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Total Valuation
Nomura Research Institute has a market cap or net worth of ¥2.69T. The enterprise value is ¥2.78T.
Market Cap¥2.69T
Enterprise Value¥2.78T
Share Statistics
Nomura Research Institute has 561,197,400 shares outstanding. The number of shares has decreased by -2.65% in one year.
Shares Outstanding561,197,400
Owned by Insiders―
Owned by Institutions―
Financial Efficiency
Nomura Research Institute’s return on equity (ROE) is 0.22 and return on invested capital (ROIC) is 12.52%.
Return on Equity (ROE)0.22
Return on Assets (ROA)0.10
Return on Invested Capital (ROIC)12.52%
Return on Capital Employed (ROCE)0.19
Revenue Per Employee45.37M
Profits Per Employee5.56M
Employee Count16,857
Asset Turnover0.82
Inventory Turnover0.00
Valuation Ratios
The current PE Ratio of Nomura Research Institute is 191.5. Nomura Research Institute’s PEG ratio is -1.94.
PE Ratio191.5
PS Ratio3.05
PB Ratio5.72
Price to Fair Value6.39
Price to FCF17.51
Price to Operating Cash Flow―
PEG Ratio-1.94
Income Statement
In the last 12 months, Nomura Research Institute had revenue of 764.81B and earned 93.76B in profits. Earnings per share was 163.56.
Revenue764.81B
Gross Profit275.30B
Operating Income131.22B
Pretax Income134.16B
Net Income93.76B
EBITDA182.74B
Earnings Per Share (EPS)163.56
Cash Flow
In the last 12 months, operating cash flow was 147.25B and capital expenditures -5.48B, giving a free cash flow of 141.77B billion.
Operating Cash Flow147.25B
Free Cash Flow141.77B
Free Cash Flow per Share252.62
Dividends & Yields
Nomura Research Institute pays an annual dividend of ¥42, resulting in a dividend yield of 1.14%
Dividend Per Share¥42
Dividend Yield1.14%
Payout Ratio38.84%
Free Cash Flow Yield―
Earnings Yield―
Stock Price Statistics
Beta0.46
52-Week Price Change-5.84%
50-Day Moving Average4.60K
200-Day Moving Average5.13K
Relative Strength Index (RSI)64.70
Average Volume (3m)1.18M
Important Dates
Nomura Research Institute upcoming earnings date is Jul 23, 2026, TBA (Confirmed).
Last Earnings DateApr 24, 2026
Next Earnings DateJul 23, 2026
Ex-Dividend Date―
Financial Position
Nomura Research Institute as a current ratio of 1.75, with Debt / Equity ratio of ―
Current Ratio1.75
Quick Ratio1.75
Debt to Market Cap0.09
Net Debt to EBITDA0.56
Interest Coverage Ratio22.61
Taxes
In the past 12 months, Nomura Research Institute has paid 39.78B in taxes.
Income Tax39.78B
Effective Tax Rate0.30
Enterprise Valuation
Nomura Research Institute EV to EBITDA ratio is 15.73, with an EV/FCF ratio of 23.27.
EV to Sales3.76
EV to EBITDA15.73
EV to Free Cash Flow23.27
EV to Operating Cash Flow22.08
Balance Sheet
Nomura Research Institute has ¥176.28B in cash and marketable securities with ¥236.13B in debt, giving a net cash position of -¥88.92B billion.
Cash & Marketable Securities¥176.28B
Total Debt¥236.13B
Net Cash-¥88.92B
Net Cash Per Share-¥158.45
Tangible Book Value Per Share¥296.09
Margins
Gross margin is ―, with operating margin of 17.16%, and net profit margin of 12.26%.
Gross Margin―
Operating Margin17.16%
Pretax Margin17.54%
Net Profit Margin12.26%
EBITDA Margin23.89%
EBIT Margin17.50%
Analyst Forecast
The average price target for Nomura Research Institute is ―, which is 11.43% higher than the current price. The consensus rating is ―
Price Target―
Price Target Upside―
Analyst Consensus―
Analyst Count0
Revenue Growth Forecast6.52%
EPS Growth Forecast-83.55%