The Goldman Sachs Group, Inc. (GS) vs Nomura Holdings Inc ADR (NMR)

The Goldman Sachs Group, Inc. and Nomura Holdings Inc ADR are both Capital Markets companies. The Goldman Sachs Group, Inc. is the larger, with a market value of $269.9B against $28.6B — 9.5× the size. Nomura Holdings Inc ADR trades at the lower P/E: 10.3× against 14.3×. The Goldman Sachs Group, Inc. grew revenue faster over the last twelve months: 17.8% against 9.61%. The Goldman Sachs Group, Inc. has the higher net margin (30.3% vs 8.90%) and the higher return on invested capital (0.00% vs 0.00%). Both pay a dividend; The Goldman Sachs Group, Inc. yields more (2.96% vs 2.73%). Across the 20 metrics below, The Goldman Sachs Group, Inc. leads on 10 and Nomura Holdings Inc ADR on 10.

Valuation

Metric GS NMR Capital Markets median
P/E 14.25 10.27 15.78
P/S 4.24 0.89 2.32
P/B 2.56 1.17 1.89
Price to free cash flow n/m 5.49 6.25
EV/EBITDA 2.67 n/m 8.87
EV/Sales 1.14 (3.26) 2.28
Earnings yield 7.02% 9.74% (3.77%)
Free cash flow yield (14.57%) 18.20% (1.49%)

Profitability

Metric GS NMR Capital Markets median
Gross margin 100.00% 95.73% 62.80%
Operating margin 39.72% 73.13% 0.00%
Net margin 30.28% 8.90% (0.55%)
Free cash flow margin (61.77%) 0.00% 0.00%
Return on equity 18.34% 11.83% 0.00%
Return on assets 1.02% 0.71% 0.00%
Return on invested capital 0.00% 0.00% 0.00%

Growth

Metric GS NMR Capital Markets median
Revenue growth (TTM) 17.77% 9.61% 21.02%
EPS growth (last fiscal year) 26.59% 8.22% —
Revenue growth, 5-year CAGR 5.52% 15.62% 18.16%
Net income growth, 5-year CAGR 12.83% 10.68% 0.00%

Health

Metric GS NMR Capital Markets median
Debt to equity 2.83 8.06 0.08
Current ratio 0.63 2.00 1.51
Net debt to EBITDA (8.86) 1.52 (0.24)

Dividend

Metric GS NMR Capital Markets median
Dividend yield 2.96% 2.73% 2.20%
Payout ratio 0.43 0.00 0.00

Size

Metric GS NMR Capital Markets median
Market cap 269.89b 28.55b 724.58m

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