trend 202620252024202320222021202020192018201720162015
Debt / Equity 0.50.30.30.30.40.50.60.30.30.20.20.2
Efficiency 1
Metric Trend 202620252024202320222021202020192018201720162015
Asset Turnover 0.10.10.10.10.00.00.00.00.00.00.00.0
Per Share 5
Metric Trend 202620252024202320222021202020192018201720162015
Book Value / Share $1277.99$1174.10$1127.72$1048.24$965.80$879.79$873.26$794.69$810.31$790.70$748.32$752.40
Revenue / Share $0.00$0.00$0.00$0.00$0.00$0.00$0.00$546.24$556.54$470.30$465.65$515.69
Cash Flow / Share $-0.00$-0.00$0.00$-0.00$-0.00$0.00$0.00$-107.50$-125.77$357.76$334.66$-20.58
Cash / Share $1481.62$1496.67$1427.03$1272.00$1098.89$1145.80$1050.45$811.48$693.98$718.97$963.38$365.51
EPS (TTM) $118.99$111.03$52.69$29.74$45.23$48.63$66.20$-29.92$61.88$65.65$35.52$60.03
Valuation (TTM) 16
Metric Trend 202620252024202320222021202020192018201720162015
Revenue TTM $4.76T$4.74T$4.16T$2.49T$1.59T$1.62T$1.95T$1.84T$1.97T$1.72T$1.72T$1.93T
Net Income TTM $362.13B$340.74B$165.86B$92.79B$143.00B$153.12B$217.00B$-100.44B$219.34B$239.62B$131.55B$224.78B
Market Cap $22.89B$18.18B$19.07B$11.41B$12.74B$16.42B$12.97B$11.89B$19.85B$22.12B$16.02B$21.13B
Enterprise Value $-2.52T$-3.29T$-3.17T$-2.80T$-2.25T$-2.13T$-1.69T$-1.83T$-1.59T$-1.97T$-2.80T$-632.03B
P/E 0.10.10.10.10.10.10.1-0.10.10.10.10.1
P/S 0.00.00.00.00.00.00.00.00.00.00.00.0
P/B 0.00.00.00.00.00.00.00.00.00.00.00.0
P / Tangible Book 0.00.00.00.00.00.0······
P / Cash Flow -0.0-0.00.1-0.0-0.00.0-0.8-0.0-0.00.00.0-0.3
P / FCF -0.0-0.0-1.5-0.0-0.00.0-0.1-0.0-0.00.00.0-0.1
EV / FCF 2.13.8240.83.21.5-3.97.62.72.2-2.0-3.12.2
EV / Revenue -0.5-0.7-0.8-1.1-1.4-1.3-0.9-1.0-0.8-1.1-1.6-0.3
Dividend Yield 785.2%619.0%315.4%501.7%555.3%465.1%450.2%399.4%353.7%193.6%516.7%261.9%
Earnings Yield 1508.1%1805.4%820.7%782.6%1071.8%907.3%1550.4%-833.4%1057.8%1047.0%800.0%1022.7%
Payout Ratio 49.6%33.0%36.3%61.7%49.5%49.9%26.9%-47.3%32.0%17.9%62.9%24.6%
Annual Payout $179.74B$112.54B$60.16B$57.26B$70.71B$76.36B$58.42B$47.48B$70.20B$42.83B$82.78B$55.32B

Most recent period on the left · null values shown as ·

Financial Statements Income statement, balance sheet, cash flow — annual, last 5 years

16
Metric 2026-03-312025-03-312024-03-312023-03-312022-03-31
Revenue $4.76T $4.74T $4.16T $2.49T $1.59T
Net Income $362.13B $340.74B $165.86B $92.79B $143.00B
Diluted EPS $118.99 $111.03 $52.69 $29.74 $45.23

Institutional owners (13F) 313 filers · $773.6M total · As of Sept. 30, 2026

17

Institutions that report holding this stock in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Holders 313
Value held $773.6M
New positions 53
Exited positions 26
Institutional activity — Q2 2026 vs prior quarter
New positions Exited positions Increased Decreased Net shares change
53 (+3 vs prior Q) 26 (+4 vs prior Q) 152 (+12 vs prior Q) 53 (0 vs prior Q) +3.4M

Compared to Q1 2026. SEC Form 13F filings are due within 45 days of quarter-end plus a short buffer for late filers — quarters still inside that window are skipped in favor of the most recent fully-reported pair.

Institution Value Shares % of tracked 13F Type
Fisher Asset Management, LLC $115,574,821 13,163,419 14.94% Shares
DONALD SMITH & CO., INC. $107,214,766 12,211,249 13.86% Shares
MORGAN STANLEY $94,917,318 10,810,627 12.27% Shares
BlackRock, Inc. $58,268,346 6,636,486 7.53% Shares
GOLDMAN SACHS GROUP INC $49,735,057 5,664,585 6.43% Shares
FMR LLC $31,074,644 3,539,254 4.02% Shares
Quantinno Capital Management LP $28,364,959 3,230,633 3.67% Shares
DIMENSIONAL FUND ADVISORS LP $27,935,551 3,181,726 3.61% Shares
NORTHERN TRUST CORP $22,706,389 2,586,149 2.94% Shares
RENAISSANCE TECHNOLOGIES LLC $17,112,545 1,949,037 2.21% Shares
Qube Research & Technologies Ltd $15,693,855 1,787,455 2.03% Shares
MILLENNIUM MANAGEMENT LLC $11,098,868 1,264,108 1.43% Shares
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP $10,033,178 1,142,731 1.30% Shares
AQR CAPITAL MANAGEMENT LLC $9,770,120 1,112,770 1.26% Shares
Ethic Inc. $9,151,862 1,042,353 1.18% Shares
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $8,304,651 945,860 1.07% Shares
Creative Planning $7,269,829 827,999 0.94% Shares
Trexquant Investment LP $5,836,663 664,768 0.75% Shares
JANE STREET GROUP, LLC $5,782,534 658,603 0.75% Shares
Gradient Investments LLC $5,607,883 638,711 0.72% Shares
JPMORGAN CHASE & CO $5,587,347 637,097 0.72% Shares
Carrera Capital Advisors $5,205,698 592,904 0.67% Shares
O'SHAUGHNESSY ASSET MANAGEMENT, LLC $4,484,473 510,760 0.58% Shares
Mariner, LLC $4,054,514 461,801 0.52% Shares
RAYMOND JAMES FINANCIAL INC $3,369,819 383,806 0.44% Shares
Vanguard Personalized Indexing Management, LLC $3,289,945 374,709 0.43% Shares
Russell Investments Group, Ltd. $3,022,659 344,267 0.39% Shares
MARSHALL WACE, LLP $2,923,617 332,986 0.38% Shares
Cerity Partners LLC $2,807,881 319,803 0.36% Shares
Vident Advisory, LLC $2,659,731 302,931 0.34% Shares
QUADRANT CAPITAL GROUP LLC $2,532,486 288,438 0.33% Shares
WELLS FARGO & COMPANY/MN $2,402,104 273,588 0.31% Shares
TWO SIGMA INVESTMENTS, LP $2,382,848 271,395 0.31% Shares
Bank of New York Mellon Corp $2,256,770 257,035 0.29% Shares
Pathstone Holdings, LLC $2,228,268 253,790 0.29% Shares
ASSETMARK, INC $2,099,723 239,148 0.27% Shares
UBS Group AG $1,963,261 223,606 0.25% Shares
XTX Topco Ltd $1,955,113 222,678 0.25% Shares
PNC Financial Services Group, Inc. $1,897,191 216,081 0.25% Shares
BANK OF AMERICA CORP /DE/ $1,812,605 206,447 0.23% Shares
Laird Norton Wetherby Trust Company, LLC $1,682,415 191,619 0.22% Shares
Aquatic Capital Management LLC $1,623,202 184,875 0.21% Shares
Crossmark Global Holdings, Inc. $1,553,524 176,939 0.20% Shares
Callan Family Office, LLC $1,524,146 173,593 0.20% Shares
IEQ CAPITAL, LLC $1,512,579 172,275 0.20% Shares
MERCER GLOBAL ADVISORS INC /ADV $1,454,673 165,680 0.19% Shares
Vise Technologies, Inc. $1,351,654 153,947 0.17% Shares
EVERGREEN CAPITAL MANAGEMENT LLC $1,226,391 139,680 0.16% Shares
US BANCORP \DE\ $1,203,976 137,127 0.16% Shares
Focus Partners Wealth $1,200,855 136,771 0.16% Shares

Show all 313 institutional owners →

Company insiders 19 insiders · 16 officers · 4 directors

19
Insider Role Last activity Shares owned Buys 12m Sells 12m Net 12m
Kentaro Okuda Representative Executive Officer, President and Group CEO May 25, 2026 A 529,192 0 0 $0
Hiroyuki Moriuchi Executive Officer, CFO (Chief Financial Officer) May 25, 2026 A 30,676 0 0 $0
Yutaka Nakajima Representative Executive Officer and Deputy President May 25, 2026 A 682,743 0 0 $0
Toshiyasu Iiyama Executive Officer, Deputy President, Chief of Staff and Head of China Committee May 25, 2026 A 301,656 0 0 $0
Go Sugiyama Executive Officer, Deputy President, Head of Banking May 25, 2026 A 53,814 0 0 $0
Christopher Paul Willcox Executive Officer, Deputy President, Head of Wholesale and Chairman of Investment Management May 25, 2026 A 14,586 0 0 $0
Akihito Tobari Head of Wealth Management Sept. 25, 2026 A 94 0 0 $0
Akio Hori CIO (Chief Information Officer) Sept. 25, 2026 A 79 0 0 $0
Yukiko Ozaki CHRO (Chief Human Resources Officer) and CHO (Chief Health Officer) Sept. 25, 2026 A 81 1 0 $64
Hiroyasu Koike Head of Investment Management Sept. 25, 2026 A 261 0 0 $0
Takumi Kitamura Executive Officer, CTO (Chief Transformation Officer) May 25, 2026 A 144,534 0 0 $0
Takako Mori General Counsel and CCO (Chief Compliance Officer) May 25, 2026 A 22,925 0 0 $0
Masahiro Goto Head of Executive Management Headquarters May 25, 2026 A 243,374 0 0 $0
Yuko Horiuchi Group Finance May 25, 2026 A 18,448 0 0 $0
Naotaka Minami Chief Strategy Officer (CSO) May 25, 2026 A 29,078 0 0 $0
Sotaro Kato Executive Officer, CRO (Chief Risk Officer) May 25, 2026 A 62,774 0 0 $0
Shoji Ogawa Director Sept. 25, 2026 A 204 1 0 $1,916
Masahiro Ishizuka Director Sept. 25, 2026 A 264 1 0 $1,916
Koji Nagai Director June 25, 2026 A 0 0 0 $0

Insiders from SEC Form 3/4/5 filings; net = open-market P/S only

ETF ownership Held by 7 ETFs

20

Weight reflects direct equity holdings (N-PORT) only; leveraged or derivative-based funds may hold additional swap exposure not shown.

Fund Weight Units As of Source
GENW · Spinnaker ETF Series 2.55% 13,473 NS July 31, 2026 N-PORT
DFIV · Dimensional ETF Trust 0.04% 880,157 NS July 31, 2026 N-PORT
DFAI · Dimensional ETF Trust 0.04% 697,400 NS July 31, 2026 N-PORT
DXIV · Dimensional ETF Trust 0.04% 7,900 NS July 31, 2026 N-PORT
DFIC · Dimensional ETF Trust 0.03% 464,737 NS July 31, 2026 N-PORT
DFSI · Dimensional ETF Trust 0.03% 34,860 NS July 31, 2026 N-PORT
DFAX · Dimensional ETF Trust 0.02% 246,048 NS July 31, 2026 N-PORT

NMR Analyst Consensus Bullish and bearish analyst opinions, 12-month price target, upside

21
rating · 13 analysts BUY
Median target $11.22 +15.3%
2 15.4% Strong Buy
6 46.2% Buy
5 38.5% Hold
0 0.0% Sell
0 0.0% Strong Sell

12-Month Price Target

1 analysts · 2026-09-30

Mean target $11.22 +15.3%

Low$11.22 Mean$11.22 High$11.22

My Metrics Your personal watchlist — selected rows from Full Fundamentals

26

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Source: SEC 20-F filed Jun 22, 2026