Nippon Life India Asset Management

Nippon Life India Asset Management

NAM-INDIA

 ₹ 582.80
 ₹ 3.15
0.54%

Nippon Life India Asset Management  
Market Sentiment

TimelineReturnsVolume
Daily0.54%8,77,302
Weekly1.81%21,75,471
Monthly5.34%2,40,79,018

Nippon Life India Asset Management  
Performance

TimelineDailyWeeklyMonthly
NAM-INDIA0.54%1.81%5.34%
Index-1.15%0.41%-0.01%
Peer Avg.-0.02%2.48%2.35%
*Avg of index constituents

Nippon Life India Asset Management  
Fundamentals

TimelinePEPBEV/EBIDTAROEROCEDiv. Yield
NAM-INDIA29.796.5416.7923.1529.934.34
Index35.445.9816.8116.9918.411.19
Peer Avg.0.000.000.000.000.000.00
*Avg of index constituents

Nippon Life India Asset Management  
Key Metrics

MetricsSales GrowthProfit GrowthROEROCE
FY '21-2223.04%9.47%23.1529.93
FY '20-21-12.27%60.46%24.2530.68
FY '19-20-19.34%-13.94%16.4122.11

Nippon Life India Asset Management  
Shareholding Pattern

PromotersFIIDIIPublicOthers
Promoters : 73.8%
FII : 6.69%
DII : 8.83%
Public : 10.68%
Others : 0%

Nippon Life India Asset Management  
Profit & Loss

MetricsSalesExpenditureEBITDAPAT
FY '21-221,260.31484.71997.83727.29
FY '20-211,024.34475.30897.30664.39
FY '19-201,167.33656.21599.16414.03
All values are in crores

Nippon Life India Asset Management  
Peer Comparison

MetricsSalesExpenditureEBITDAPAT
NAM-INDIA1,260.31484.71997.83727.29
MAZDOCK5,733.285,290.80864.43574.79
IIFLWAM1,008.63546.90836.29493.29
All values are in crores

Nippon Life India Asset Management  
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Nippon Life India Asset Management Share Price

Nippon Life India Asset Management Limited is an investment management company. The main activity of the company is investment manager of Nippon India Mutual Fund. The company manages investment funds such as exchange-traded funds (ETFs); managed accounts, including portfolio management services, alternative investment funds and pension funds, and foreign funds and advisory activities. Its four foreign schemes are UCITS Equity Fund, UCITS Fixed Income Fund, India Fixed Income ETF and India Fixed Income ETF. The firm acts as an advisor to India-focused equity and bond funds in Japan and Thailand. It also manages offshore funds through its subsidiary in Singapore and has a representative office in Dubai serving investors in Asia, the Middle East, the UK, the US and Europe. Its subsidiaries include Nippon Life India Asset Management (Singapore) Pte. Ltd. and Nippon Life India AIF Management Limited.

Nippon Life India Asset Management FAQs

How to Buy Nippon Life India Asset Management Share?

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To purchase Nippon Life India Asset Management shares, you can open a Demat & Trading account through a broker or financial institution. Once your account is set up and funded, search for Nippon Life India Asset Management (ticker symbol: nam-india) on the trading platform provided by your broker and purchase the shares.

What's Nippon Life India Asset Management share price today?

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The stock price of Nippon Life India Asset Management as of 17 May 2024 is ₹582.80

What is the Market Cap of Nippon Life India Asset Management?

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Market capitalisation represents the total market value of a company's outstanding shares. As of 17 May 2024, Nippon Life India Asset Management (ticker symbol: nam-india) has a market capitalisation of approximately ₹1,57,78,80,22,167.60

What is the PE and PB ratio of Nippon Life India Asset Management?

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Nippon Life India Asset Management Ltd's price-to-book ratio as of 17 May 2024 is 6.5433445, reflecting the market's valuation compared to its asset value. As of 17 May 2024, the trailing twelve months P/E (price-to-earnings) ratio is 29.78768, indicating the market values the company at around ₹29.79 for every ₹1 of earnings

What is the 52 Week High and Low of Nippon Life India Asset Management Share?

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Nippon Life India Asset Management Ltd (nam-india) hit its 52-week high at ₹623.00, and its 52-week low at { ₹230.30}.
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