Nomura Inc.

OTC: NRSCF · Real-Time Price · USD
7.29
0.58 (8.64%)
At close: Aug 14, 2025, 12:40 PM

Nomura Cash Flow Statement

Financials in JPY. Fiscal year is undefined.
Fiscal Year 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 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
Net Income
340.74B 325.52B 274.63B 211.82B 168.77B 120.62B 136.01B 117.17B 91.68B 112.51B 108.19B 96.93B 146.53B -36.15B 2.65B 66.09B 160.4B 276.41B 235.34B 306.78B
Depreciation & Amortization
n/a 15.93B 31.31B 46.35B 61.34B 60.4B 61.1B 61.37B 61.42B 61.06B 60.3B 59.93B 59.52B 62.77B 62.57B 63.15B 63.85B 62.52B 62.2B 62.42B
Stock-Based Compensation
n/a 51.51B 51.51B 51.51B 51.51B 46.76B 46.76B 46.76B 46.76B 32.51B 32.51B 32.51B 32.51B 36.29B 36.29B 36.29B 36.29B 17.57B 17.57B 17.57B
Other Working Capital
n/a 1,729.5B 410.17B 69.66B -342B -1,916.8B -588.6B -615.05B -966.31B -1,259.4B -2,048B -1,880.7B -1,238.5B -855.23B -1,024.6B -514.66B 509.22B -850.89B 488.89B -151.88B
Other Non-Cash Items
-340.74B -362.96B -376.09B -279.98B -215.58B -171.85B -85.24B -81.31B -75.02B -72.92B -42.27B -45.43B -91.44B 27.71B 21.33B 16.55B -12.58B -42.8B -41.36B -110.42B
Deferred Income Tax
n/a -1.68B 1.64B -1.92B -312M 245M -6.86B 4.64B 6.14B -2.88B 2.89B 5.45B 3.11B -28.07B -23.28B -42.86B -21.11B 12.96B 6.37B -5.2B
Change in Working Capital
n/a 1,875.3B 705.66B 200.87B 475.12B -1,444.7B -614.42B -395.31B -1,105.7B -1,481.4B -1,935.1B -1,362.3B -1,486.4B -961.91B -443.13B -357.13B 475.22B -77.02B 576.85B -11.93B
Operating Cash Flow
n/a 1,967.9B 871.68B 411.68B 723.87B -1,269.7B -462.66B -246.69B -974.75B -1,383.7B -1,806B -1,245.5B -1,368.7B -935.65B -379.86B -254.19B 665.77B 232.08B 839.4B 241.65B
Capital Expenditures
n/a -28.23B -92.98B -124.16B -145.78B -144.13B -168B -169.37B -171.16B -183.59B -115.46B -95.83B -111.33B -114.41B -119.91B -141.34B -119.88B -101.81B -169.54B -174.77B
Cash Acquisitions
n/a 40.61B 69.61B 69.6B 69.16B 44.57B 65.25B 80.71B 91.02B 110.94B 77.98B 61.94B 77.33B 20.89B 15.31B 4.75B -31.67B -13.64B -24.79B -13.64B
Purchase of Investments
n/a -63.2B -668.1B -654.8B -668.11B -362.84B 241.95B -785.84B -1,018.2B -1,266.7B -1,293.5B 358.72B -460.52B -454.4B -427.44B -1,065.2B -9.95B -5.16B -1.8B -1.8B
Sales Maturities Of Investments
n/a -1,575.5B 310.42B 312.83B 322.7B 1,937.6B 149.08B 176.69B 195.06B 157.65B 60.33B 20.86B 2.5B -2.39B -5.81B 26.23B 44.91B -104.01B -98.06B 22.08B
Other Investing Acitivies
n/a -763.27B -813.66B -847.88B -833.9B -351.58B -302.8B 714.85B 942.2B 1,221.8B 1,240.3B 225.33B 60.99B 41.44B -14.41B 7.53B -42.96B 152.31B 272.7B 359.92B
Investing Cash Flow
n/a -2,307.9B -1,113B -1,162.7B -1,174.2B 1,123.6B -14.51B 17.05B 38.95B 40.19B -47.12B -82.86B -45.3B -102.63B -140.43B -107.87B -139.03B -74.32B -15.71B 186.42B
Debt Repayment
n/a 391.88B 541.97B 1,148.2B 1,029.9B 1,003.8B 926.06B 565.39B 1,025.3B 1,107B 1,038.8B 1,037.2B 892.71B 445.27B 154.67B 16.28B -220.78B 248.37B 558.67B 615.23B
Common Stock Repurchased
n/a -41.02B -41.02B -61.03B -61.03B -20.01B -21.53B -1.52B -24.73B -24.73B -62.85B -62.86B -39.65B -39.65B -14M -13M -11M -32.3B -108.68B -150.01B
Dividend Paid
n/a n/a -24.11B -24.11B -60.16B -60.16B -51.06B -51.06B -57.26B -57.26B -67.02B -67.02B -70.72B -131.88B -168.28B -168.28B -137.52B -76.36B -63.68B -63.68B
Other Financial Acitivies
n/a 79.14B 294.3B 211.05B 156.17B 160.86B -31.21B 185.85B 340.63B 203.37B 369.18B 320.66B 288.36B 516.66B 340.37B 332.03B 88.38B -31.37B -74.54B -94.22B
Financial Cash Flow
n/a 107.13B 388.39B 891.38B 682.16B 1,032.3B 830.03B 706.42B 1,291.7B 1,228.4B 1,278.1B 1,228B 1,070.7B 790.41B 326.75B 180.03B -269.93B 108.35B 311.91B 307.46B
Net Cash Flow
-4,299B -4,396.7B -4,164.7B -4,111.3B 418.73B 941.27B 429.55B 574.7B 504.44B 128.38B -160.52B 246.12B -193.6B -100.1B -105.7B -124.52B 317.7B 215.12B 1,117.3B 732.28B
Free Cash Flow
n/a 1,939.6B 778.7B 287.52B 578.09B -1,413.8B -630.66B -416.06B -1,145.9B -1,567.3B -1,921.4B -1,341.3B -1,480B -1,050.1B -499.77B -395.53B 545.89B 130.27B 669.87B 66.87B