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Research path: Interpret Nippon Life India Asset Management's snapshot alongside the wider market dashboard, the financial-statement research guide and the valuation-ratios field guide.
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IND AS · INR crore
| Metric | 2026 | 2025 | 2024 |
|---|---|---|---|
| Total Liabilities Shareholders' Equity | 5,192.28 | 4,670.14 | 4,375.04 |
| Accumulated Depreciation Total | -60.17 | -45.08 | -38.8 |
| Cash Equivalents | 0 | 0 | 0 |
| Other Liabilities Total | 97.52 | 72.82 | 69.62 |
| Common Stock Total | 638.12 | 634.7 | 630 |
| Other Equity Total | 38.8 | 36.17 | 49.58 |
| Total Assets | 5,192.28 | 4,670.14 | 4,375.04 |
| Current Portof LT Debt/Capital Leases | 12.17 | 2.05 | Not available |
| Additional Paid-In Capital | 1,245.35 | 1,148.61 | 1,014.36 |
| Cash | 16.58 | 26.55 | 24.23 |
| Total Equity | 4,659.14 | 4,212.92 | 3,982.18 |
| Long Term Investments | 4,031 | 3,561.27 | 3,740.09 |
| Retained Earnings(Accumulated Deficit) | 2,590.59 | 2,269.55 | 2,184.45 |
| Total Common Shares Outstanding | 63.81 | 63.47 | 63 |
| Property/Plant/Equipment Total-Gross | 736.59 | 674.54 | 57.2 |
| Tangible Book Valueper Share Common Eq | 69.22 | 62.56 | 58.22 |
| Total Liabilities | 533.14 | 457.22 | 392.86 |
| Total Debt | 75.34 | 88.03 | 78.59 |
| Cashand Short Term Investments | 16.58 | 26.55 | 24.23 |
| Total Receivables Net | 85.45 | 78.75 | 138.18 |
| Notes Payable/Short Term Debt | 0 | 0 | 0 |
| Deferred Income Tax | 128.94 | 120.34 | 89.39 |
| Accounts Receivable-Trade Net | 83.63 | 77.52 | 136.75 |
| Property/Plant/Equipment Total-Net | 676.42 | 629.46 | 18.4 |
| ESOP Debt Guarantee | 146.28 | 123.89 | 103.79 |
| Accounts Payable | 95.61 | 58.9 | 50.07 |
| Other Currentliabilities Total | 135.73 | 117.13 | 105.19 |
| Total Long Term Debt | 63.17 | 85.98 | 78.59 |
| Other Assets Total | 40.66 | 31.83 | 23.78 |
| Intangibles Net | 242.06 | 242.23 | 314.38 |
| Other Long Term Assets Total | 59.57 | 66.49 | 77.77 |
| Note Receivable-Long Term | 40.54 | 33.56 | 38.21 |
| Capital Lease Obligations | 63.17 | 85.98 | 78.59 |
PEG Ratio1.79
Price to Sale Ratio28.28
Debt 5Yr CAGR %7.92
Operating Margin 12m64.97
Operating Margin 5y Avg61.54
Net Profit Margin 12m57.01
Net Profit Margin 5y57.39
Dividend Yield %1.77
Overall RiskBalanced risk
Board Risk43.36
ConsensusBuy
Consensus score2.00
Analyst opinions24
Strong Sell count0
Sell count1
Hold count5
Buy count11
Strong Buy count7
Provider consensus uses a 1 (Strong Buy) to 5 (Strong Sell) score. The payload does not include price targets, so none are inferred from 52-week prices or recommendation percentages.Only peers present in the company profile payload are displayed.
| Company | Price | Market cap | P/E | Research |
|---|---|---|---|---|
| ICICI Prudential Asset Management Company Ltd | INR 3,079.75 | 1.52 L | 47.7 | — |
| HDFC Asset Management Company | INR 2,544.55 | 1.09 L | 39.87 | — |
| Multi Commodity Exchange Of India | INR 2,642 | 67,368.85 | 52.61 | — |
| Motilal Oswal Financial Services | INR 865.5 | 52,115.79 | 30.83 | — |
| Authum Investment & Infrastructure | INR 597.6 | 50,749.72 | 9 | — |
Source, timestamp and external destination are shown. Provider relevance scores are not available.
Nippon Life India Asset Management (NAM) Earnings: 1Q Net Income Surges 27% to 5.04b Rupees, Exceeding Estimates Smartkarma
Q1 Results: Adani Power, Nestle India, Eternal, BPCL, Adani Green, HPCL, IndusInd Bank, others to post earnings on July 22 Upstox
Earnings Outlook: Nippon Life AMC Q1 PAT seen up 16% on higher revenue Informist
Nippon Life India Asset Management - Jio Financial Services among 6 stocks showing bullish RSI upswing The Economic Times
Nippon Life India acquires 1.3014% stake in TCI Express scanx.trade
Indian Bond Flows Put HDFC Asset Management Stock In Focus simplywall.st
Posts are linked to the canonical company record. Community BUY, NEUTRAL and SELL opinions are user-generated, moderated and separate from analyst consensus and ShareKeyX AI.
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.
Nippon Life India Asset Management has the symbol NAM-INDIA and ISIN - INE298J01013.
Nippon Life India Asset Management is currently trading at INR 1,232.50.
Nippon Life India Asset Management has a year high of INR 1,266.20 and a year low of INR 780.25.
Nippon Life India Asset Management has a market capitalization of INR 77,610.52 crore.
Nippon Life India Asset Management has a P/E ratio of 45.23.
Nippon Life India Asset Management has a dividend yield of 1.77%.
Nippon Life India Asset Management has revenue of INR 2,744.60 crore, net income of INR 1,529.38 crore, and EPS of INR 25.22.
Nippon Life India Asset Management has a book value of NA.
Nippon Life India Asset Management has a debt-to-equity ratio of NA.
Nippon Life India Asset Management has a price-to-book ratio of NA and a price-to-sales ratio of 28.28.
Corporate-action adjustment is provider-defined. ShareKeyX research and computed indicators are not investment advice.