Nomura Holdings (NMR) discloses $85,358,323,156 in 13F positions across 2,655 holdings
Rhea-AI Filing Summary
Nomura Holdings Inc submitted a Form 13F combination report as an institutional investment manager, detailing 2,655 reportable positions with an aggregate reported value of $85,358,323,156. The report covers positions where Nomura and certain subsidiaries exercise investment discretion, while Nomura Asset Management International Inc. and its subsidiaries report separately due to information barriers. The report also identifies 4 other included Nomura-affiliated managers whose positions are consolidated in this summary.
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Key Figures
13F Information Table Value Total: $85,358,323,156
13F Information Table Entry Total: 2,655
Other Included Managers: 4
3 metrics
13F Information Table Value Total
$85,358,323,156
Aggregate value of reportable Section 13(f) securities, rounded to nearest dollar
13F Information Table Entry Total
2,655
Number of individual reportable positions in the 13F information table
Other Included Managers
4
Number of Nomura-affiliated managers whose holdings are consolidated in this report
Key Terms
Form 13F, 13F COMBINATION REPORT, investment discretion, information barriers
4 terms
Form 13F regulatory
"Form 13F Information Table Value Total: 85,358,323,156"
A Form 13F is a quarterly filing that large investment managers must submit to disclose their holdings in publicly traded stocks and certain other securities. It acts like a peek into the portfolios of big investors, helping other market participants see what large players are buying or selling and offering clues about investment trends, crowded trades, and potential market impact.
13F COMBINATION REPORT regulatory
"X | 13F COMBINATION REPORT. (Check here if a portion"
investment discretion financial
"subsidiaries that exercise investment discretion over Section 13(f)"
information barriers regulatory
"There are information barriers and procedures in place"
FAQ
What does Nomura Holdings Inc (NMR) report in this Form 13F?
Nomura Holdings Inc reports 2,655 Section 13(f) equity positions with a total reported value of $85,358,323,156. These positions reflect investment discretion exercised by Nomura and specified subsidiaries, excluding those managed by Nomura Asset Management International entities.
How large is Nomura Holdings Inc’s (NMR) reported 13F portfolio?
The reported 13F portfolio totals $85,358,323,156 across 2,655 positions. This figure represents the aggregate value of equity securities over which Nomura and certain subsidiaries have investment discretion, rounded to the nearest dollar as disclosed.
What type of Form 13F report did Nomura Holdings Inc (NMR) file?
Nomura Holdings Inc filed a 13F COMBINATION REPORT. Part of its reportable holdings is included in this report, while another portion is reported separately by other managers, including Nomura Asset Management International Inc.
Which other managers are included under Nomura Holdings Inc’s (NMR) 13F report?
The report lists 4 other included managers: Nomura Securities International Inc, Nomura International PLC, Nomura Securities Bermuda Ltd, and Nomura Global Financial Products Inc. Their eligible holdings are consolidated into Nomura’s Form 13F report totals.
How does Nomura Asset Management International Inc relate to Nomura Holdings Inc’s (NMR) 13F report?
Nomura Asset Management International Inc and its subsidiaries, collectively NAMI, exercise investment discretion independently behind information barriers. Their Section 13(f) positions are reported on a separate Form 13F from Nomura Holdings Inc and its non-NAMI subsidiaries.
AI-generated analysis. How Rhea-AI works. Not financial advice.