New Big Money Means Nomura Holdings Inc. ADR (NMR) Investors Could Reap Benefit

Nomura Holdings Inc. ADR (NYSE: NMR) is -5.01% lower on its value in year-to-date trading and has touched a low of $4.66 and a high of $6.99 in the current 52-week trading range. The question becomes, what are the chances the stock will make a comeback and enjoy potential growth. Why not look at analysts view on what the future holds for the stock. The NMR stock was last observed hovering at around $5.52 in the last trading session, with the day’s loss setting it -0.02%.

Currently trading at $5.50, the stock is -0.04% and -7.76% below its SMA20 and SMA50 respectively. However, with a daily trading volume of 1.18 million and changing -0.36% at the moment leaves the stock -5.72% off its SMA200. NMR registered -5.50% loss for a year compared to 6-month loss of 4.76%.

The stock witnessed a 9.34% gain in the last 1 month and extending the period to 3 months gives it a -21.20%, and is -0.90% down 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 1.38% over the week and 2.98% over the month.

Nomura Holdings Inc. ADR (NMR) has around 26850 employees, a market worth around $16.26B and $31.08B in sales. Current P/E ratio is 7.53 and Fwd P/E is 7.73. Profit margin for the company is 7.21%. Distance from 52-week low is 18.03% and -21.32% from its 52-week high. The company has generated returns on investments over the last 12 months (1.99%).

The EPS is expected to shrink by -7.85% this year

The shares outstanding are 2.96B, and float is at 2.96B with Short Float at 0.03%.

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.

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