OMB APPROVAL ---------------------------- OMB Number: Expires: Estimated average burden hours per response..... ---------------------------- SEC USE ONLY ---------------------------- ---------------------------- UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13f Cover Page Report for the Calendar Year or Quarter Ended December 31, 2010 If amended report check here: |_| Amendment Number: ____ This Amendment (Check only one): |_| is a restatement |_| adds new holding entries. PRIOR FILINGS FOR THE NOMURA GROUP WERE REPORTED UNDER THE NAME NOMURA SECURITIES COMPANY, WITH CIK NUMBER 0000110097. SUBSEQUENT FILINGS WILL BE MADE UNDER THE NAME NOMURA HOLDINGS, INC., CIK NUMBER 0001163653. NOMURA HOLDINGS, INC. (NHI) IS THE PARENT HOLDING COMPANY OF A NUMBER OF OPERATING SUBSIDIARIES, SOME OF WHICH ARE OR MAY BE INSTITUTIONAL INVESTMENT MANAGERS FOR THE PURPOSES OF THE REPORTING REQUIREMENTS UNDER SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 (THE ACT) AND THE RULES PROMULGATED THEREUNDER. NHI ITSELF DOES NOT DIRECTLY EXERCISE INVESTMENT DISCRETION WITH RESPECT TO ANY SECTION 13(F) SECURITIES POSITIONS. IN THAT NHI'S OWNERSHIP INTEREST IN SUCH OPERATING SUBSIDIARIES IS DEEMED THE EXERCISE OF INVESTMENT DISCRETION REGARDING CERTAIN OF SUCH SUBSIDIARIES' MANAGED ACCOUNTS, THE INFORMATION REQUIRED BY FORM 13F IS REPORTED BY NHI ON BEHALF OF CERTAIN OF NHI'S OPERATING SUBSIDIARIES WHICH ARE INSTITUTIONAL INVESTMENT MANAGERS SUBJECT TO SECTION 13(F)OF THE ACT. Nomura Holdings Inc. -------------------------------------------------------------------------------- Name of Institutional Investment Manager 1-9-1, Nihonbashi, Chuo-ku, Tokyo 103-8011, Japan -------------------------------------------------------------------------------- Business Address (Street) (City) (State) (Zip) 13F File Number: 001-15270 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Brendan G. Daly Head of Compliance and Surveillance 212-667-1246 -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ Brendan G. Daly ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) New York, NY February 12, 2010 ------------------------------------------ (Place and Date of Signing) Report Type: [ ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [X] 13F COMBINATION REPORT. Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 179 Form 13F Information Table Value Total: 942,319,077 List of Other Included Managers: Name and 13F file numbers of ALL Institutional Investment Managers with respect to which this schedule is filed (other than the one filing this report): (List in alphabetical order). 13F File No.: Name: ------------- --------------------- 6. 28-05739 Global Funds Management, S.A. ------------- --------------------- 2. 28-04985 Nomura International plc ------------- --------------------- 4. 28-04993 Nomura Securities (Bermuda) ------------- --------------------- 1. 28-04983 Nomura Securities International, Inc. ------------- --------------------- 1Page 1 07-08-13 14:21:11 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0 CONSOLIDATED WATER CO INC G23773107 188 000000013218 SH DEFINED 01 SOLE MARVELL TECHNOLOGY GROUP LTD G5876H105 265 000000012700 SH DEFINED 02 SOLE SEAGATE TECHNOLOGY G7945J104 298 000000016400 SH DEFINED 02 SOLE XL CAP LTD G98255105 1,454 000000079350 SH DEFINED 01 SOLE ALCON INC H01301102 20,715 000000126047 SH DEFINED 01 SOLE MILLICOM INTL CELLULAR S A L6388F110 855 000000011600 SH DEFINED 01 SOLE ADOBE SYS INC 00724F101 227 000000006186 SH DEFINED 01 SOLE ADVANCED BATTERY TECHNOLOG I 00752H102 594 000000148653 SH DEFINED 01 SOLE ADVANCED MICRO DEVICES INC 007903107 482 000000050000 SH DEFINED 02 SOLE AETNA INC NEW 00817Y108 8,659 000000269900 SH DEFINED 02 SOLE ALCOA INC 013817101 89,706 000005564906 SH DEFINED 01 SOLE ALLEGHENY TECHNOLOGIES INC 01741R102 299 000000006697 SH DEFINED 02 SOLE ALLIS CHALMERS ENERGY INC 019645506 73 000000019400 SH DEFINED 01 SOLE ALTAIR NANOTECHNOLOGIES INC 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DEFINED 01 SOLE BIOSANTE PHARMACEUTICALS INC 09065V203 61 000000042300 SH DEFINED 01 SOLE BRISTOL MYERS SQUIBB CO 110122108 1,213 000000048053 SH DEFINED 01 SOLE CIGNA CORP 125509109 27,992 000000793662 SH DEFINED 01 SOLE CIT GROUP INC 125581801 5,013 000000181595 SH DEFINED 01 SOLE CIT GROUP INC 125581801 1,100 000000039847 SH DEFINED 01 NONE CIT GROUP INC 125581801 6,888 000000249485 SH DEFINED 02 SOLE CALGON CARBON CORP 129603106 383 000000027575 SH DEFINED 01 SOLE CANADIAN SOLAR INC 136635109 1,913 000000066400 SH DEFINED 02 SOLE CARNIVAL CORP 143658300 2,274 000000071772 SH DEFINED 02 SOLE CARTER INC 146229109 11,828 000000450599 SH DEFINED 01 SOLE CENTRAL PAC FINL CORP 154760102 196 000000150000 SH DEFINED 01 SOLE CHESAPEAKE ENERGY CORP 165167107 907 000000035000 SH DEFINED 02 SOLE CHEVRON CORP NEW 166764100 247 000000003207 SH DEFINED 02 SOLE CITIGROUP INC 172967101 279 000000084300 SH DEFINED 01 SOLE CITIGROUP INC 172967101 2,693 000000805101 SH DEFINED 02 SOLE CITIGROUP INC 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BANCSHARES INC 446150104 79 000000021740 SH DEFINED 02 SOLE ITT EDUCATIONAL SERVICES INC 45068B109 777 000000008102 SH DEFINED 01 SOLE IDENIX PHARMACEUTICALS INC 45166R204 664 000000301476 SH DEFINED 02 SOLE ILLINOIS TOOL WKS INC 452308109 210 000000004359 SH DEFINED 02 SOLE INNOPHOS HOLDINGS INC 45774N108 278 000000012140 SH DEFINED 01 SOLE ISHARES INC 464286848 119 000000012268 SH DEFINED 02 SOLE ISHARES TR INDEX 464287184 223 000000005292 SH DEFINED 02 SOLE ISHARES TR INDEX 464287234 10,441 000000251614 SH DEFINED 02 SOLE ISHARES TR INDEX 464287598 237 000000004144 SH DEFINED 02 SOLE ITAU UNIBANCO HLDG SA 465562106 328 000000014400 SH DEFINED 01 SOLE IVANHOE MINES LTD 46579N103 642 000000044000 SH DEFINED 01 SOLE 1Page 3 10-02-11 17:08 0 FORM 13F INFORMATION TABLE QUARTER ENDING 12/31/2009 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0JPMORGAN CHASE & CO 46625H100 2,306 000000055361 SH DEFINED 01 SOLE JPMORGAN CHASE & CO 46625H100 387 000000009300 SH DEFINED 01 SOLE JPMORGAN CHASE & CO 46625H100 2,358 000000056400 SH DEFINED 02 SOLE JOHNSON CTLS INC 478366107 321 000000011800 SH DEFINED 01 SOLE LAYNE CHRISTENSEN CO 521050104 457 000000015922 SH DEFINED 01 SOLE LEAP WIRELESS INTL INC 521863308 1,379 000000078583 SH DEFINED 01 SOLE LEAR CORP 521865204 1,233 000000018234 SH DEFINED 01 SOLE LEAR CORP 521865204 139 000000002058 SH DEFINED 01 NONE LINCOLN ELEC HLDGS INC 533900106 261 000000004890 SH DEFINED 02 SOLE MBIA INC 55262C100 78 000000019800 SH DEFINED 01 SOLE MARKET VECTORS ETF TR 57060U100 1,224 000000026500 SH DEFINED 01 SOLE MAXWELL TECHNOLOGIES INC 577767106 523 000000029327 SH DEFINED 01 SOLE MCKESSON CORP 58155Q103 9,927 000000158832 SH DEFINED 01 SOLE MEAD JOHNSON NUTRITION CO 582839106 743 000000017011 SH DEFINED 01 SOLE MEDTRONIC INC 585055106 1,235 000000028096 SH DEFINED 01 SOLE MICROSOFT CORP 594918104 805 000000026424 SH DEFINED 01 SOLE MICROSOFT CORP 594918104 319 000000010369 SH DEFINED 02 SOLE MIRANT CORP NEW 60467R100 168 000000011046 SH DEFINED 01 SOLE MOSAIC CO 61945A107 1,738 000000029098 SH DEFINED 01 SOLE MOTOROLA INC 620076109 157 000000020530 SH DEFINED 02 SOLE MYLAN INC 628530107 2,451 000000133043 SH DEFINED 01 SOLE NRG ENERGY INC 629377508 9,694 000000410660 SH DEFINED 01 SOLE NYSE EURONEXT 629491101 1,325 000000052400 SH DEFINED 01 SOLE NORTHWEST PIPE CO 667746101 634 000000023627 SH DEFINED 01 SOLE NVIDIA CORP 67066G104 332 000000017700 SH DEFINED 02 SOLE OM GROUP INC 670872100 391 000000012478 SH DEFINED 01 SOLE OIL SVC HOLDRS TR 678002106 1,555 000000013088 SH DEFINED 01 SOLE PEABODY ENERGY CORP 704549104 1,657 000000036700 SH DEFINED 02 SOLE PETROLEO BRASILEIRO SA PETRO 71654V408 238 000000005000 SH DEFINED 01 SOLE PFIZER INC 717081103 7,394 000000406494 SH DEFINED 01 SOLE PHILIP MORRIS INTL INC 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