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Nippon Life India Asset Management Ltd

Nippon Life India Asset Management Ltd

NAM-INDIA Share Price

NSE
1,153.903.72% (+41.40)
High
Low
Returns
1D
1W
1M
1Y
5Y
Max
SIP
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1D
1W
1M
1Y
5Y
Max
SIP

With a market cap of ₹73,768 cr, stock is ranked 151

Stock is 2.90x as volatile as Nifty

NAM-INDIA Stock Scorecard

Performance

Avg

Price return has been average, nothing exciting

Valuation

High

Seems to be overvalued vs the market average

Growth

Avg

Financials growth has been moderate for a few years

Profitability

High

Showing good signs of profitability & efficiency

Entry point

Good

The stock is underpriced and is not in the overbought zone

Red flags

Low

No red flag found

How to use scorecard? Learn more

With a market cap of ₹73,768 cr, stock is ranked 151

Stock is 2.90x as volatile as Nifty

NAM-INDIA Performance & Key Metrics

NAM-INDIA Performance & Key Metrics

No LabelNo LabelPB RatioPB RatioDividend YieldDiv. Yield
45.0615.831.86%
Sector PESector PESector PBSector PBSector Div YldSctr Div Yld
16.322.141.17%

NAM-INDIA Analyst Ratings & Forecast

Detailed Forecast Detailed Forecast 
83%
Analysts have suggested that investors can buy this stock

from 23 analysts

Price Upside

Earnings Growth

Rev. Growth

See Detailed Forecast

NAM-INDIA Company Profile

Formerly Reliance Mutual Fund, the company is an investment management firm.

Investor Presentation

View older View older 

Jul 22, 2026

PDF
View Older Presentations

NAM-INDIA Similar Stocks (Peers)

Compare with peers Compare with peers 

NAM-INDIA Similar Stocks (Peers)

Compare with peers Compare with peers 
PE Ratio
47.11
47.11
1Y Return
21.58%
21.58%
Buy Reco %
88.89
88.89
PE Ratio
12.48
12.48
1Y Return
21.68%
21.68%
Buy Reco %
100.00
100.00
PE Ratio
38.29
38.29
1Y Return
8.24%
8.24%
Buy Reco %
89.29
89.29
PE Ratio
86.12
86.12
1Y Return
55.25%
55.25%
Buy Reco %
0.00
0.00
PE Ratio
75.83
75.83
1Y Return
2.21%
2.21%
Buy Reco %
0.00
0.00
Compare with Peers

NAM-INDIA Sentiment Analysis

NAM-INDIA Sentiment Analysis

New
Crisp summary & key insights to decode earnings calls instantly

NAM-INDIA Stock Summary · April 2026

In Q4 FY26, the company achieved its highest-ever Annual Profit After Tax, driven by robust operational performance and effective cost management, despite market volatility affecting other income. The significant growth in Assets Under Management (AUM) and market share underscores its competitive advantage, bolstered by successful fundraising and a focus on digital initiatives. A substantial dividend payout reflects confidence in sustained profitability, while the rise in Systematic Investment Plan (SIP) contributions indicates strong investor interest, particularly in equities. Looking ahead, the company is strategically preparing to launch a Strategic Investment Fund, aiming to capture emerging market opportunities, especially in the context of increasing foreign investment through GIFT City.

NAM-INDIA Stock Growth Drivers
NAM-INDIA Stock Growth Drivers
7
  • Strong Financial Performance

    In Q4 FY26, the company achieved its highest-ever Annual Profit After Tax of INR 15.29

  • Market Leadership and Growth

    Nippon Life India Asset Management emerged as the fastest-growing Asset Management Company (AMC) among the

NAM-INDIA Stock Challenges
NAM-INDIA Stock Challenges
4
  • Market Volatility and Decreased Equity AUM

    In Q4 FY26, the company faced significant market volatility, with the NIFTY index and other

  • Decline in ETF Market Share

    The company experienced a notable decline in its share of folios in the ETF space,

NAM-INDIA Forecast

NAM-INDIA Forecasts

Price

Revenue

Earnings

NAM-INDIA

NAM-INDIA

Income

Balance Sheet

Cash Flow

NAM-INDIA Income Statement

NAM-INDIA Income Statement

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Quartermar 2024jun 2024sep 2024dec 2024mar 2025jun 2025sep 2025dec 2025mar 2026jun 2026
Total Revenue560.57635.76692.08603.30589.58752.61694.71780.55705.20937.08
Operating & Other expensessubtract179.12190.18198.60203.85203.17220.28230.38236.93233.24260.63
Depreciation/Amortizationsubtract7.346.837.437.748.608.448.8210.8512.1711.96
Interest & Other Itemssubtract0.000.000.000.000.000.000.000.000.000.00
Taxes & Other Itemssubtract31.19106.42125.9596.3579.21127.77110.87128.8775.07160.79
EPS5.455.275.694.664.716.245.426.346.047.89

NAM-INDIA Company Updates

Annual Report and Investor Presentation updates mentioned here are as reported by the company to the exchange
FY 2027FY 2027

Annual Report Pending

Investor Presentation

Jul 22PDF
FY 2026FY 2026

Annual report

PDF

Investor Presentation

Apr 27PDF
Jan 29PDF
Oct 30PDF
Jul 28PDF
FY 2025FY 2025

Annual report

PDF

Investor Presentation

Apr 28PDF
Jan 23PDF
Oct 24PDF
FY 2024FY 2024

Annual report

PDF

Investor Presentation

Jul 27PDF
FY 2023FY 2023

Annual report

PDF

Investor Presentation

Apr 25PDF
FY 2022FY 2022

Annual report

PDF
FY 2021FY 2021

Annual report

PDF
FY 2020FY 2020

Annual report

PDF
FY 2019FY 2019

Annual report

PDF
FY 2018FY 2018

Annual report

PDF
 

NAM-INDIA Stock Peers

NAM-INDIA Past Performance & Peer Comparison

NAM-INDIA Past Performance & Peer Comparison

Comparing 3 stocks from 
FinancialsAsset Management

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StockPE RatioPE RatioPB RatioPB RatioDiv. YieldDividend Yield
Nippon Life India Asset Management Ltd48.2315.831.86%
ICICI Prudential Asset Management Company Ltd47.1137.253.25%
Bajaj Holdings and Investment Ltd12.481.461.80%
HDFC Asset Management Company Ltd38.2911.862.11%

NAM-INDIA Stock Price Comparison

Compare NAM-INDIA with any stock or ETF
Compare NAM-INDIA with any stock or ETF
NAM-INDIA
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NAM-INDIA Holdings

NAM-INDIA Shareholdings

NAM-INDIA Promoter Holdings Trend

NAM-INDIA Promoter Holdings Trend

Total Promoter Holding
Increasing promoter holding is considered good and reflects management’s positive view about the future outlook

In last 6 months, promoter holding in the company has almost stayed constant

Low Pledged Promoter Holding
Lower pledged promoter holdings is considered better

Pledged promoter holdings is insignificant

NAM-INDIA Institutional Holdings Trend

NAM-INDIA Institutional Holdings Trend

Total Retail Holding
Increasing retail holding can be considered bad as it can reflect that institutions and promoters are selling their stake which is being absorbed by retail investors.

In last 3 months, retail holding in the company has almost stayed constant

Foreign Institutional Holding
Foreign Institutional Holding is quantum of stock held by foreign large-quantities-trading entities. Increasing value indicates growing support and comfort for the stock

In last 3 months, foreign institutional holding of the company has almost stayed constant

Tickertape Separator

NAM-INDIA Shareholding Pattern

NAM-INDIA Shareholding Pattern

Retail and OthersForeign InstitutionsOther Domestic InstitutionsMutual FundsTotal Promoter Holding71.80%11.05%4.44%7.04%5.67%

Sep 2025

Dec 2025

Mar 2026

Jun 2026

NAM-INDIA Shareholding History

NAM-INDIA Shareholding History

MarJunSepDec '25MarJun8.34%7.60%7.64%7.90%7.34%7.04%

Mutual Funds Invested in NAM-INDIA

Mutual Funds Invested in NAM-INDIA

No mutual funds holding trends are available

Top 5 Mutual Funds holding Nippon Life India Asset Management Ltd




Funds (Top 5)Market-cap heldWeight3M holding changePortfolio rank
(3M change)
1.6232%1.14%0.21%34/80 (+3)
1.4878%1.63%0.27%28/71 (+7)
0.6413%5.60%2.88%2/54 (+1)

Compare 3-month MF holding change on Screener

NAM-INDIA Insider Trades & Bulk Stock Deals

NAM-INDIA Insider Trades & Bulk Stock Deals

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smallcases containing NAM-INDIA stock

smallcases containing NAM-INDIA stock

A smallcase is a basket of stocks/ETFs that represents an idea or theme.Diversify your risk and buy smallcases that have Nippon Life India Asset Management Ltd

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The Great Indian Middle Class Theme

The Great Indian Middle Class Theme

Created by Windmill Capital

NAM-INDIA's Wtg.
4.56%
4.56%
CAGR
8.20%
Zero Debt Quality Model

Zero Debt Quality Model

Created by Windmill Capital

NAM-INDIA's Wtg.
8.33%
8.33%
CAGR
11.06%
Capital Markets Tracker

Capital Markets Tracker

Created by Windmill Capital

NAM-INDIA's Wtg.
4.10%
4.10%
CAGR
34.17%

NAM-INDIA Events

NAM-INDIA Events

NAM-INDIA Dividend Trend

Increasing Dividends
Dividends are the portion of earnings that a company distributes to all its shareholders every year

NAM-INDIA has increased dividends consistently over the last 5 years

Dividend Yield
Dividend return is one of the most important things to be considered while investing for long term. It is the additional return on top of what investors earn through price appreciation

Current dividend yield is 1.93%. An investment of ₹1,000 in the stock is expected to generate dividend of ₹19.29 every year

Dividends

Corp. Actions

Announcements

Legal Orders

NAM-INDIA Dividend Trend

Increasing Dividends
Dividends are the portion of earnings that a company distributes to all its shareholders every year

NAM-INDIA has increased dividends consistently over the last 5 years

Dividend Yield
Dividend return is one of the most important things to be considered while investing for long term. It is the additional return on top of what investors earn through price appreciation

Current dividend yield is 1.93%. An investment of ₹1,000 in the stock is expected to generate dividend of ₹19.29 every year

NAM-INDIA Upcoming Dividends

NAM-INDIA Upcoming Dividends

No upcoming dividends are available

NAM-INDIA Past Dividends

NAM-INDIA Past Dividends

Cash Dividend

Ex DateEx DateJun 25, 2026

Final
Final | Div/Share: ₹12.50

Dividend/Share

12.50

Ex DateEx Date

Jun 25, 2026

Cash Dividend

Ex DateEx DateNov 6, 2025

Interim
Interim | Div/Share: ₹9.00

Dividend/Share

9.00

Ex DateEx Date

Nov 6, 2025

Cash Dividend

Ex DateEx DateJul 4, 2025

Final
Final | Div/Share: ₹10.00

Dividend/Share

10.00

Ex DateEx Date

Jul 4, 2025

Cash Dividend

Ex DateEx DateNov 6, 2024

Interim
Interim | Div/Share: ₹8.00

Dividend/Share

8.00

Ex DateEx Date

Nov 6, 2024

Cash Dividend

Ex DateEx DateJun 28, 2024

Final
Final | Div/Share: ₹11.00

Dividend/Share

11.00

Ex DateEx Date

Jun 28, 2024

NAM-INDIA Stock News & Opinions

NAM-INDIA Stock News & Opinions

Spotlight
Spotlight
Nippon Life posts 27% YoY rise in Q1 PAT; closing AUM climbs to Rs 8.62 trilion

Operating expenditure rose by 19% to Rs 272.6 crore in Q1 FY27 from Rs 228.7 crore in Q1 FY26. This was primarily due to higher employee expenses (up 13% YoY), higher other expenses (up 29% YoY) and higher fees & commissions (up 9% YoY). Profit before tax was up 27% to Rs 664.5 crore in Q1 FY27, compared with Rs 523.9 crore in the corresponding quarter of the previous year. NAM India's closing AUM grew 16% YoY to Rs 8.62 trillion as on 30 June 2026. Nippon India Mutual Fund's (NIMF's) mutual fund QAAUM grew 23% YoY to Rs 7.52 trillion at the end of June 2026 quarter. NIMF's quarterly systematic flows rose by 13% YoY to Rs 110.3 billion for Q1 FY27. This resulted in an annualised systematic book of Rs 446 crore. Nippon India AIF offers Category II and Category III Alternative Investment Funds and has a total commitment of Rs 95.8 billion across various schemes (up 18% YoY). Sundeep Sikka, MD & CEO, NAM India, said: 'We continued our strong growth, with the highest market share increase in the Industry in Q1 FY27. Net Sales market share improved QoQ, while SIP market share was steady - importantly both remain well above Equity AUM market share. We remain humbled to have the trust of over 1 in every 3 mutual fund investors. Nippon Life India Asset Management (NAM India) is one of the largest asset managers in India, managing (directly & indirectly) assets across mutual funds including exchange traded funds, managed accounts, including portfolio management services, alternative investments funds, and offshore funds and advisory mandates. NAM India is the asset manager of Nippon India Mutual Fund's schemes. The scrip fell 3.45% to currently trade at Rs 1106.80 on the BSE. Powered by Capital Market - Live

4 days agoCapital Market - Live
Earnings
Earnings
Nippon Life India Asset Management consolidated net profit rises 27.16% in the June 2026 quarter

Net profit of Nippon Life India Asset Management rose 27.16% to Rs 503.70 crore in the quarter ended June 2026 as against Rs 396.12 crore during the previous quarter ended June 2025. Sales rose 26.42% to Rs 766.87 crore in the quarter ended June 2026 as against Rs 606.61 crore during the previous quarter ended June 2025. ParticularsQuarter EndedJun. 2026Jun. 2025% Var. Sales766.87606.61 26 OPM %66.2263.98 - PBDT676.45532.33 27 PBT664.49523.89 27 NP503.70396.12 27 Powered by Capital Market - Live

4 days agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Mgt. to hold board meeting

Nippon Life India Asset Mgt. will hold a meeting of the Board of Directors of the Company on 22 July 2026.

1 month agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Management allots 5.15 lakh equity shares under ESOP

Nippon Life India Asset Management has allotted 5,15,730 equity shares under ESOP on 22 June 2026. With this allotment, the paid up equity share capital has increased to 63,92,95,897 equity shares of Rs 10 each.

1 month agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Management allots 2.97 lakh equity shares under ESOP

Nippon Life India Asset Management has allotted 2,97,221 equity shares under ESOP on 11 June 2026. With this allotment, the paid up equity share capital has increased to 63,87,80,167 equity shares of Rs 10 each.

1 month agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Management allots 1.93 lakh equity shares under ESOP

Nippon Life India Asset Management has allotted 1,93,469 equity shares under ESOP on 25 May 2026. With this allotment, the paid up equity share capital has increased to 63,84,82,946 equity shares under ESOP.

2 months agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Management allots 1.73 lakh equity shares under ESOP

Nippon Life India Asset Management has allotted 1,73,481 equity shares under ESOP on 11 May 2026. With this allotment, the paid up equity share capital has increased to 63,82,89,477 equity shares of Rs 10 each.

2 months agoCapital Market - Live
Corporate
Corporate
Nippon Life India Asset Management receives ESG rating of 62

Nippon Life India Asset Management announced that ESG Risk Assessments & Insights (ESGRisk.ai), a SEBI registered ESG Rating Provider, has assigned an Environmental, Social, and Governance (ESG) rating of '62 (Strong)' to the Company.

2 months agoCapital Market - Live
Earnings
Earnings
Nippon Life India Asset Management consolidated net profit rises 28.84% in the March 2026 quarter

Net profit of Nippon Life India Asset Management rose 28.84% to Rs 384.72 crore in the quarter ended March 2026 as against Rs 298.60 crore during the previous quarter ended March 2025. Sales rose 30.39% to Rs 738.73 crore in the quarter ended March 2026 as against Rs 566.54 crore during the previous quarter ended March 2025. For the full year,net profit rose 18.89% to Rs 1529.38 crore in the year ended March 2026 as against Rs 1286.39 crore during the previous year ended March 2025. Sales rose 21.43% to Rs 2708.74 crore in the year ended March 2026 as against Rs 2230.69 crore during the previous year ended March 2025. ParticularsQuarter EndedYear EndedMar. 2026Mar. 2025% Var.Mar. 2026Mar. 2025% Var. Sales738.73566.54 30 2708.742230.69 21 OPM %68.6564.46 -66.2664.63 - PBDT471.96386.41 22 2012.241724.92 17 PBT459.79377.81 22 1971.961694.32 16 NP384.72298.60 29 1529.381286.39 19 Powered by Capital Market - Live

3 months agoCapital Market - Live
Corporate
Corporate
Board of Nippon Life India Asset Mgt. recommends final dividend

Nippon Life India Asset Mgt. announced that the Board of Directors of the Company at its meeting held on 27 April 2026, inter alia, have recommended the final dividend of Rs 12.5 per equity Share (i.e. 125%) , subject to the approval of the shareholders.

3 months agoCapital Market - Live

Frequently asked questions

Frequently asked questions

  1. What is the share price of Nippon Life India Asset Management Ltd (NAM-INDIA) today?

    The share price of NAM-INDIA as on 27th July 2026 is ₹1153.90. The stock prices are volatile and keep changing through the day depending upon various factors and market conditions.

  2. What is the return on Nippon Life India Asset Management Ltd (NAM-INDIA) share?

    The past returns of Nippon Life India Asset Management Ltd (NAM-INDIA) share are
    • Past 1 week: -2.53%
    • Past 1 month: 1.12%
    • Past 3 months: 16.59%
    • Past 6 months: 44.43%
    • Past 1 year: 45.45%
    • Past 3 years: 264.06%
    • Past 5 years: 196.14%

  3. What are the peers or stocks similar to Nippon Life India Asset Management Ltd (NAM-INDIA)?
  4. What is the dividend yield % of Nippon Life India Asset Management Ltd (NAM-INDIA) share?

    The current dividend yield of Nippon Life India Asset Management Ltd (NAM-INDIA) is 1.86.

  5. What is the market cap of Nippon Life India Asset Management Ltd (NAM-INDIA) share?

    Market capitalization, short for market cap, is the market value of a publicly traded company's outstanding shares. The market cap of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹73768.35 Cr as of 27th July 2026.

  6. What is the 52 week high and low of Nippon Life India Asset Management Ltd (NAM-INDIA) share?

    The 52-week high of Nippon Life India Asset Management Ltd (NAM-INDIA) is ₹1233.50 and the 52-week low is ₹780.25.

  7. What is the PE and PB ratio of Nippon Life India Asset Management Ltd (NAM-INDIA) stock?

    The P/E (price-to-earnings) ratio of Nippon Life India Asset Management Ltd (NAM-INDIA) is 48.23. The P/B (price-to-book) ratio is 15.83.

  8. Which sector does Nippon Life India Asset Management Ltd (NAM-INDIA) belong to?

    Nippon Life India Asset Management Ltd (NAM-INDIA) belongs to the Financials sector & Asset Management sub-sector.

  9. How to buy Nippon Life India Asset Management Ltd (NAM-INDIA) shares?

    You can directly buy Nippon Life India Asset Management Ltd (NAM-INDIA) shares on Tickertape. Simply sign up, connect your demat account and place your order.