Nomura Holdings, Inc. TSE:8604
Nomura Announces Consolidated Regulatory Capital and Liquidity Coverage Ratios
Source: MarketScreener
Nomura Holdings, Inc. (Nomura) today announced the following summary of the consolidated capital adequacy ratios, consolidated leverage ratio, and External TLAC ratios for the period ended December 31, 2025.
For further information on consolidated regulatory capital requirements applicable to Nomura, see 'Item 5.B Liquidity and Capital Resources-Consolidated Regulatory Capital Requirements' in Nomura's most recent annual report on Form 20-F filed with the Commission. The report can be accessed via Nomura's website at:
SEC Filings
Nomura's website does not form a part of, nor is it incorporated by reference into this news release.
The following table presents Nomura's consolidated capital adequacy ratios, consolidated leverage ratio, and External TLAC ratios as of December 31, 2025:
Billions of yen, except ratios
Dec 31, 2025
Common equity Tier 1 capital 3,132.7
Tier 1 capital 3,670.3
Total capital 3,857.9
Risk-Weighted Assets
Credit risk-weighted assets 13,473.6
Market risk equivalent assets 6,735.3
Operational risk equivalent assets 3,749.9
Total risk-weighted assets 23,959.0
Consolidated Capital Adequacy Ratios
Common equity Tier 1 capital ratio 13.07%
Tier 1 capital ratio 15.31%
Consolidated capital adequacy ratio 16.10%
Consolidated Leverage Ratio 5.03%
External TLAC Ratios
Risk-weighted assets basis 27.23%
Leverage ratio exposure measure basis 10.01%
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