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Nippon Life India Asset Management

Nippon Life India Asset Management

NSE: NAM-INDIABSE 540767Financial Services
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1,089.10
47.50+4.56%
DAY1,049
₹1,089.10
1,095
Open1,064.80
Prev Close1,041.60
Bid1,089.05356
Ask1,089.15222
Volume889.7K22%vs 20D avg
Market Cap₹69,554.64 Cr
Promoter Hold.72.1%
Face Value₹10
Fwd P/E32.83
PEG
EV/EBITDA34.06
P/S23.72
ROA25.08%
Beta0.59
Div Payout80.41%
Valuation

Nippon Life India Asset Management Ltd valuation: P/E, P/B and sector benchmarks.

Twelve years of multiples investors have paid for Nippon Life India Asset Management Ltd, framed against the sector median so the premium or discount is obvious at a glance.

Nippon Life India Asset Management Ltd trades at a P/E of 46.07× and P/B of 14.89×, against the Financial Services sector median P/E of 17.67×.

Key MetricsLive · as of 12 Jun 2026
the price tag

Valuation

Market Cap
₹69,554.64 Cr
P/E Ratio
watch46.07
P/B Ratio
watch14.89
EPS
23.64
the engine

Profitability

ROE
good34.48%
ROCE
good40.7%
Net Margin
good56.68%
Op Margin
good64.59%
the trajectory

Growth

EPS YoY
good27.3%
Revenue YoY
good19.6%
Qtr Sales
good20.1%
Qtr Profit
good19.2%
the balance sheet

Financial Health

Debt / Equity
avg1.62
Book Value
73.15
Div Yield
good2.06%
Promoter Hold.
good72.1%
Financials

Nippon Life India Asset Management Ltd financials: P&L, balance sheet, cash flow, ratios.

Twelve years of audited numbers for Nippon Life India Asset Management Ltd, switchable between annual and quarterly views, consolidated or standalone.

Nippon Life India Asset Management Ltd reports its full P&L, balance sheet, cash flow and ratios on this page — current market capitalisation of ₹69,554.64 Cr and reported EPS of ₹23.64.

Period20192020202120222023202420252026
Revenue from Operations
1,479
1,203
1,062
1,307
1,350
1,643
2,231
2,709
Other Income
171
-10
357
229
167
394
290
224
Total Income
1,650
1,193
1,419
1,536
1,517
2,037
2,521
2,933
Gross Profit
1,479
1,203
1,062
1,307
1,350
1,643
2,231
2,709
+Operating Expenses
940
524
461
465
505
588
717
836
EBITDA
539
679
601
842
845
1,056
1,513
1,873
+Non-Operating Expenses
10
39
38
31
34
35
37
47
Profit Before Tax (PBT)
700
560
877
989
928
1,352
1,694
1,972
+Tax Expense
213
144
198
245
205
246
409
444
Profit After Tax (PAT)
487
415
680
744
723
1,107
1,286
1,529
Earnings Per Share (EPS)
7.94
6.78
11.04
11.96
11.61
17.58
20.27
23.97
Diluted Shares Outstanding (Nos.)
61
61
62
62
62
63
63
64
+Additional Disclosures
949
630
544
547
587
685
822
959
Sales Growth %
-18.64
-11.71
23.02
3.30
21.74
35.75
21.43
YoY Sales Growth %
-18.64
-11.71
23.02
3.30
21.74
35.75
21.43
Employee Cost %
20
25
26
22
22
20
19
19
Other Cost %
44
18
18
13
15
15
13
12
OPM %
36
56
57
64
63
64
68
69
Tax %
30
26
23
25
22
18
24
23
Profit Growth %
-14.75
63.84
9.38
-2.80
53.09
16.17
18.89
Gross Margin %
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
EBITDA Margin %
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Interest Coverage Ratio
0.00
0.00
0.00
0.00
0.00
0.00
0.00
+Additional Fields
70
43
51
50
62
72
78
all values in ₹ Cr unless suffixed · source: company filings
Segment Analysis

Nippon Life India Asset Management segment analysis: revenue and profit mix.

Disclosed business segments at Nippon Life India Asset Management with their share of revenue and profit, switchable between consolidated and standalone reporting.

Nippon Life India Asset Management discloses revenue and profit across multiple business segments — toggle between consolidated and standalone views to see the mix.

Segment-wise Financial Analysis

Investment Thesis

Nippon Life India Asset Management Ltd investment thesis: bull case, bear case, and the flip lines.

Why someone would buy Nippon Life India Asset Management Ltd, why someone wouldn't, and the quantitative tripwires that would force the call to flip.

Nippon Life India Asset Management Ltd's investment case rests on 7 positive markers and 6 flagged concerns drawn from the latest reported filings.

bull case

What you're getting.

  • 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.

  • A substantial promoter holding of 72.1% reflects significant confidence in the company's future prospects and provides stability. This high stake reduces risks of hostile takeovers or major management shifts, reassuring investors.

  • Nippon Life India maintains a financially sound and stable position, evidenced by a high Return on Assets (ROA) of 28.4% and an exceptionally low debt-to-equity ratio of 0.02. This highlights effective asset and liability management.

  • 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.

bear case

What can break it.

  • 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.

  • A gradual decline in promoter shareholding from 73.74% in June 2022 to 72.10% in September 2025 is observed. While still high, this trend warrants monitoring as it could signal a shift in insider confidence.

  • 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.

flip conditions

What would change my mind.

  • Trim if P/E re-rates above 60 (~3.4× the sector multiple of 17.7). The valuation cushion thins from there.

  • Reassess if quarterly profit growth prints below 0% for two consecutive quarters. The bull case relies on compounding earnings.

  • Watch interest coverage if debt-to-equity climbs above 2.12. Balance sheet risk re-prices growth multiples fast.

  • Exit if ROE slips below 29%. The operating engine is no longer compounding capital efficiently.

Shareholding

Nippon shareholding pattern: promoters, FII, DII and public.

Quarter-on-quarter ownership shifts in Nippon — who is buying, who is exiting, and which institutions hold the largest positions.

Shareholding Pattern

Loading shareholding data...

Peers

Nippon Life India Asset Management Ltd peer comparison — same-sector benchmarks.

Same-sector listed peers ranked on P/E, market cap, dividend yield and growth — Nippon Life India Asset Management Ltd is highlighted for quick read-across.

Quick Compare

Largest by Market Cap
HDFC Asset Management Company Ltd
₹1.05 Lakh Cr
Best Profit Growth
IL&FS Investment Managers Ltd
153.00 %
Highest Dividend Yield
IL&FS Investment Managers Ltd
9.43 %
Technicals

Nippon Life India Asset Management Ltd technical analysis: indicators, pivots and CPR.

Live RSI, MACD and moving-average signals plus today's pivot and Central Pivot Range levels for Nippon Life India Asset Management Ltd — derived from the live tape, not yesterday's close.

Nippon Life India Asset Management Ltd last traded at ₹1,089.1 with an intraday range of ₹1,048.5–₹1,094.7 — live indicator, pivot and CPR signals below.

Pivot points

Standard pivot — most widely referenced.

Pivot levels · Classic

Live: ₹1089.10
LevelPrice (₹)Distance% Δ
R41198.77+109.67+10.07%
R31152.57+63.47+5.83%
R21123.63+34.53+3.17%
R11106.37+17.27+1.59%
PIVOT1077.43-11.67-1.07%
CURRENT1089.10
S1967.77-121.33-11.14%
S21013.97-75.13-6.90%
S31031.23-57.87-5.31%
S41060.17-28.93-2.66%
CPR Levels
Support
Resistance
S4
S3
S2
S1
| CPR |
BC: 1071.60P: 1077.43TC: 1083.27
R1
R2
R3
R4
indicator
LTP: 1089.10
PDH: 1061.30
PDL: 1037.90
● Market Sentiment

NAM-INDIA is trading Above CPR, indicating Bullishness

● CPR Width

CPR is Wider, suggesting unlikely for trending moves

● Opening Range

Day's range: 1060 ~ 1079.9

● Price Position

Trading Above opening range, showing Bullishness

Delivery & Volume

Nippon Life India Asset Management Ltd delivery volume — last 20 sessions of conviction.

Daily traded volume and delivery percentage for Nippon Life India Asset Management Ltd over 20 sessions — the gap between intraday flipping and genuine accumulation.

Latest session delivery in Nippon Life India Asset Management Ltd stood at 45.1% of traded volume, against a 20-day average of 44.7%.

Avg Delivery (20D)44.7%+0.4 ppt latest vs avg
Highest Delivery67.4%on 29 May
Avg Volume (20D)11.42 L20-day run-rate
Conviction Trend↓ Weakening+0.4 ppt latest read
Volume & Delivery · last 20 sessions
Filings & Concalls

Nippon Life India Asset Management announcements: results, concalls, ratings, M&A.

Filings Nippon Life India Asset Management sent to the exchanges, sequenced as they hit the tape — concall transcripts, results, credit ratings and presentations.

Nippon Life India Asset Management files concall transcripts, results, credit ratings and corporate-action notices on the NSE and BSE exchange portals — latest 183 documents below.

  1. 15 May 2026Copy of Newspaper PublicationView PDF

    Copy of Newspaper Publication

    Nippon Life India Asset Management Limited has informed the Exchange about Copy of Newspaper Publication

  2. 11 May 2026ESOP/ESOS/ESPSView PDF

    ESOP/ESOS/ESPS

    Nippon Life India Asset Management Limited has informed the Exchange regarding Allotment of 173481 Shares.

  3. 30 Apr 2026Analysts/Institutional Investor Meet/Con. Call UpdatesView PDF

    Analysts/Institutional Investor Meet/Con. Call Updates

    Nippon Life India Asset Management Limited has informed the Exchange about Transcript

  4. 27 Apr 2026Resignation of Director/KMP/SMPView PDF

    Resignation of Director/KMP/SMP

    Nippon Life India Asset Management Limited has informed the Exchange about Resignation of Director/KMP/SMP

  5. 27 Apr 2026Resignation of Director/KMP/SMPView PDF

    Resignation of Director/KMP/SMP

    Nippon Life India Asset Management Limited has informed the Exchange about Resignation of Director/KMP/SMP

Insider Activity

Nippon Life India Asset Management insider trading: promoter and management activity.

Promoter, director and designated-employee transactions in Nippon Life India Asset Management as reported to SEBI — buying and selling signals from the people who know the business best.

Nippon Life India Asset Management insider activity below tracks 138 reported promoter, director and designated-employee transactions under SEBI Regulation 7(2).

InsiderCategoryTxn DateActionQuantityValue (₹)Price
Saugata ChatterjeeInsider23 Mar 2026buy+1.17 L₹2.37 Cr₹202.50
Shashank ShekharInsider23 Mar 2026buy+3.9 K₹8.81 L₹223.32
Vaidehi VidyarthiInsider23 Mar 2026buy+20.7 K₹41.85 L₹202.50
Abhishek Shilendra TaliwalInsider23 Mar 2026buy+1.0 K₹2.23 L₹223.32
Ateet Nagar BansalInsider23 Mar 2026buy+1.0 K₹3.73 L₹372.71
Nitin GuptaInsider23 Mar 2026buy+65.9 K₹1.42 Cr₹215.28
Vaibhav SahniInsider23 Mar 2026buy+15.8 K₹32.05 L₹202.50
Ashish ChansoriaInsider23 Mar 2026buy+2.1 K₹4.35 L₹202.50
Anamika MatteyInsider23 Mar 2026buy+47.3 K₹95.81 L₹202.50
Amit TripathiInsider23 Mar 2026buy+2.70 L₹5.48 Cr₹202.50
Corporate Actions

Nippon Life India Asset Management dividend history, splits and bonus issues.

Every dividend, stock split and bonus issue Nippon Life India Asset Management has declared, sequenced by announce and record date.

Nippon Life India Asset Management corporate-action history below covers all declared dividends, stock splits and bonus issues recorded with NSE and BSE.

About the Company

About Nippon Life India Asset Management Ltd: business, sector, key facts.

What Nippon Life India Asset Management Ltd does, where it operates, the people running it, and the numbers that describe the entity behind the ticker.

Nippon Life India Asset Management Ltd operates in the Financial Services, listed as NSE: NAM-INDIA, BSE: 540767.

NAM-INDIA
Financial Services

Nippon Life India Asset Management Ltd

NSE · NAM-INDIA·BSE · 540767

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
Founded / IPO
Employees
SectorFinancial Services
HeadquartersMumbai, India
Market Cap₹69,554.64 Cr
Listed OnNSE
leadership40 on record
Gen. (Retd.) Ved Malik
Non-Executive Independent Director
Mr. Abhijit P. Shah
Chief Technology Officer
Mr. Abhijit Shah
Chief Technology Officer
Mr. Ajay Patel
Manager, Deputy Head - Operations and Manager
Mr. Amit Tripathi
President & CIO - Fixed Income
Mr. Amiyesh Verma
Head - Corporate Strategy
Mr. Arash Arethna
Lead of Investor Relations
Mr. Arpanarghya Saha
Chief Digital Officer
Mr. Arun Sundaresan
Head - ETF
Mr. Ashish Chugani
Head - Alternative Assets
Mr. Ashvin Parekh
Non-Executive Independent Director
Mr. Balasubramanyam Sriram
Non-Executive Independent Director
§ ∞ · Plainly Answered

Questions investors ask about Nippon Life India Asset Management Ltd (NAM-INDIA).

Quick answers grounded in this page's data — price action, fundamentals, ratios and ownership.

01What is the current share price of Nippon Life India Asset Management Ltd (NAM-INDIA)?

The current share price of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹1,089.1. Today, the stock has gained by ₹47.50 (4.56%), trading in a range of ₹1,048.5 to ₹1,094.7. The stock opened at ₹1,064.8 with a trading volume of 8,89,666 shares.

02Is Nippon Life India Asset Management Ltd stock a good investment for long-term?

Nippon Life India Asset Management Ltd can be considered for long-term investment based on several factors. The company has a market capitalization of ₹69,554.64 crores, P/E ratio of 46.07, ROE of 34.48%, and ROCE of 40.70%. The dividend yield stands at 2.06%. 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.

03What is the 52-week high and low price of Nippon Life India Asset Management Ltd stock?

The 52-week high price of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹0, while the 52-week low is ₹0. Currently trading at ₹1,089.1, the stock is Infinity% away from its 52-week low and -Infinity% below its 52-week high. These levels help investors understand the stock's price volatility and trading range over the past year.

04Should I buy Nippon Life India Asset Management Ltd stock at the current price?

Whether to buy Nippon Life India Asset Management Ltd stock at ₹1,089.1 depends on multiple factors. The stock is currently trading with a P/E ratio of 46.07 and P/B ratio of 14.89. Today's performance shows a gain of 4.56%. 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.

05What is the dividend yield of Nippon Life India Asset Management Ltd and when is the next dividend?

Nippon Life India Asset Management Ltd offers a dividend yield of 2.06%, which means for every ₹100 invested at the current price of ₹1,089.1, you can expect to receive approximately ₹2.06 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.

06What are the key financial ratios and metrics of Nippon Life India Asset Management Ltd?

Nippon Life India Asset Management Ltd's key financial metrics include: P/E Ratio: 46.07, P/B Ratio: 14.89, ROE: 34.48%, ROCE: 40.70%, Dividend Yield: 2.06%, EPS: ₹23.64, Book Value: ₹73.15, and Debt-to-Equity: 1.62. The company's market cap stands at ₹69,554.64 crores. These metrics help evaluate the company's valuation, profitability, and financial health.

07How is Nippon Life India Asset Management Ltd stock performing today in the market?

Nippon Life India Asset Management Ltd stock opened at ₹1,064.8 and is currently trading at ₹1,089.1, showing a gain of ₹47.50 (4.56%). The intraday high is ₹1,094.7 and low is ₹1,048.5. The trading volume stands at 8,89,666 shares, indicating moderate market participation today.

08What is the P/E ratio of Nippon Life India Asset Management Ltd and what does it indicate?

Nippon Life India Asset Management Ltd has a Price-to-Earnings (P/E) ratio of 46.07, which means investors are willing to pay ₹46.07 for every ₹1 of earnings. With an EPS of ₹23.64, 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.

Disclaimer

The data, ratios and commentary about Nippon Life India Asset Management Ltd (NAM-INDIA) on this page are published for educational and informational purposes only and are not investment, legal or tax advice. StockeZee is not a SEBI-registered investment adviser, research analyst or portfolio manager, and no content here should be construed as a recommendation to buy, hold or sell any security. Live and historical market data may be delayed, revised by the exchanges, or contain errors; figures sourced from third-party feeds and corporate disclosures may not always be current. Past performance is not indicative of future results, and equity investments carry the risk of capital loss. Before acting on anything you read here, please consult a SEBI-registered financial advisor and read all scheme-related documents carefully.