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Nomura suffers unexpectedly big profit slump on market headwinds

By Makiko Yamazaki TOKYO (Reuters) -Nomura Holdings Inc, Japan's biggest brokerage and investment bank, on Wednesday suffered a worse-than-expected slump in first-quarter net...
Nomura suffers unexpectedly big profit slump on market headwinds © Reuters. FILE PHOTO: A Nomura logo is pictured at the Japanese company's office in the Manhattan borough of New York City, New York, U.S. June 23, 2017. REUTERS/Carlo Allegri/File Photo

By Makiko Yamazaki

TOKYO (Reuters) -Nomura Holdings Inc, Japan's biggest brokerage and investment bank, on Wednesday suffered a worse-than-expected slump in first-quarter net profit as volatile financial markets battered its investment banking and asset management businesses.

The downbeat performance comes despite Nomura's efforts in the last few years to change its earnings structure to be less vulnerable to market swings, by diversifying its portfolio and increasing advisory services.

"We've had tough earnings," Chief Financial Officer Takumi Kitamura said at a briefing. "But we are confident in our current strategy. We are heading in the right direction."

April-June profit tumbled 96.5% from a year earlier to 1.696 billion yen ($12.73 million), missing a 22.59 billion yen average of two analyst estimates compiled by Refinitiv.

It was the worst quarterly earnings for Nomura in more than a year, since it slipped into a net loss due to collapsed investment fund Archegos in early 2021.

As fears of slowing global economic growth sent financial markets into a tailspin, Nomura's investment management business logged an 11.7 billion yen loss on portfolio writedowns, while profit for its retail business dropped 74% from the third-quarter.

Investment banking revenue fell 33% from a year earlier as aggressive U.S. Federal Reserve interest rate rises and geopolitical tension rattled global financial markets and turned businesses cautious about stock and debt offerings.

Companies' reduced appetite for deals sapped momentum in the merger-and-acquisition advisory business, which had been a growth driver for investment banking since Nomura bought Greentech, an M&A adviser in clean technology, in 2020.

But Kitamura said at the briefing that advisory fees remained at relatively high levels above 10 billion yen and that deal pipelines have been strong.

One bright spot was fixed-income trading, which benefited from higher volume as market volatility led investors to rebalance their portfolios. Overall net revenue from trading jumped 80%.

($1 = 133.1900 yen)

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    EUR/USD 1.0195 Neutral  
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    USD/JPY 134.95 Sell  
    AUD/USD 0.6973 ↑ Sell  
    USD/CAD 1.2859 ↑ Buy  
    EUR/JPY 137.57 Neutral  
    EUR/CHF 0.9736 ↑ Buy  
    Gold 1,802.25 ↑ Buy  
    Silver 20.683 ↑ Buy  
    Copper 3.5817 Sell  
    Crude Oil WTI 90.88 ↑ Buy  
    Brent Oil 96.71 ↑ Buy  
    Natural Gas 7.671 ↑ Sell  
    US Coffee C 211.38 ↑ Sell  
    Euro Stoxx 50 3,757.22 ↑ Sell  
    S&P 500 4,140.06 ↑ Sell  
    DAX 13,723.36 Neutral  
    FTSE 100 7,482.37 ↑ Sell  
    Hang Seng 20,113.00 ↑ Sell  
    Small Cap 2000 1,941.21 ↑ Buy  
    IBEX 35 8,272.50 ↑ Sell  
    BASF 44.800 Neutral  
    Bayer 52.95 ↑ Buy  
    Allianz 177.84 Neutral  
    Adidas 175.10 ↑ Buy  
    Lufthansa 6.751 Buy  
    Siemens AG 109.40 ↑ Buy  
    Deutsche Bank AG 8.799 ↑ Sell  
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