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 September 30, 2006 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: David A. Leibowitz Head of Compliance and Surveillance 212-667-9387 -------------------------------------------------------------------------------- Name (Title) (Phone) /s/ David A.Leibowitz ------------------------------------------ (Manual Signature of Person Duly Authorized to Submit This Report) New York, NY November 15, 2006 ------------------------------------------ (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: 528 Form 13F Information Table Value Total: $10,206,352 (thousands) 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 06-01-31 16:19:43 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2006 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0 ACE LTD G0070K103 14,789 000000270235 SH DEFINED 01 SOLE COOPER INDS LTD G24182100 6,482 000000076065 SH DEFINED 01 SOLE INGERSOLL-RAND COMPANY LTD G4776G101 10,257 000000270070 SH DEFINED 01 SOLE NABORS INDUSTRIES LTD G6359F103 7,813 000000262641 SH DEFINED 01 SOLE NOBLE CORPORATION G65422100 7,313 000000113960 SH DEFINED 01 SOLE PXRE GROUP LTD G73018106 618 000000150100 SH DEFINED 01 SOLE SINA CORP G81477104 1,072 000000042632 SH DEFINED 02 SOLE TRANSOCEAN INC G90078109 19,469 000000265869 SH DEFINED 01 SOLE WEATHERFORD INTERNATIO NAL LT G95089101 11,995 000000287520 SH DEFINED 01 SOLE XL CAP LTD G98255105 10,292 000000149814 SH DEFINED 01 SOLE LIPMAN ELECTRONIC EN GINEERIN M6772H101 3,151 000000111668 SH DEFINED 01 SOLE A D C TELECOMMUNICATIO NS 000886309 1,462 000000097411 SH DEFINED 01 SOLE ADE CORP MASS 00089C107 4,703 000000146900 SH DEFINED 01 SOLE AFLAC INC 001055102 18,945 000000414026 SH DEFINED 01 SOLE AES CORP 00130H105 11,362 000000557260 SH DEFINED 01 SOLE ATI TECHNOLOGIES INC 001941103 4,292 000000200000 SH DEFINED 01 SOLE AT&T INC 00206R102 105,529 000003241079 SH DEFINED 01 SOLE ABBOTT LABS 002824100 61,758 000001271790 SH DEFINED 01 SOLE ADOBE SYS INC 00724F101 18,325 000000489199 SH DEFINED 01 SOLE ADVANCED MICRO DEVICES INC 007903107 10,440 000000420168 SH DEFINED 01 SOLE AETNA INC NEW 00817Y108 17,999 000000455112 SH DEFINED 01 SOLE AFFILIATED COMPUTER SE RVICES 008190100 5,108 000000098512 SH DEFINED 01 SOLE AGILENT TECHNOLOGIES I NC 00846U101 11,323 000000346400 SH DEFINED 01 SOLE AIR PRODS & CHEMS INC 009158106 12,204 000000183880 SH DEFINED 01 SOLE ALCOA INC 013817101 20,269 000000722890 SH DEFINED 01 SOLE ALDERWOODS GROUP INC 014383103 991 000000050000 SH DEFINED 01 SOLE ALERIS INTL INC 014477103 884 000000017500 SH DEFINED 01 SOLE ALLEGHENY ENERGY INC 017361106 5,493 000000136762 SH DEFINED 01 SOLE ALLEGHENY TECHNOLOGIES INC 01741R102 5,195 000000083550 SH DEFINED 01 SOLE ALLERGAN INC 018490102 14,218 000000126265 SH DEFINED 01 SOLE ALLIED WASTE INDS INC 019589308 2,378 000000211084 SH DEFINED 01 SOLE ALLSTATE CORP 020002101 32,983 000000525802 SH DEFINED 01 SOLE ALLTEL CORP 020039103 18,007 000000324454 SH DEFINED 01 SOLE ALTERA CORP 021441100 5,488 000000298589 SH DEFINED 01 SOLE ALTRIA GROUP INC 02209S103 133,727 000001746926 SH DEFINED 01 SOLE ALTUS PHARMACEUTICAL S INC 02216N105 19,358 000001194236 SH DEFINED 02 SOLE AMAZON COM INC 023135106 8,387 000000261123 SH DEFINED 01 SOLE AMBAC FINL GROUP INC 023139108 7,285 000000088048 SH DEFINED 01 SOLE AMEREN CORP 023608102 9,029 000000171055 SH DEFINED 01 SOLE AMERUS GROUP CO 03072M108 3,400 000000050000 SH DEFINED 01 SOLE AMERISOURCEBERGEN CORP 03073E105 7,720 000000170800 SH DEFINED 01 SOLE AMERIPRISE FINL INC 03076C106 9,499 000000202538 SH DEFINED 01 SOLE AMGEN INC 031162100 70,075 000000979665 SH DEFINED 01 SOLE ANALOG DEVICES INC 032654105 8,720 000000296708 SH DEFINED 01 SOLE 1Page 2 06-11-13 08:38:08 0 FORM 13F INFORMATION TABLE QUARTER ENDING 09/30/2006 NAME OF ISSUER TITLE CUSIP VALUE SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0 ANDREW CORP 034425108 1,227 000000132685 SH DEFINED 01 SOLE ANDRX CORP DEL 034553107 793 000000032500 SH DEFINED 01 SOLE ANHEUSER BUSCH COS INC 035229103 30,477 000000641489 SH DEFINED 01 SOLE APPLE COMPUTER INC 037833100 54,569 000000708883 SH DEFINED 01 SOLE APPLERA CORP 038020103 5,013 000000151431 SH DEFINED 01 SOLE APPLIED MATLS INC 038222105 20,594 000001161580 SH DEFINED 01 SOLE ARAMARK CORP 038521100 2,957 000000090000 SH DEFINED 01 SOLE ARCHER DANIELS MIDLAND CO 039483102 20,726 000000547175 SH DEFINED 01 SOLE ARCHSTONE SMITH TR 039583109 9,692 000000178032 SH DEFINED 01 SOLE ASHLAND INC NEW 044209104 3,539 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CORP 126408103 12,114 000000369010 SH DEFINED 01 SOLE CVS CORP 126650100 21,924 000000682575 SH DEFINED 01 SOLE CA INC 12673P105 8,083 000000341241 SH DEFINED 01 SOLE CAMPBELL SOUP CO 134429109 6,994 000000191630 SH DEFINED 01 SOLE CAPITAL ONE FINL CORP 14040H105 20,009 000000254383 SH DEFINED 01 SOLE CARNIVAL CORP 143658300 17,536 000000372869 SH DEFINED 01 SOLE CATERPILLAR INC DEL 149123101 36,078 000000548301 SH DEFINED 01 SOLE CENTEX CORP 152312104 5,181 000000098467 SH DEFINED 01 SOLE CENTRACORE PROPERTIE S TR 15235H107 3,333 000000105000 SH DEFINED 01 SOLE CENTURYTEL INC 156700106 3,837 000000096728 SH DEFINED 01 SOLE CHESAPEAKE ENERGY CORP 165167107 9,778 000000337423 SH DEFINED 01 SOLE CHEVRON CORP NEW 166764100 120,418 000001856589 SH DEFINED 01 SOLE CHICAGO MERCANTILE HLD GS INC 167760107 14,160 000000029609 SH DEFINED 01 SOLE CHIPOTLE MEXICAN GRILL INC 169656105 1,048 000000021100 SH DEFINED 01 SOLE CHUBB CORP 171232101 17,830 000000343163 SH DEFINED 01 SOLE CINCINNATI FINL CORP 172062101 6,933 000000144079 SH DEFINED 01 SOLE CINTAS CORP 172908105 4,686 000000114783 SH DEFINED 01 SOLE CITIGROUP INC 172967101 206,737 000004162232 SH DEFINED 01 SOLE CITIZENS COMMUNICATION S CO 17453B101 3,742 000000266594 SH DEFINED 01 SOLE CITRIX SYS INC 177376100 5,642 000000155831 SH DEFINED 01 SOLE CLEAR CHANNEL COMMUNIC ATIONS 184502102 11,993 000000415725 SH DEFINED 01 SOLE CLICK COMMERCE INC 18681D208 2,812 000000124400 SH DEFINED 01 SOLE CLOROX CO DEL 189054109 8,065 000000128016 SH DEFINED 01 SOLE COACH INC 189754104 10,712 000000311414 SH DEFINED 01 SOLE COCA COLA CO 191216100 76,333 000001708454 SH DEFINED 01 SOLE COCA COLA ENTERPRISES INC 191219104 4,989 000000239518 SH DEFINED 01 SOLE COLGATE PALMOLIVE CO 194162103 26,848 000000432343 SH DEFINED 01 SOLE COLGATE PALMOLIVE CO 194162103 478 000000007700 SH DEFINED 02 SOLE COMCAST CORP NEW 20030N101 64,438 000001746293 SH DEFINED 01 SOLE COMMERCIAL CAP BANCORP INC 20162L105 11,715 000000735000 SH DEFINED 01 SOLE 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SH DEFINED 01 SOLE CONSOLIDATED EDISON IN C 209115104 9,462 000000204820 SH DEFINED 01 SOLE CONSTELLATION BRANDS I NC 21036P108 5,043 000000175236 SH DEFINED 01 SOLE CONVERGYS CORP 212485106 2,382 000000115370 SH DEFINED 01 SOLE CORE MARK HOLDING CO INC 218681104 2,309 000000073699 SH DEFINED 01 SOLE COSTCO WHSL CORP NEW 22160K105 19,413 000000390779 SH DEFINED 01 SOLE COUNTRYWIDE FINANCIAL CORP 222372104 18,062 000000515474 SH DEFINED 01 SOLE COVAD COMMUNICATIONS GROUP 222814204 94 000000063499 SH DEFINED 01 SOLE COVENTRY HEALTH CARE I NC 222862104 6,803 000000132054 SH DEFINED 01 SOLE CTRIP COM INTL LTD 22943F100 323 000000007208 SH DEFINED 02 SOLE CUMMINS INC 231021106 5,202 000000043631 SH DEFINED 01 SOLE D R HORTON INC 23331A109 5,421 000000226353 SH DEFINED 01 SOLE DTE ENERGY CO 233331107 6,132 000000147737 SH DEFINED 01 SOLE DANAHER CORP DEL 235851102 13,549 000000197307 SH DEFINED 01 SOLE DARDEN RESTAURANTS INC 237194105 5,155 000000121397 SH DEFINED 01 SOLE DEERE & CO 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SHARES SH PUT INVSTMT OTHER VOTING AUTHORITY OF CLASS X1000 PRN AMT PRN CALL DSCRETN MANAGERS ------------------------------ ---------- --------- ---------- ------------ --- ---- ------- -------- ---------------- 0 EXCEL TECHNOLOGY INC 30067T103 1,775 000000060000 SH DEFINED 01 SOLE EXELON CORP 30161N101 33,850 000000559141 SH DEFINED 01 SOLE EXPRESS SCRIPTS INC 302182100 8,637 000000114483 SH DEFINED 01 SOLE EXXON MOBIL CORP 30231G102 336,054 000005008260 SH DEFINED 01 SOLE FPL GROUP INC 302571104 15,123 000000336081 SH DEFINED 01 SOLE FEDERAL HOME LN MTG CO RP 313400301 38,087 000000574218 SH DEFINED 01 SOLE FEDERAL NATL MTG ASSN 313586109 44,969 000000804322 SH DEFINED 01 SOLE FEDERATED DEPT STORES INC DE 31410H101 19,676 000000455372 SH DEFINED 01 SOLE FEDERATED INVS INC PA 314211103 2,544 000000075265 SH DEFINED 01 SOLE FEDEX CORP 31428X106 27,671 000000254611 SH DEFINED 01 SOLE FIDELITY BANKSHARES INC NEW 31604Q107 4,006 000000102700 SH DEFINED 01 SOLE FIFTH THIRD BANCORP 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