Nippon Life India Asset Management is an asset management company within India's capital markets sector. The company generated revenues of ₹611–₹767 Cr in recent quarters with net profits of ₹338–₹504 Cr, operating with high operating margins (66.26%) and zero debt. Backed by the Nippon Life parent, it is positioned as a capital-efficient player in the Indian AMC landscape.
Face value
₹10
Market cap
₹66,871 Cr
P/E
40.9×
P/B
14.3×
Dividend yield
3%
ROE
34.5%
ROCE
—
Debt / equity
0
OPM
66.3%
EPS (TTM)
₹25.7
Book value
₹73.0
52-week high
—
52-week low
Key insights
Company research notes and source-linked reviews
Key risks
Valuation at PE 45.61 leaves limited downside protection if earnings growth disappoints
Operating margins of 66.26% (quarterly range 65–72%) depend on AUM expansion; verify sustainability if investor inflows slow
Asset management revenues are cyclical with equity market participation; significant market downturns would compress earnings
SEBI regulatory changes on fees or commission structures could directly compress the margins that drive profitability
Generated analysis · source review pending
Growth drivers
Quarterly revenue grew from ₹611 Cr (Sep 2025) to ₹767 Cr (Jun 2026); verify whether driven by AUM inflows, fee rate expansion, or new products
EPS grew 48% from ₹5.33 to ₹7.89, outpacing revenue growth of 25%, indicating strong per-share profitability gains
ROE of 34.48% indicates capital efficiency sufficient to self-fund organic growth through reinvestment
Generated analysis · source review pending
2,196 historical price candles were omitted because the exchange source has not been verified.
₹1,046.0-2.1%1Y
Quick read
rule-based
Pros
+Strong return on equity of 31.8% (3-yr avg)
+High return on capital employed of 21.3%
+Healthy operating margin of 66.3%
+Profit CAGR of 17.6% over the last 5 years
+Revenue CAGR of 20.6% over the last 5 years
+Almost debt-free (debt/equity 0)
+Comfortable interest coverage of 282.7×
+Dividend yield of 3%
+High promoter holding of 71.8% with no pledge
Cons
−Trading at 14.3× book value
Research score
Structured signal from quality, growth, valuation and momentum.
70/100
Business quality
100
Revenue & net profit
₹ crore, by fiscal year
RevenuePAT
Margins
% of revenue, by fiscal year
OPMPAT margin
Peers
Comparable companies from the narrowest available industry classification.
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Financials
Reported profit and loss, balance sheet, cash flow and growth history.
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Ratios
Annual operating, return, leverage and working-capital ratios.
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Shareholding
Quarterly ownership, named holders, insider transactions and disclosed deals.
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F&O
Current futures and options contracts with compact option-chain pages.
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Fund holders
Mutual-fund schemes that disclosed a holding in the company.
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Documents
Annual reports, exchange filings, offer documents, ratings and earnings-call material.
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Events
Upcoming dates and the company’s corporate-action history.
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Announcements
Latest exchange announcements, filings and downloadable documents.
Derived from reported annual statements. ROCE uses EBIT over capital employed (total assets less current liabilities). Day counts average the opening and closing balance; receivables turn on revenue, inventory and payables on cost of goods sold.
Disclosed under SEBI’s insider-trading regulations, which require a filing only above ₹10 lakh in a quarter — smaller dealings are in no disclosure. Holdings are the filer’s own percentages, not recomputed.
Bulk deals are a client trading over 0.5% of the equity in a session, aggregated across their trades; block deals are single negotiated trades in the exchange’s block window. Each is reported by the exchange it was crossed on, so NSE and BSE rows are separate trades rather than the same trade twice.
3
Analyst / investor meeting24 Sept 2026 · 7 days agomeeting
Analyst / investor meeting28 Sept 2026 · 3 days agomeeting
Analyst / investor meeting29 Sept 2026 · 2 days agomeeting
18
Final dividend25 Jun 2026 · ex-date₹12.5
Interim dividend6 Nov 2025 · ex-date₹9
Final dividend4 Jul 2025 · ex-date₹10
Interim dividend6 Nov 2024 · ex-date₹8
Final dividend28 Jun 2024 · ex-date₹11
Interim dividend9 Nov 2023 · ex-date₹5.5
Final dividend30 Jun 2023 · ex-date₹7.5
Interim dividend1 Nov 2022 · ex-date₹4
Final dividend30 Jun 2022 · ex-date₹7.5
Interim dividend8 Nov 2021 · ex-date₹3.5
Final dividend10 Jun 2021 · ex-date₹5
Interim dividend5 Feb 2021 · ex-date₹3
Final dividend29 Jun 2020 · ex-date₹2
Interim dividend3 Feb 2020 · ex-date₹3
Interim dividend9 May 2019 · ex-date₹3
Interim dividend31 Jan 2019 · ex-date₹3
Dividend dividend12 Sept 2018 · ex-date₹1
Interim dividend31 Jan 2018 · ex-date₹5
1
Board meeting to consider results22 Jul 2026
Open the chart icon on a row for that contract's close over 103 stored sessions, with open interest as bars beneath it.
Shaded cells are in the money against the underlying close. Green and red mark the move against the previous close — on the premium for LTP, on the position for change in OI. Settlement prices are the exchange's, not the last trade.
11 Sept 2026, 3:28 pmCompany Update
Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation