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Nippon Life India Asset Management share price

Balanced risk
  • 28%Low risk
  • 28%Moderate risk
  • 28%Balanced risk
  • 28%High risk
  • 28%Extreme risk
  • 814.40(-0.76%)
    December 10, 2025 15:51:33 PM IST
    • NSE
    • BSE
  • Vol : 219.88 K (NSE + BSE)
    Last 20 day avg : 645.42 K

Nippon Life India Asset Management is trading -0.76% lower at Rs 814.40 as compared to its last closing price. Nippon Life India Asset Management has been trading in the price range of 830.00 & 810.00. Nippon Life India Asset Management has given 12.61% in this year & -2.29% in the last 5 days. Nippon Life India Asset Management has TTM P/E ratio 39.52 as compared to the sector P/E of 19.41.There are 21 analysts who have initiated coverage on Nippon Life India Asset Management. There are 9 analysts who have given it a strong buy rating & 7 analysts have given it a buy rating. 1 analysts have given the stock a sell rating.The company posted a net profit of 344.64 Crores in its last quarter.Listed peers of Nippon Life India Asset Management include Authum Investment & Infrastructure (-0.50%), Motilal Oswal Financial Services (-2.24%), Multi Commodity Exchange Of India (-4.91%).The Mutual Fund holding in Nippon Life India Asset Management was at 8.32% in 30 Sep 2025. The MF holding has decreased from the last quarter. The FII holding in Nippon Life India Asset Management was at 7.65% in 30 Sep 2025. The FII holding has increased from the last quarter.

  • Overview
  • Financials
  • Forecast
  • Technical Analysis
  • Peers
  • Shareholding
  • About the company
  • FAQ

Overview

  • 1 D
  • 5 D
  • 1 M
  • 3 M
  • 6 M
  • 1 Y
  • 5 Y
  • MAX
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Key Metrics

Updated on Dec 11, 2025, 01:19 AM UTC

  • Beta
    Beta measures a stock's volatility compared to the overall market. A beta > 1 indicates higher volatility than the market.
    0.98
    Medium volatility
  • Debt To Equity
    The debt-to-equity ratio, indicating a company's financial leverage.
    0.02
    Lower than industry
  • Dividend Yield
    Annual dividends as a percentage of the stock price.
    2.32
    Higher than industry
  • P/B
    The P/B ratio shows how a stock's market price compares to its book value. It helps gauge whether a stock is undervalued or overvalued relative to its net assets.
    12.33
    Higher than historical values
  • P/E
    Price-to-earnings ratio based on trailing 12-month earnings
    39.19
    Higher than historical values
  • PEG Ratio
    The PEG ratio evaluates a stock's valuation by comparing its P/E ratio to its earnings growth rate. A lower PEG suggests better value relative to growth
    2.03
    Indicates overvaluation
Price range
Day Range
Lowest
810.00
Highest
830.00
52 week range
Lowest
456.05
Highest
986.70
Nippon Life India Asset Management Peers
Return Comparison
Peers Comparison
Names
Technical ratingPrice%ChangeMarket CapP/EP/BDividend YieldDebt to Equity
Authum Investment & Infrastructure
Moderately Bearish
2,528.90-0.5042,762.019.983.010.061.95
Motilal Oswal Financial Services
Bearish
831.25-2.2449,825.7122.294.960.5542.25
Multi Commodity Exchange Of India
Neutral
9,845.00-4.9150,207.8992.1718.340.300.01
360 One Wam
Neutral
1,102.30-1.3044,649.5140.306.280.8944.58
HDFC Asset Management Company
Moderately Bearish
2,606.351.831,12,213.0945.2513.651.731.38
Mutual Fund Ownership
View all
Tata Retirement Savings Conservative Fund Growth
NA
  • Amount Invested (Cr.) 1.21
  • % of AUM 0.68
DSP Regular Saving Fund Regular Plan Growth
3/5
  • Amount Invested (Cr.) 0.26
  • % of AUM 0.15
Nippon Life India Asset Management Corporate Actions
View all
  • Board Meetings
  • AGM
  • Dividends
  • Bonus
  • Split
  • Rights
Meeting DatePurpose
2025-10-30Quarterly Results & Interim Dividend
2025-04-28Audited Results & Final Dividend
2025-01-23Quarterly Results
2024-10-24Quarterly Results & Interim Dividend
2024-07-19Quarterly Results
About the company Nippon Life India Asset Management
  • IndustryInvestment Services
  • ISININE298J01013
  • BSE Code540767
  • NSE CodeNAM-INDIA
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.
  • Management Info
  • Sundeep SikkaChief Executive Officer, Executive Director
  • Parag JoglekarChief Financial Officer
  • Saugata ChatterjeePresident & Chief Business Officer
  • Shailesh Raj BhanPresident & CIO - Equity Investments
  • Abhijit SinghChief Executive Officer and Global Sales Head International Business at NAM Singapore
  • Amit TripathiPresident & CIO - Fixed Income
  • Rajesh DerhgawenChief Human Resources Officer
  • Abhijit ShahChief Technology Officer
  • Kaiyomurz DaverChief Marketing Officer
  • Valde VargheseChief Compliance Officer, Company Secretary
Nippon Life India Asset Management Share Price FAQs

Nippon Life India Asset Management is trading at 814.40 as on Wed Dec 10 2025 10:21:33. This is -0.76% lower as compared to its previous closing price of 820.60.

The market capitalization of Nippon Life India Asset Management is 51725.41 Cr as on Wed Dec 10 2025 10:21:33.

The average broker rating on Nippon Life India Asset Management is Buy. The breakup of analyst rating is given below -

  • 9 analysts have given a strong buy rating
  • 7 analysts have given a buy rating
  • 4 analysts have given a hold rating
  • 1 analysts have given a sell rating
  • 0.00 analysts have given a strong sell rating

The 52 wk high for Nippon Life India Asset Management is 986.70 whereas the 52 wk low is 456.05

Nippon Life India Asset Management can be analyzed on the following key metrics -

  • TTM P/E: 39.52
  • Sector P/E: 19.41
  • Dividend Yield: 2.32%
  • D/E ratio: 0.02

Nippon Life India Asset Management reported a net profit of 1286.39 Cr in 2025.

The Mutual Fund Shareholding was 8.32% at the end of 30 Sep 2025.