Nomura Inc. (NRSCF)
OTC: NRSCF
· Real-Time Price · USD
7.29
0.58 (8.64%)
At close: Aug 14, 2025, 12:40 PM
7.29
0.00%
After-hours: Aug 14, 2025, 12:40 PM EDT
Nomura Balance Sheet Statement
Financials in JPY. Fiscal
year is
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Fiscal Year | Q1 2026 | Q4 2025 | Q3 2025 | Q2 2025 | Q1 2025 | Q4 2024 | Q3 2024 | Q2 2024 | Q1 2024 | Q4 2023 | Q3 2023 | Q2 2023 | Q1 2023 | Q4 2022 | Q3 2022 | Q2 2022 | Q1 2022 | Q4 2021 | Q3 2021 | Q2 2021 | Q1 2021 |
Period Ending | Jun 30, 2025 | Mar 31, 2025 | Dec 31, 2024 | Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 | Dec 31, 2020 | Sep 30, 2020 | Jun 30, 2020 |
Cash & Equivalents | 6,047.8B | 5,514.7B | 5,574.5B | 4,827.1B | 4,806.3B | 4,239.4B | 5,112.1B | 4,876.8B | 4,759.7B | 4,521.2B | 4,109.7B | 4,406.1B | 4,193.5B | 3,637B | 3,914.4B | 4,491.4B | 3,895.5B | 4,164.7B | 3,927.1B | 4,524.7B | 4,089.4B |
Short-Term Investments | n/a | n/a | n/a | n/a | -23,432.8B | 545.84B | 489.29B | 454.86B | 381.11B | 409.08B | 401.03B | 346.65B | 292.02B | 320.75B | 340.96B | 342.78B | 345.72B | n/a | n/a | n/a | n/a |
Long-Term Investments | 7,447.9B | 7,559.5B | 24,883.4B | 23,041.9B | 24,014.2B | 13,959.5B | 21,151.2B | 20,579.2B | 14,275.7B | 18,446.8B | 13,111B | 14,425B | 13,326.2B | 16,278.9B | 12,796.8B | 12,210.1B | 11,588.2B | 16,656B | 12,006.9B | 11,326.6B | 11,868.1B |
Other Long-Term Assets | 42,834.3B | 41,524B | 28,039B | -23,486.2B | -24,465.6B | 35,521.1B | -21,618B | -21,042.1B | -20.86B | -22.64B | -16.47B | -20.57B | -19.59B | -15.56B | -28.43B | -28.61B | -25.77B | -17,149.5B | -12,493.2B | -11,821.8B | -12,331.2B |
Receivables | 1,356.1B | 1,641B | 1,563.4B | 1,479.6B | n/a | 1,683.5B | 1,510.6B | 1,393B | 1,455.5B | 1,199.2B | 2,034.9B | 2,064.1B | 1,710.3B | 1,487.3B | 1,266.3B | 1,245.1B | 1,461.2B | 1,199B | 1,173.5B | 1,389.6B | 1,486.1B |
Inventory | n/a | n/a | n/a | n/a | n/a | n/a | 11,290.8B | 10,671.8B | 10,026.3B | 9,437B | 9,297.9B | 9,987.4B | 9,465B | 8,637.7B | 8,180.6B | 8,508.2B | 7,845.7B | n/a | n/a | n/a | n/a |
Other Current Assets | n/a | n/a | n/a | -1,479.6B | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a |
Total Current Assets | 7,403.9B | 7,183.7B | 7,137.9B | 5,790.3B | 3,855.8B | 5,155B | 6,622.7B | 6,269.8B | 6,215.2B | 5,720.4B | 6,144.6B | 6,470.2B | 5,903.8B | 5,124.3B | 5,180.6B | 5,736.5B | 5,356.8B | 5,363.7B | 5,100.5B | 5,914.2B | 5,575.5B |
Property-Plant & Equipment | 414.97B | 436.45B | 469.49B | 444.33B | 451.33B | 448.79B | 466.8B | 462.87B | 460.05B | 464.32B | 445.34B | 430.68B | 432.33B | 419.05B | 433.68B | 460.05B | 466.52B | 464.45B | 458.6B | 466.37B | 433.11B |
Goodwill & Intangibles | n/a | 73.34B | n/a | 30.88B | n/a | 38.39B | 41.37B | 40.93B | 38.9B | 36.19B | 36.11B | 34.27B | 32.93B | 30.01B | 28.81B | 28.41B | 28.52B | 29.04B | 27.64B | 28.86B | 30.02B |
Total Long-Term Assets | 50,697.2B | 49,618.5B | 53,391.9B | 30.88B | 79,899.6B | 49,992B | 21,618B | 21,042.1B | 14,774.7B | 18,947.3B | 13,592.4B | 14,889.9B | 13,791.5B | 16,727.9B | 13,259.3B | 12,698.5B | 12,083.2B | 17,149.5B | 12,493.2B | 11,821.8B | 12,331.2B |
Total Assets | 58,101.1B | 56,802.2B | 60,529.8B | 57,458.6B | 59,741.1B | 55,147.2B | 54,752.7B | 54,815.3B | 52,493.2B | 47,771.8B | 49,242.4B | 51,532B | 48,903.3B | 43,412.2B | 45,215.4B | 43,346.6B | 41,830.2B | 42,516.5B | 44,592.2B | 42,684.4B | 41,545.4B |
Account Payables | 1,545.5B | 1,377.2B | 1,439.1B | 1,289.6B | 1,425.7B | 1,310.8B | 1,445.3B | 1,328.8B | 1,522.7B | 1,359.9B | 1,439.9B | 1,665.3B | 1,699.9B | 1,523B | 1,425.8B | 1,469B | 1,432.9B | 1,454.8B | 1,349.9B | 1,287B | 1,267B |
Deferred Revenue | n/a | n/a | n/a | n/a | n/a | 15,860.9B | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a | n/a |
Short-Term Debt | 16,700.1B | 17,405B | 992.25B | 18,826.6B | 1,186.2B | 19,464.7B | 874.63B | 1,065.1B | 827.32B | 1,008.5B | 1,079B | 1,273.7B | 1,338B | 1,050.1B | 1,042.8B | 1,188.8B | 1,500.3B | 1,368.1B | 1,335B | 1,346.4B | 1,392.4B |
Other Current Liabilities | 16,367.3B | 14,484.4B | -5,657.8B | 11,657.8B | -5,444.2B | -21,222.9B | -4,817.8B | -2,607.6B | -2,475.3B | -1,841.8B | -1,917B | -5,127.4B | -1,952.8B | -1,670.9B | -4,331B | -4,860.1B | -1,325.4B | -1,834B | -4,529.7B | -1,303.1B | -4,182.2B |
Total Current Liabilities | 34,612.9B | 33,817.7B | n/a | 34,815.9B | 5,444.2B | 18,318.2B | 2,319.9B | 2,393.9B | 2,350B | 2,368.5B | 2,518.9B | 2,939B | 3,037.9B | 2,573.1B | 2,468.6B | 2,657.8B | 2,933.3B | 2,822.9B | 2,684.9B | 2,633.4B | 2,659.4B |
Long-Term Debt | 14,270.2B | 13,767.1B | 14,416.7B | 13,454.8B | 13,585.5B | 12,845.3B | 12,095.3B | 11,733.4B | 11,318.8B | 10,733.5B | 10,135.8B | 10,421.5B | 9,940.1B | 9,654.6B | 9,332.6B | 9,076.7B | 8,537B | 8,367.5B | 8,259.2B | 8,416.3B | 8,196.5B |
Other Long-Term Liabilities | 5,629B | 5,348.4B | 42,438.1B | 5,521.5B | -13,585.5B | 18,813.9B | -12,282.1B | -11,933.7B | -11,519.9B | -10,927.4B | -10,324.7B | -10,623.4B | -9,940.1B | -9,852.7B | -9,332.6B | -9,076.7B | -8,537B | -8,574.4B | -8,259.2B | -8,416.3B | -8,196.5B |
Total Long-Term Liabilities | 19,899.2B | 19,403.4B | 56,854.7B | 19,246.3B | 13,938.7B | 31,849B | 12,095.3B | 11,733.4B | 11,519.9B | 10,733.5B | 10,324.7B | 10,623.4B | 9,940.1B | 9,654.6B | 9,332.6B | 9,076.7B | 8,537B | 8,367.5B | 8,259.2B | 8,416.3B | 8,196.5B |
Total Liabilities | 54,512.1B | 53,221.2B | 56,854.7B | 54,062.2B | 56,177.9B | 51,698.7B | 51,392.1B | 51,443B | 49,147.4B | 44,547.7B | 46,042.5B | 48,304.7B | 45,788.2B | 40,439.4B | 42,336.1B | 40,544.9B | 39,025.9B | 39,760B | 41,738.9B | 39,898.4B | 38,714.8B |
Total Debt | 30,970.4B | 31,346.3B | 15,408.9B | 32,449.9B | 33,422.4B | 33,126.5B | 12,970B | 12,798.5B | 12,347.2B | 11,742.1B | 11,403.7B | 11,897.1B | 11,278B | 10,704.7B | 10,375.4B | 10,265.5B | 10,037.3B | 9,735.6B | 9,594.2B | 9,762.7B | 9,588.9B |
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 | 594.49B | 594.49B | 594.49B | 594.49B | 594.49B | 594.49B | 594.49B | 594.49B | 594.49B |
Retained Earnings | 1,963.1B | 1,867.4B | 1,896B | 1,794.5B | 1,764.3B | 1,705.7B | 1,693.5B | 1,642.9B | 1,631.8B | 1,647B | 1,675.6B | 1,608.6B | 1,606.8B | 1,607B | 1,618.3B | 1,557.7B | 1,579.3B | 1,533.7B | 1,734.9B | 1,775.7B | 1,769.2B |
Comprehensive Income | 401.52B | 447.81B | 528.82B | 372.73B | 576.36B | 459.98B | 370.51B | 442.56B | 418.1B | 318.45B | 290.07B | 392.49B | 294.64B | 127.97B | 17.74B | -28.51B | -37.18B | -38.14B | -132.68B | -88.71B | -25.97B |
Shareholders Equity | 3,476B | 3,470.9B | 3,569.9B | 3,300.8B | 3,463B | 3,350.2B | 3,279.5B | 3,291.4B | 3,265.4B | 3,148.6B | 3,138.8B | 3,163B | 3,055.5B | 2,914.6B | 2,807.9B | 2,734.1B | 2,739.2B | 2,694.9B | 2,793.6B | 2,731.4B | 2,779.5B |
Total Investments | 7,447.9B | 7,559.5B | 24,883.4B | 23,041.9B | 581.48B | 545.84B | 21,151.2B | 20,579.2B | 14,275.7B | 18,446.8B | 13,111B | 14,425B | 13,326.2B | 16,278.9B | 12,796.8B | 12,210.1B | 11,588.2B | 16,656B | 12,006.9B | 11,326.6B | 11,868.1B |