Description
SWOT ANALYSIS OF NOMURA HOLDINGS

Nomura Holdings

Parent Company

Nomura Group

Category

Investment Services

Sector

Banking and Financial Services

Tagline/ Slogan

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Placing clients at the heart of everything we do and ensuring Nomura is USP fit for future

STP

Investment and merchant banking, asset management, security Segment brokerage

Institutional and individual investors , corporations, financial institutions, Target Group governments and governmental agencies

Sustainable development through core business and corporate activities Positioning to make the world a better place for future generations

SWOT Analysis

1.Strong presence in Japan along with operations at 270+ sites in approx 40 countries 2. High research capability with research hubs in Asia-Pacific markets 3.Member of Dow Jones Sustainability Indexes, FTSE4Good Index and MS-SRI index 4. Efficiency in management improved margins Strength 5. Strong brand name and expertise workforce

1.Majority of revenue generation from Japan 2.Over dependence on one region puts the group at competitive disadvantage 3.Negative message to stakeholders due to business improvement order Weakness served by Japan’s Financial Services Agency

1.Customized services to satisfy the increasingly diverse needs of clients 2.Leverage the extensive network with initiatives in healthcare and agriculture 3.Enhance the global presence Opportunity 4.CAGR of global asset management industry expected to be around 4%

during the period 2011-2016

1.Retail investors in Japan face an increasingly uncertain environment 2. Japan’s fiscal problem, dwindling birthrate, aging population pose serious structural challenges 3. Prolonged European sovereign debt crisis 4.Intense competition in Japanese financial industry can reduce market share Threats 5. Increasing regulatory challenges

Competition

1.Citigroup Inc. 2.Credit Suisse Group Competitors 3.Daiwa Securities Group Inc



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