Nomura Holdings Inc. ADR (NYSE: NMR) is 20.55% higher on its value in year-to-date trading and has touched a low of $4.66 and a high of $6.62 in the current 52-week trading range. The question becomes, what are the chances the stock will continue to grow shareholders’ wealth in the market. Here’s what analysts think will happen to its price in the coming time. The NMR stock was last observed hovering at around $6.46 in the last trading session, with the day’s gains setting it 0.52%.
Currently trading at $6.98, the stock is 13.98% and 15.94% above its SMA20 and SMA50 respectively. However, with a daily trading volume of 1.6 million and changing 8.05% at the moment leaves the stock 20.93% off its SMA200. NMR registered 28.55% gain for a year compared to 6-month gain of 40.16%. The firm has a 50-day simple moving average (SMA 50) of $6.0 and a 200-day simple moving average (SMA200) of $5.7663.
The stock witnessed a 19.52% loss in the last 1 month and extending the period to 3 months gives it a 32.95%, and is 8.89% up over the last 5 days. If we measure the stock’s price variations over the week and the month, we find that the volatility rates stand at 2.26% over the week and 1.67% over the month.
Nomura Holdings Inc. ADR (NMR) has around 26850 employees, a market worth around $20.63B and $31.33B in sales. Current P/E ratio is 11.83 and Fwd P/E is 10.50. Profit margin for the company is 5.83%. Distance from 52-week low is 49.79% and 5.48% from its 52-week high. The company has generated returns on investments over the last 12 months (1.36%).
with sales reaching $451.2B over the same period.The EPS is expected to grow by 89.82% this year, but quarterly earnings will post 206.20% year-over-year.
The shares outstanding are 2.96B, and float is at 2.95B with Short Float at 0.01%.
The top institutional shareholder in the company is MORGAN STANLEY with over 9.65 million shares valued at $55.77 million. The investor’s holdings represent 0.3266 of the NMR Shares outstanding. As of 2024-06-30, the second largest holder is FISHER ASSET MANAGEMENT, LLC with 8.47 million shares valued at $48.94 million to account for 0.2866 of the shares outstanding. The other top investors are ARROWSTREET CAPITAL, LIMITED PARTNERSHIP which holds 5.83 million shares representing 0.1972 and valued at over $33.68 million, while GOLDMAN SACHS GROUP INC holds 0.1558 of the shares totaling 4.6 million with a market value of $26.61 million.