NMR-Nomura Holdings Stock Research, Ratings, and Analysis

Nomura Holdings (nmr) Stock Research

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Long Term Rating Stock Ratings Help


SWOT Statistics nmr SWOT Analysis

Strengths + Opportunities = 2

Threats + Weaknesses = 1

Add your knowledge to the Nomura Holdings SWOT analysis.

Generic Strategy nmr Generic Strategy

Narrow Scope

Broad Scope



Low Cost

Generic strategies categorize companies by the scope and the strength of their business. Nomura Holdings does not have a definable strategy, therefore, it risks losing out to firms that concentrate on one particular competitive advantage. (read more).

Company Description: Nomura Holdings, Inc. offers investment and financial services to a variety of clients internationally. Its Domestic Retail segment offers investment consultation services and maintenance services. The Global Markets segment engages in the sale and trading of bonds, stocks, and foreign exchange. The Global Investment Banking segment provides investment banking services. The Global Merchant Banking segment invests in private equity businesses. The Asset Management segment develops and manages investment trusts, and provides investment advisory services. Update

Market Research Update

Financial Industry Research & Analysis: The financial services industry includes companies whose sales come from the management of money for individuals and institutions. Financial services companies include banks, insurance companies, brokerage, wealth management, and credit card companies. Financial Trading Strategy: The financial industry is sensitive to economic cycles. However, financial service companies increase quickly out of recessions, because interest rates tend to be low. Look for undervalued financial investments during economic recessions when stock prices are low and sell financial investments during the late stages of a bull markets when stock prices are high. The global economy is currently in a recession, therefore, it is the perfect time to purchase financial investments. Upward sloping stock charts and financial news may indicate a selling opportunity while the opposite means that stocks are becoming undervalued.

Industry Sub Sector: . Nomura Holdings is a dominant industry leader due to its personnel, experience and financial strengths. Industry leaders are difficult to compete against, which decreases business and investor risks. The market is quickly expanding. This lowers the threat of direct competition and increases Nomura Holdings's profits.

Market Challenges: Opportunities: Solutions:

Strategy Analysis Update

Nomura Holdings's business strategy is to keep things simple. Clearly-defined strategies lower business risks by staying within their areas of expertise. Nomura Holdings possesses significant barriers to entry that slows competitive threats and increases profits. A culture that experiments produces better long term value. Nomura Holdings's experimentations yield new products and services that outpace competitive threats. Nomura Holdings's strategy is to continuously improve. This helps to fend against competitive threats and increases shareholder returns.

Strategy: Competitive Advantages:

Financial Analysis Update

Nomura Holdings has consistent operating results. This lowers the risk that Nomura Holdings will suddenly have difficulty and it increases investor confidence in the value they place on each share. Complicated financial statements lower Nomura Holdings's value, because it increases the risk of fraud and lowers investor confidence.

Current Revenue Sources: Future Revenue Sources: