CANHLIFE vs SBIFUNDS: Stock Comparison

CANARA HSBC LIFE INS CO L vs SBI FUNDS MANAGEMENTUpdated 2 Sept 26, 4:08 PM ISTNSE & company filings

SBI FUNDS MANAGEMENT is the larger company by market capitalisation. CANARA HSBC LIFE INS CO L shows a higher dividend yield and a higher net margin, while SBI FUNDS MANAGEMENT shows faster revenue growth. These are relative readings on individual metrics — weigh valuation against growth, margins, leverage and capital efficiency rather than treating any single number as decisive.

Metric snapshot

CANHLIFE leads 2; SBIFUNDS leads 2 of 5

Not a rating

Interactive comparison

Compare the numbers that shape the decision

Every row uses its own scale. Switch lenses to compare like with like.

CANHLIFESBIFUNDS

Valuation lens

What price are you paying?

Market CapContext only
₹14,540 Cr
₹1.15 L Cr
P/E RatioSame reading
111.56x
P/B RatioSame reading
9.11x
EPSSBIFUNDS has the higher reading
₹1.39
₹4.32
Book ValueContext only
₹17.2
Dividend YieldCANHLIFE has the higher reading
0.26%
0%

✓ marks the usual favourable reading; it is not a recommendation.

Key Differences

Market Cap
SBIFUNDS is the larger company
₹1.15 L Cr vs ₹14,540 Cr
EPS
SBIFUNDS has higher earnings per share
₹4.32 vs ₹1.39
Dividend Yield
CANHLIFE has a higher dividend yield
0.26% vs 0%
Revenue Growth (TTM YoY)
SBIFUNDS has faster revenue growth
0% vs -55.3%
Net Margin
CANHLIFE has a higher net margin
1.08% vs 0%

Each difference is a single, relative reading — StockeZee does not name an overall winner.

Profile

MetricCANHLIFESBIFUNDS
SectorFinancial Services
IndustryLife Insurance

Price

MetricCANHLIFESBIFUNDS
Live Price₹152.81₹564.7
Day Change-0.89%-0.4%
Volume3.15 L7.72 L
52-Week High₹166.69₹624.95
52-Week Low₹106₹536.5
Distance from 52W High-8.33%-9.64%

Valuation

MetricCANHLIFESBIFUNDS
Market Cap₹14,540 Cr₹1.15 L Cr
P/E Ratio111.56x
P/B Ratio9.11x
EPS₹1.39₹4.32
Book Value₹17.2
Dividend Yield0.26%0%

Growth

MetricCANHLIFESBIFUNDS
Revenue Growth (TTM YoY)-55.3%0%
EPS Growth (TTM YoY)0%0%
Qtr Sales Growth0.35%
Qtr Profit Growth0.85%

Profitability & Leverage

Debt-to-equity is shown for reference only — it is not a like-for-like metric for banks and financials.
MetricCANHLIFESBIFUNDS
ROE7.87%
Net Margin1.08%0%
Operating Margin1.22%
Debt to Equity0.16x

Shareholding

As of Jun 2026 • change vs previous quarter
MetricCANHLIFESBIFUNDS
Promoter Holding36.5%55.56%
FII Holding5.43% 0.25 pp1.43%
DII Holding29.67% 0.12 pp2.97%
Public Holding2.47% 0.2 pp7.41%

How to Read This Comparison

Valuation ratios (P/E, P/B) use the latest consolidated figures where available; growth numbers compare against the same period last year; shareholding percentages come from the most recent quarterly filings, with the change shown against the prior quarter. A "more favourable" highlight is relative between these two companies only — it is not a rating, a recommendation, or a comparison against the wider sector. Rows with no reported data for either company are hidden rather than shown empty.

Deep-dive each company on its stock page for quarterly results, technicals, filings and the full peer set: CANARA HSBC LIFE INS CO L and SBI FUNDS MANAGEMENT.

Data source: NSE and company filings via StockeZee. This comparison is informational — it is not investment advice, and StockeZee is not a SEBI-registered investment adviser.