Nomura Inc.

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 undefined.
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