Valuation: Nippon Life India Asset Management Limited

Capitalization 69TCr 713.28Cr 615.21Cr 563.56Cr 532.52Cr 981.73Cr 1.01TCr 6.72TCr 2.62TCr 33TCr 2.68TCr 2.62TCr 1,13500Cr P/E ratio 2026
33.9x
P/E ratio 2027 * 38.6x
Enterprise value 69TCr 710.02Cr 612.39Cr 560.98Cr 530.09Cr 977.25Cr 1TCr 6.69TCr 2.6TCr 32TCr 2.66TCr 2.61TCr 1,13000Cr EV / Sales 2026
17.3x
EV / Sales 2027 * 20.4x
Free-Float
27.55%
Yield 2026
2.68%
Yield 2027 * 2.27%
1 day-0.07%
1 week+4.25%
Current month+7.15%
1 month+6.62%
3 months+15.02%
6 months+22.55%
Current year+23.03%
1 week 1,060.1
Extreme 1060.1
1,114
1 month 972.1
Extreme 972.1
1,117.9
Current year 795.8
Extreme 795.8
1,117.9
1 year 712.1
Extreme 712.1
1,117.9
3 years 230.3
Extreme 230.3
1,117.9
5 years 196.9
Extreme 196.9
1,117.9
10 years 127.2
Extreme 127.2
1,117.9
Manager TitleAgeSince
Chief Executive Officer 53 22/04/2016
Director of Finance/CFO - 19/09/2024
President - -
Director TitleAgeSince
Director/Board Member 53 22/04/2016
Director/Board Member 72 01/08/2020
Director/Board Member 66 15/03/2021
Change 5d. change 1-year change 3-years change Capi.($)
-0.07%+4.25%+44.50%+357.98% 713.28Cr
-2.38%-6.92%-21.44%+37.53% 8.98TCr
-3.18%-6.58%-25.95%+85.73% 8.34TCr
-2.09%-2.06%-28.18%+44.80% 2.73TCr
-0.71%-0.77%+13.46%+44.72% 2TCr
-2.32%-9.03%-4.97%+66.74% 1.64TCr
-3.69%-2.81%+38.63%+25.72% 1.6TCr
-1.11%-24.77% - - 1.53TCr
-0.80%-1.07%-15.24%-0.80% 1.33TCr
-0.68%-0.62%+10.62%+194.97% 1.17TCr
Average -1.70%-4.11%+1.27%+95.27% 3TCr
Weighted average by Cap. -2.27%-5.46%-13.38%+66.56%

Financials

2026 2027 *
Net sales 2.85TCr 29Cr 25Cr 23Cr 22Cr 41Cr 42Cr 277.29Cr 107.98Cr 1.34TCr 110.51Cr 108.16Cr 4.69TCr 3.37TCr 35Cr 30Cr 28Cr 26Cr 48Cr 49Cr 327.73Cr 127.63Cr 1.59TCr 130.62Cr 127.83Cr 5.54TCr
Net income 1.51TCr 16Cr 13Cr 12Cr 12Cr 22Cr 22Cr 147.12Cr 57Cr 712.13Cr 59Cr 57Cr 2.49TCr 1.79TCr 18Cr 16Cr 15Cr 14Cr 25Cr 26Cr 173.64Cr 68Cr 840.51Cr 69Cr 68Cr 2.93TCr
Net Debt -315.6Cr -3.26Cr -2.81Cr -2.58Cr -2.43Cr -4.49Cr -4.6Cr -31Cr -12Cr -148.57Cr -12Cr -12Cr -518.79Cr -344.5Cr -3.56Cr -3.07Cr -2.81Cr -2.66Cr -4.9Cr -5.02Cr -34Cr -13Cr -162.17Cr -13Cr -13Cr -566.3Cr
Logo Nippon Life India Asset Management Limited
Nippon Life India Asset Management Limited is an asset management company. The Company’s principal activity is to act as an investment manager to Nippon India Mutual Fund. It is involved in managing mutual funds, such as Exchange Traded Funds (ETFs); Managed Accounts, including portfolio management services, alternative investment funds and pension funds; Gift City, and Offshore Funds and Advisory Mandates. Its offshore schemes include UCITS Equity Fund, UCITS Fixed Income Fund, India Fixed Income ETF, and Managed Accounts. The Company acts as an advisor for India-focused Equity & Fixed Income funds in Japan. It also manages offshore funds and distribution through its subsidiary Nippon Life India Asset Management (Singapore) Pte. Ltd. (NAM Singapore or NAMS) and also through its representative office in Dubai. NAMS caters to overseas retail, institutional, and high-net worth investors across Asia, the Middle East, the United Kingdom, the United States, Latin America, and Europe.
Employees
1,104
Date Price Change Volume
19/26/19 1,082.20 -0.07% 12,12,511
18/26/18 1,083.00 -1.60% 11,08,946
15/26/15 1,100.60 +0.76% 8,43,168
14/26/14 1,092.30 +3.09% 13,08,254
13/26/13 1,059.60 +2.07% 15,91,692
Trader
Investor
Global
Quality
ESG MSCI
-
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
23
Last Close Price
1,082.20INR
Average target price
1,086.48INR
Spread / Average Target
+0.40%

Quarterly revenue - Rate of surprise

  1. Stock Market
  2. Equities
  3. NAM-INDIA Stock