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Nippon Life India Asset Management Ltd

Nippon Life India Asset Management

Large Cap1,104 EmployeesIPO 2017
Current Price
850.45
-53 (-5.87%)Updated
NSE :NAM-INDIA
BSE :540767
Valuation vs Sector
P/E Ratio
37.24vs 19.86
P/B Ratio
12.24vs 2.24
Div Yield
1.95%vs 0.55%
Today's Range
841.00
850.45
union icon
898.90
52 Week Range
52W Low498.05
52W High1009.00
850.45
union icon
Downside70.76%
Upside18.64%

Price Chart

Compare with Peers

Historical Ratios

Track top 12 most important financial ratios

P/E Ratio: Price to Earnings - Most used valuation metric

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Analyzing Investment Quality

Processing 9 key metrics...

Key Metrics

Hover for details

Valuation

Market Cap
58,702.52 Cr
Market Cap
Total market value of company
P/E Ratio
40.67
P/E Ratio
Price to Earnings. Lower is generally better (<25 is good)
P/B Ratio
12.61
P/B Ratio
Price to Book Value. <3 may indicate undervaluation
EPS
22.65
EPS
Earnings Per Share. Higher and growing is positive

Profitability

ROE
14.97%
ROE
Return on Equity. >15% is good, >20% is excellent
ROCE
40.70%
ROCE
Return on Capital Employed. >15% is good
Net Margin
56.90%
Net Margin
Net profit as % of revenue. >10% is good
Operating Margin
-%
Operating Margin
Operating profit margin. >15% is good

Growth

EPS Growth (5Y)
24.48%
EPS Growth (5Y)
5-year EPS growth. >15% is strong
Revenue Growth (5Y)
13.14%
Revenue Growth (5Y)
5-year revenue growth. >10% is good
Qtr Sales Growth
20.10%
Qtr Sales Growth
Quarter-over-quarter sales growth
Qtr Profit Growth
19.20%
Qtr Profit Growth
Quarter-over-quarter profit growth

Financial Health

Debt/Equity
0.02
Debt/Equity
Financial leverage. <1 is good, <0.5 is excellent
Book Value
66.38
Book Value
Net asset value per share
Dividend Yield
1.95%
Dividend Yield
Annual dividend as % of price. >2% is good
Promoter Holding
72.10%
Promoter Holding
Promoter stake. >50% shows confidence
Good
Average
Needs Attention

SWOT Analysis

Strengths

4 points
  • Nippon Life India boasts a robust Return on Equity (ROE) of 31.4% and Return on Capital Employed (ROCE) of 40.7%, significantly exceeding industry averages. This indicates highly efficient capital utilization and strong profitability, showcasing effective resource management.
  • The company demonstrates impressive growth with a 20.1% increase in quarterly sales and a 19.2% rise in quarterly profits. This positive trend, coupled with a high operating profit margin (OPM) of 64.9%, underscores strong operational efficiency and healthy demand.

Weaknesses

3 points
  • The company's Price-to-Earnings (P/E) ratio of 40.40 is relatively high, exceeding the sector P/E of 40.01. This suggests the stock might be overvalued compared to its earnings, potentially making it vulnerable to price corrections.
  • Recent stock performance shows significant volatility, with the price declining from 940.75 to 857.90 over the last five trading days. This short-term fluctuation indicates market uncertainty and potential risks for investors.

Opportunities

3 points
  • The growing financialization of savings and increasing investor awareness in emerging markets present a significant opportunity for asset management companies. This trend can drive higher AUM and fee income for Nippon Life India.
  • Expansion into new product offerings, such as thematic funds, alternative investment funds, or customized wealth solutions, could diversify revenue streams and attract a broader client base, enhancing market share.

Threats

3 points
  • Intense competition within the asset management sector from established players like HDFC AMC and Aditya AMC could pressure fees and market share, potentially impacting Nippon Life India's profitability and growth.
  • The company's performance is susceptible to market volatility and economic downturns. A significant decline in equity markets could lead to reduced Assets Under Management (AUM) and lower fee income, affecting financial results.

Segment-wise Financial Analysis

Financial Results

Balance Sheet

StandaloneAnnualAll amounts in ₹ Crores • CA Schedule III Format

No Balance Sheet Data Available

Standalone annual data is not available for this symbol.
Try switching to Consolidated view.

Shareholding Pattern

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Company Insider Trading Activity

Recent Insider Transactions

Insider NameTransaction DateFiling DateTotal SharesChangePriceAction
Pallavi Chauhan
24 Mar 202527 Mar 202513,878
6,114
₹256.1BUY
Sushil Budhia
14 May 202516 May 20255,000
5,000
₹223.32BUY
Parag Khetan
14 May 202516 May 20251,886
1,886
₹499.76BUY
Vikram Dhawan
14 May 202516 May 20253,459
3,459
₹499.76BUY
Akash Singh Rana
23 May 202527 May 20251,786
1,786
₹9.9BUY
Aishwarya Deepak
23 May 202527 May 20256,943
6,943
₹372.71BUY
Vivek Sharma
23 May 202527 May 202511,662
10,000
₹202.5BUY
Vinay Sharma
23 May 202527 May 202533,118
3,118
₹10BUY
Vikas Agarwal
23 May 202527 May 2025404
404
₹10BUY
Shadab Ali Shaikh
23 May 202527 May 20251,426
1,426
₹223.32BUY
Muneesh Sud
23 May 202527 May 202510,399
10,399
₹289.03BUY
Rishi Garg
23 May 202527 May 20256,000
6,000
₹389.28BUY
Pranay Kumar Sinha
23 May 202527 May 20254,500
3,500
₹372.71BUY
Milind Nesarikar
23 May 202527 May 20258,704
8,704
₹202.5BUY
Meenakshi Dawar
23 May 202527 May 202511,578
3,578
₹10BUY
Kaustubh Mani
23 May 202527 May 2025870
606
₹10BUY
Geno George Mattathil
23 May 202527 May 202513,889
13,889
₹202.5BUY
Bhushan Shenolikar
23 May 202527 May 20251,906
1,771
₹247.6BUY
Ateet Nagar Bansal
23 May 202527 May 20251,212
1,212
₹10BUY
Sushil Hari Prasad Budhia
10 Jun 202513 Jun 20255,500
5,500
₹223.32BUY
Bhushan Shenolikar
10 Jun 202513 Jun 20251,906
1,906
₹247.6BUY
Krishna Poojari
10 Jun 202513 Jun 20256,481
6,481
₹202.5BUY
Vivek Sharma
10 Jun 202513 Jun 202512,835
11,173
₹202.5BUY
Vikram Dhawan
10 Jun 202513 Jun 20255,100
1,641
₹10BUY
Muneesh Sud
10 Jun 202513 Jun 202514,135
14,135
₹372.71BUY
Sundeep Sikka
10 Jun 202513 Jun 20254.10 L
1.50 L
₹202.5BUY
Saugata Chatterjee
10 Jun 202513 Jun 202521,218
18,000
₹223.32BUY
Shashank Shekhar
10 Jun 202513 Jun 202514,696
808
₹10BUY
Rajeev Bhargava
10 Jun 202513 Jun 20251,700
1,700
₹372.71BUY
Pranay Kumar Sinha
10 Jun 202513 Jun 20254,500
3,500
₹372.71BUY

Corporate Action

Company Announcements

Technical Analysis & Indicators

Standard pivot points - most widely used

Pivot Points (CLASSIC)

LevelPriceDistance% Change
R41001.70+₹151.25+17.78%
R3943.80+₹93.35+10.98%
R2921.35+₹70.90+8.34%
R1885.90+₹35.45+4.17%
PIVOT863.4513.001.53%
CURRENT850.45--
S1712.20-₹138.25-16.26%
S2770.10-₹80.35-9.45%
S3805.55-₹44.90-5.28%
S4828.00-₹22.45-2.64%
CPR Levels
Support
Resistance
S4
S3
S2
S1
| CPR |
BC: N/AP: N/ATC: N/A
R1
R2
R3
R4
indicator
LTP: N/A
PDH: N/A
PDL: N/A
● Market Sentiment

is trading CPR, indicating

● CPR Width

CPR is

● Opening Range

Day's range: ~

● Price Position

Trading Inside opening range

Delivery Volume Analysis & Trading Activity

Latest Volume
1.11M
(04 Mar 2026)
+50.1% vs avg
Delivery %
68.4%
(04 Mar 2026)
+12.2% vs avg
Avg Volume (20D)
7.42L
(04 Feb - 04 Mar)
20-day average
Avg Delivery %
56.3%
(04 Feb - 04 Mar)
Trend ↑
Delivery % indicates the percentage of traded volume that resulted in actual delivery. Higher delivery % (>50%) suggests genuine buying interest and stronger hands.

Peer Comparison & Industry Benchmarking

Quick Compare

Largest by Market Cap
HDFC Asset Management Company Ltd
1.23L ₹ Cr
Best Profit Growth
Maharashtra Scooters Ltd
58.30 %
Highest Dividend Yield
Aditya Birla Sun Life AMC Ltd
2.74 %

Peer Comparison

Company Name
360ONE
360 ONE WAM Ltd
ABSLAMC
Aditya Birla Sun Life AMC Ltd
AIIL
Authum Investment & Infrastructure Ltd
ANANDRATHI
Anand Rathi Wealth Ltd
CDSL
Central Depository Services (India) Ltd
HDFCAMC
HDFC Asset Management Company Ltd
ICICIAMC
ICICI Prudential Asset Management Co Ltd
KFINTECH
KFin Technologies Ltd
MAHSCOOTER
Maharashtra Scooters Ltd
TATAINVEST
Tata Investment Corporation Ltd

About

NAM-INDIA

Nippon Life India Asset Management Ltd

Nippon Life Asset Management (NAM) India is a publicly owned investment management firm primarily focused on the Indian market. Its core business revolves around the creation and management of investment funds for a diverse clientele. This includes the development and oversight of both equity and fixed-income mutual funds, providing investors with diversified options tailored to various risk appetites and financial goals.

A significant aspect of NAM India's operations involves the management of exchange-traded funds (ETFs). ETFs offer a cost-effective way for investors to gain exposure to specific market segments or asset classes, providing a convenient vehicle for portfolio diversification. NAM India's involvement in this arena demonstrates its commitment to offering a wide range of investment solutions to its customers.

The firm's investment strategies span across several key market sectors. NAM India actively engages in the public equity markets, aiming to capitalize on growth opportunities and achieve returns for its investors. Furthermore, it also invests in fixed-income securities, providing a balance between risk and stability within its portfolio offerings. Finally, the company's involvement in the commodity markets adds another layer of diversification to its investment strategies, aiming to leverage the potential of various asset classes.

Established on February 24, 1995, and headquartered in Mumbai, India, NAM India boasts a considerable history in the financial sector. Its evolution from Reliance Nippon Life Asset Management Limited reflects a significant transition and rebranding, showcasing the company's ongoing adaptation to the changing financial landscape and commitment to providing superior investment management services. The company's long-standing presence in the Indian market indicates its experience and established position within the industry.

COMPANY FACTS - NAM-INDIA

Registered Address

4th Floor, Tower A, Peninsula Business Park, Ganapatrao Kadam Marg, Lower Parel (W)

Mumbai

MAHARASHTRA

IN

Company Details

Group: Financial Services

Sector: Financials

Industry: Capital Markets

Exchange: NATIONAL STOCK EXCHANGE OF INDIA

Employees: 1,104

IPO Date: 06/11/2017

MANAGEMENT - NAM-INDIA

Shri. Upendra Sinha

Non-Executive Independent Chairman of the Board

Mr. Sundeep Sikka

Chief Executive Officer, Executive Director

Mr. Parag Joglekar

Chief Financial Officer

Mr. Saugata Chatterjee

President & Chief Business Officer

Mr. Shailesh Raj Bhan

President & CIO - Equity Investments

Mrs. Abhijit Singh

Chief Executive Officer and Global Sales Head International Business at NAM Singapore

Mr. Amit Tripathi

President & CIO - Fixed Income

Mr. Rajesh Derhgawen

Chief Human Resources Officer

Mr. Abhijit Shah

Chief Technology Officer

Mr. Kaiyomurz Daver

Chief Marketing Officer

Mr. Valde Varghese

Chief Compliance Officer, Company Secretary

Mr. Muneesh Sud

Chief Legal and Compliance Officer

Investor Questions Answered

Nippon Life India Asset Management Ltd (NAM-INDIA) Stock FAQs

Get answers to the most common questions about Nippon Life India Asset Management Ltd stock price, fundamentals, financial metrics, and investment analysis

The current share price of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹850.45. Today, the stock has declined by ₹53.00 (5.87%), trading in a range of ₹841 to ₹898.9. The stock opened at ₹887 with a trading volume of 11,13,661 shares.
Nippon Life India Asset Management Ltd can be considered for long-term investment based on several factors. The company has a market capitalization of ₹58,702.52 crores, P/E ratio of 40.67, ROE of 14.97%, and ROCE of 40.70%. The dividend yield stands at 1.95%. However, investment decisions should be based on your financial goals, risk appetite, and thorough research. It's recommended to consult with a SEBI-registered financial advisor before making investment decisions.
The 52-week high price of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹1,009, while the 52-week low is ₹498.05. Currently trading at ₹850.45, the stock is 69.0% away from its 52-week low and 15.7% below its 52-week high. These levels help investors understand the stock's price volatility and trading range over the past year.
Whether to buy Nippon Life India Asset Management Ltd stock at ₹850.45 depends on multiple factors. The stock is currently trading with a P/E ratio of 40.67 and P/B ratio of N/A. Today's performance shows a loss of 5.87%. Consider analyzing the company's fundamentals, technical indicators, industry trends, and your investment horizon. Compare these metrics with industry peers and consult a financial advisor for personalized advice.
Nippon Life India Asset Management Ltd offers a dividend yield of 1.95%, which means for every ₹100 invested at the current price of ₹850.45, you can expect to receive approximately ₹1.95 annually as dividends. The face value of the stock is ₹10.00. For information about the next dividend announcement and ex-dividend date, please check the company's official announcements or visit the BSE/NSE websites.
Nippon Life India Asset Management Ltd's key financial metrics include: P/E Ratio: 40.67, P/B Ratio: N/A, ROE: 14.97%, ROCE: 40.70%, Dividend Yield: 1.95%, EPS: ₹22.65, Book Value: ₹66.38, Debt-to-Equity: 0.02, and Current Ratio: N/A. The company's market cap stands at ₹58,702.52 crores. These metrics help evaluate the company's valuation, profitability, and financial health.
Nippon Life India Asset Management Ltd stock opened at ₹887 and is currently trading at ₹850.45, showing a decline of ₹53.00 (5.87%). The intraday high is ₹898.9 and low is ₹841. The trading volume stands at 11,13,661 shares, indicating strong market participation today.
Nippon Life India Asset Management Ltd has a Price-to-Earnings (P/E) ratio of 40.67, which means investors are willing to pay ₹40.67 for every ₹1 of earnings. With an EPS of ₹22.65, this P/E ratio suggests the stock may be trading at a premium, possibly due to high growth expectations. Compare this with industry peers and historical P/E ratios for better context.
Nippon Life India Asset Management Ltd has a market capitalization of ₹58,702.52 crores, making it a mid-cap company. Market cap is calculated by multiplying the current stock price (₹850.45) by the total number of outstanding shares. This metric helps investors understand the company's size, stability, and investment risk profile.
Nippon Life India Asset Management Ltd has a book value of ₹66.38 per share and a Price-to-Book (P/B) ratio of N/A. The current market price is ₹850.45, which is 1181.2% above the book value. A P/B ratio below 1 may indicate undervaluation or asset quality concerns.
Nippon Life India Asset Management Ltd has a Return on Equity (ROE) of 14.97% and Return on Capital Employed (ROCE) of 40.70%. ROE measures how efficiently the company generates profits from shareholders' equity, while ROCE indicates how well the company uses its capital to generate profits. These are moderate returns, suggesting decent operational efficiency. Higher percentages generally indicate better financial performance.
Nippon Life India Asset Management Ltd operates in the diversified sector and belongs to the general industry. The company competes with other players in this space and its performance is influenced by sector-specific trends, regulatory changes, and market dynamics. Understanding the sector helps investors assess growth potential, cyclical patterns, and industry-specific risks that may impact the stock's performance.
Nippon Life India Asset Management Ltd has a debt-to-equity ratio of 0.02, which measures the company's financial leverage by comparing total debt to shareholders' equity. A low ratio suggests conservative financing with minimal debt. Lower ratios generally indicate lower financial risk, but optimal levels vary by industry.
Nippon Life India Asset Management Ltd has an Earnings Per Share (EPS) of ₹22.65, which represents the company's profit allocated to each outstanding share. With a current stock price of ₹850.45 and P/E ratio of 40.67, investors are paying 40.67 times the annual earnings per share. This moderate EPS suggests decent earnings generation. Track EPS growth over quarters to assess earnings momentum.
Nippon Life India Asset Management Ltd has reported a sales growth of N/A% and profit growth of N/A%. The company may be facing growth challenges or operating in a mature market. Consistent growth over multiple quarters is a positive indicator for long-term investors. Compare these growth rates with industry peers for better perspective.
Nippon Life India Asset Management Ltd has a current ratio of N/A, which measures the company's ability to pay short-term obligations with current assets. A ratio below 1 may indicate potential liquidity concerns. This metric is crucial for assessing the company's working capital management and financial safety.
To analyze Nippon Life India Asset Management Ltd stock, consider: 1) Fundamental Analysis - Review P/E (40.67), ROE (14.97%), debt-to-equity (0.02), and growth rates. 2) Technical Analysis - Check 52-week range (₹498.05 - ₹1009.00), moving averages, and chart patterns. 3) Valuation - Compare current price (₹850.45) with book value (₹66.38) and industry peers. 4) Financial Health - Assess current ratio (N/A) and cash flows. 5) Growth Prospects - Evaluate sales growth (N/A%) and profit growth (N/A%). Always diversify and consult a financial advisor.
The face value (or par value) of Nippon Life India Asset Management Ltd share is ₹10.00. Face value is the nominal value of a share as stated in the company's charter and is used for accounting purposes and calculating dividends. The current market price of ₹850.45 is 8405x the face value. Face value remains constant unless the company undergoes a stock split or bonus issue, while market price fluctuates based on demand and supply.
Investing in Nippon Life India Asset Management Ltd carries several risks: 1) Market Risk - Stock price volatility (52-week range: ₹498.05 - ₹1009.00). 2) Business Risk - Industry-specific challenges in the sector. 3) Financial Risk - Debt-to-equity ratio of 0.02 indicates leverage. 4) Liquidity Risk - Based on trading volume of 11,13,661 shares. 5) Valuation Risk - P/E of 40.67 may indicate over/undervaluation. 6) Economic Risk - Macroeconomic factors affecting the industry. Diversify your portfolio and invest only what you can afford to lose.
Nippon Life India Asset Management Ltd operates in the industry with key metrics: P/E ratio of 40.67, ROE of 14.97%, market cap of ₹58,702.52 crores, and dividend yield of 1.95%. To make an informed comparison, analyze these metrics against industry peers considering factors like revenue growth (N/A%), profit margins, debt levels (D/E: 0.02), and market position. Use our peer comparison tool on this page to see detailed side-by-side analysis with competitors.
Target prices for Nippon Life India Asset Management Ltd vary among analysts and depend on multiple factors including earnings projections, industry trends, and market conditions. The stock is currently trading at ₹850.45, with a 52-week range of ₹498.05 to ₹1009.00. Based on fundamentals like P/E (40.67), ROE (14.97%), and growth rates, analysts may have different target prices. Always refer to recent research reports from reputed brokerages and make decisions based on your own analysis and risk appetite.
Consider selling Nippon Life India Asset Management Ltd stock when: 1) Target Price Achieved - If the stock reaches your predetermined target from current ₹850.45. 2) Fundamental Deterioration - Declining ROE (currently 14.97%), increasing debt (D/E: 0.02), or falling growth rates. 3) Better Opportunities - Finding stocks with superior risk-reward ratios. 4) Portfolio Rebalancing - When the stock becomes overweight in your portfolio. 5) Changed Investment Thesis - If reasons for buying no longer hold. 6) Stop Loss - If price falls below your risk threshold. Always base decisions on thorough analysis rather than emotions.
Tax implications for Nippon Life India Asset Management Ltd stock investments: 1) Short-term Capital Gains (STCG) - If sold within 1 year, gains taxed at 15% plus cess. 2) Long-term Capital Gains (LTCG) - If held over 1 year, gains above ₹1 lakh taxed at 10% without indexation. 3) Dividend Income - Dividends (current yield: 1.95%) are taxable as per your income tax slab. 4) Securities Transaction Tax (STT) - Applicable on both buy and sell transactions. 5) Intraday Trading - Treated as speculative income, taxed as per slab. Tax laws change periodically, so consult a tax advisor for personalized guidance and latest regulations.