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540767

NAM-INDIA

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NIPPON L I A M LTD performance

Today’s low

Today’s high

₹ 615.50 ₹ 655.00
₹ 638.70

52 week low

52 week high

₹ 498.05 ₹ 816.25
₹ 638.70

Open Price

₹ 615.50

Prev. Close

₹ 622.70

Volume (Shares)

1954738.00

Total traded value

₹ 12484.91

Upper Circuit

₹ 747.20

Lower Circuit

₹ 498.20

info

NIPPON L I A M LTD Share Price Update

As of the latest trading session, NIPPON L I A M LTD share price is currently at ₹ 638.7, which is up by ₹ 16.00 from its previous closing. Today, the stock has fluctuated between ₹ 615.50 and ₹ 655.00. Over the past year, NIPPON L I A M LTD has achieved a return of 8.50 %. In the last month alone, the return has been 12.21 %. Read More...

NIPPON L I A M LTD fundamentals


  • Market cap (Cr)

    40,238.02

  • P/E Ratio (TTM)

    32.34

  • Beta

    1.53

  • Book Value / share

    63.24

  • Return on equity

    28.97%

  • EPS (TTM)

    19.73

  • Dividend yield

    2.82%

  • Net profit/quarter (Cr)

    295.78

info icon alternate text
  • Market cap (Cr)

    40,200.22

  • P/E Ratio (TTM)

    32.34

  • Beta

    1.43

  • Book Value / share

    63.24

  • Return on equity

    28.97%

  • EPS (TTM)

    19.73

  • Dividend yield

    2.82%

  • Net profit/quarter (Cr)

    295.78

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NIPPON L I A M LTD Financials

  • Key Results

  • Key Ratios

  • Balance sheet

  • Cash Flow

  • Competition

info-icon

Revenue

Net income

Particulars MAR 2025 (Values in Cr)
Revenue 526.46
Operating Expense 179.50
Net Profit 295.78
Net Profit Margin (%) 56.18
Earnings Per Share (EPS) 4.66
EBITDA 384.10
Effective Tax Rate (%) 20.97
Particulars DEC 2024 (Values in Cr)
Revenue 545.44
Operating Expense 178.42
Net Profit 296.09
Net Profit Margin (%) 54.28
Earnings Per Share (EPS) 4.68
EBITDA 400.77
Effective Tax Rate (%) 24.39
Particulars SEP 2024 (Values in Cr)
Revenue 527.03
Operating Expense 175.67
Net Profit 343.72
Net Profit Margin (%) 65.21
Earnings Per Share (EPS) 5.43
EBITDA 477.11
Effective Tax Rate (%) 26.59
Particulars JUN 2024 (Values in Cr)
Revenue 466.27
Operating Expense 166.67
Net Profit 316.64
Net Profit Margin (%) 67.90
Earnings Per Share (EPS) 5.02
EBITDA 428.76
Effective Tax Rate (%) 24.69
Particulars MAR 2024 (Values in Cr)
Revenue 431.75
Operating Expense 157.37
Net Profit 324.96
Net Profit Margin (%) 75.26
Earnings Per Share (EPS) 5.17
EBITDA 370.03
Effective Tax Rate (%) 10.06
Particulars MAR 2024 (Values in Cr)
Book Value / Share 63.06
ROE % 29.51
ROCE % 36.24
Total Debt to Total Equity 0.00
EBITDA Margin 68.12
Particulars MAR 2023 (Values in Cr)
Book Value / Share 56.41
ROE % 20.67
ROCE % 26.64
Total Debt to Total Equity 0.00
EBITDA Margin 63.40
Particulars MAR 2022 (Values in Cr)
Book Value / Share 55.91
ROE % 22.60
ROCE % 30.17
Total Debt to Total Equity 0.00
EBITDA Margin 66.40
Particulars MAR 2021 (Values in Cr)
Book Value / Share 50.29
ROE % 23.86
ROCE % 30.96
Total Debt to Total Equity 0.00
EBITDA Margin 64.45
Particulars MAR 2020 (Values in Cr)
Book Value / Share 42.36
ROE % 16.11
ROCE % 21.90
Total Debt to Total Equity 0.00
EBITDA Margin 50.18
Particulars MAR 2024 (Values in Cr)
Book Value / Share 60.46
ROE % 28.97
ROCE % 35.98
Total Debt to Total Equity 0.00
EBITDA Margin 70.80
Particulars MAR 2023 (Values in Cr)
Book Value / Share 54.74
ROE % 21.09
ROCE % 27.19
Total Debt to Total Equity 0.00
EBITDA Margin 66.43
Particulars MAR 2022 (Values in Cr)
Book Value / Share 54.15
ROE % 22.24
ROCE % 29.69
Total Debt to Total Equity 0.00
EBITDA Margin 68.32
Particulars MAR 2021 (Values in Cr)
Book Value / Share 49.08
ROE % 23.30
ROCE % 30.40
Total Debt to Total Equity 0.00
EBITDA Margin 66.37
Particulars MAR 2020 (Values in Cr)
Book Value / Share 41.64
ROE % 16.23
ROCE % 22.32
Total Debt to Total Equity 0.00
EBITDA Margin 52.86
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 270.55
Total Assets 4375.04
Total Liabilities 4375.04
Total Equity 3982.18
Share Outstanding 629998730
Price to Book Ratio 7.78
Return on Assets (%) 25.30
Return on Capital (%) 27.81
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 272.74
Total Assets 3860.91
Total Liabilities 3860.91
Total Equity 3515.63
Share Outstanding 623175443
Price to Book Ratio 3.83
Return on Assets (%) 18.73
Return on Capital (%) 20.57
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 338.43
Total Assets 3796.54
Total Liabilities 3796.54
Total Equity 3478.62
Share Outstanding 622017928
Price to Book Ratio 6.43
Return on Assets (%) 19.60
Return on Capital (%) 21.39
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 360.61
Total Assets 3392.23
Total Liabilities 3392.23
Total Equity 3100.86
Share Outstanding 616504767
Price to Book Ratio 6.89
Return on Assets (%) 20.05
Return on Capital (%) 21.94
Particulars MAR 2020 (Values in Cr)
Cash & Short Term Investments 463.34
Total Assets 2880.83
Total Liabilities 2880.83
Total Equity 2593.05
Share Outstanding 612111867
Price to Book Ratio 5.98
Return on Assets (%) 14.41
Return on Capital (%) 16.01
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 227.68
Total Assets 4158.53
Total Liabilities 4158.53
Total Equity 3818.32
Share Outstanding 629998730
Price to Book Ratio 7.78
Return on Assets (%) 25.18
Return on Capital (%) 27.43
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 231.12
Total Assets 3697.56
Total Liabilities 3697.56
Total Equity 3411.77
Share Outstanding 623175443
Price to Book Ratio 3.83
Return on Assets (%) 19.33
Return on Capital (%) 20.96
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 275.32
Total Assets 3644.16
Total Liabilities 3644.16
Total Equity 3368.88
Share Outstanding 622017928
Price to Book Ratio 6.43
Return on Assets (%) 19.51
Return on Capital (%) 21.11
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 304.17
Total Assets 3288.52
Total Liabilities 3288.52
Total Equity 3026.05
Share Outstanding 616504767
Price to Book Ratio 6.89
Return on Assets (%) 19.74
Return on Capital (%) 21.46
Particulars MAR 2020 (Values in Cr)
Cash & Short Term Investments 409.11
Total Assets 2811.35
Total Liabilities 2811.35
Total Equity 2548.99
Share Outstanding 612111867
Price to Book Ratio 5.98
Return on Assets (%) 14.66
Return on Capital (%) 16.18
Particulars MAR 2024 (Values in Cr)
Net Income 1352.48
Cash from Operations 1028.11
Cash from Investing -103.82
Cash from Financing -670.69
Net change in Cash 2.97
Free Cash Flow 1039.99
Particulars MAR 2023 (Values in Cr)
Net Income 927.74
Cash from Operations 755.73
Cash from Investing 98.43
Cash from Financing -711.65
Net change in Cash -26.66
Free Cash Flow 766.11
Particulars MAR 2022 (Values in Cr)
Net Income 988.67
Cash from Operations 788.56
Cash from Investing -124.54
Cash from Financing -425.87
Net change in Cash 29.14
Free Cash Flow 795.38
Particulars MAR 2021 (Values in Cr)
Net Income 877.02
Cash from Operations 630.02
Cash from Investing -401.61
Cash from Financing -239.12
Net change in Cash -184.76
Free Cash Flow 649.68
Particulars MAR 2020 (Values in Cr)
Net Income 559.81
Cash from Operations 754.83
Cash from Investing 36.51
Cash from Financing -467.95
Net change in Cash 173.51
Free Cash Flow 758.87
Particulars MAR 2024 (Values in Cr)
Net Income 1294.48
Cash from Operations 992.74
Cash from Investing -57.24
Cash from Financing -669.94
Net change in Cash 12.15
Free Cash Flow 1004.40
Particulars MAR 2023 (Values in Cr)
Net Income 917.77
Cash from Operations 763.44
Cash from Investing 115.12
Cash from Financing -712.98
Net change in Cash -3.20
Free Cash Flow 773.33
Particulars MAR 2022 (Values in Cr)
Net Income 945.43
Cash from Operations 762.71
Cash from Investing -137.72
Cash from Financing -425.28
Net change in Cash -2.31
Free Cash Flow 769.46
Particulars MAR 2021 (Values in Cr)
Net Income 842.92
Cash from Operations 604.16
Cash from Investing -382.52
Cash from Financing -238.52
Net change in Cash -186.94
Free Cash Flow 623.81
Particulars MAR 2020 (Values in Cr)
Net Income 561.39
Cash from Operations 717.64
Cash from Investing 77.59
Cash from Financing -467.28
Net change in Cash 180.52
Free Cash Flow 721.68
Company Name Price P/E P/B Market Cap 52 Week Low/High
ALFRED HERBERT (INDIA) LTD. 2000.00 24.33 1.25 154.00 1125.25 / 2350.00
BAJAJ HOLDINGS & INVS LTD 11940.10 17.69 2.22 132881.37 7667.15 / 13221.50
TATA INVESTMENT CORP LTD 5941.40 96.33 0.96 30060.69 5147.15 / 8075.90
MAX FINANCIAL SERV LTD 1304.60 178.71 8.70 45023.67 864.30 / 1314.90
Company Name Price P/E P/B Market Cap 52 Week Low/High
ALFRED HERBERT (INDIA) LTD. 2000.00 24.71 1.40 154.00 1125.25 / 2350.00
ARAVALI SECURITIES & FINANCE L 3.87 0.00 -7.58 5.86 3.44 / 7.89
Bagalkot Udyog Ltd 23.90 0.00 -27.43 20.32 0.00 / 0.00
BAJAJ HOLDINGS & INVS LTD 11940.10 55.24 6.49 132881.37 7667.15 / 13221.50

NIPPON L I A M LTD Technicals Summary

  • EMA & SMA
  • Resistance and Support
  • Delivery and Volume
  • Beta
  • Price Change Analysis
638.70 2.56 redarrow
red-green-graph indicator
2 Bearish
14 Bullish
  • 5 Days 636.50
  • 26 Days 602.00
  • 10 Days 628.20
  • 50 Days 594.10
  • 12 Days 624.00
  • 100 Days 607.80
  • 20 Days 609.30
  • 200 Days 609.70
628.65 PIVOT

First Support

613.30

First Resistance

638.05

Second Support

603.90

Second Resistance

653.40

Third Support

588.55

Third Resistance

662.80

RSI

59.03

ADX

21.75

MACD

21.98

Williams % R

-26.56

Commodity Channel Index (CCI)

65.97

Date

2025-04-30

Week

602405.00

Same Day

849706.00

Month

610458.00

1 Year

1.54

3 Year

1.16

Over 1 Month

12.21%

down

Over 1 Year

8.50%

down

Over 3 Months

11.44%

down

Over 3 Years

27.06%

down

Over 6 Months

-6.98%

down

Over 5 Years

20.95%

down

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NIPPON L I A M LTD shareholding pattern

  • Shareholding Summary

  • Historical Promotor Holding

  • Historical MF Holding

  • Historical FII Holding

Holding

Others
6.53%
Promoter Holdings
72.32%
FII
8.34%
DII
12.8%
Promoter Shares(Pledge Percentage)
0.0%
Name Shares Category
Nippon Life Insurance Company 4.59028095E8 (72.32%) Shareholding of Promoter and Promoter Group
Life Insurance Corporation Of India 2.3449889E7 (3.69%) Public Shareholding
Hsbc Mutual Fund 1.2787273E7 (2.01%) Public Shareholding
Hdfc Mutual Fund 1.2197784E7 (1.92%) Public Shareholding
Dsp Mutual Fund 9151772.0 (1.44%) Public Shareholding
Government Pension Fund Global 8932338.0 (1.41%) Public Shareholding

News

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NIPPON L I A M LTD corporate actions

  • Dividend

  • Bonus

  • Split

Dividend date Dividend amount Dividend type Record date Instrument type
09 Nov 2023 5.5 Interim 09 Nov 2023 Equity shares
30 Jun 2023 7.5 Final 30 Jun 2023 Equity shares
01 Nov 2022 4.0 Interim 02 Nov 2022 Equity shares
30 Jun 2022 7.5 Final 01 Jul 2022 Equity shares
08 Nov 2021 3.5 Interim 09 Nov 2021 Equity shares
10 Jun 2021 5.0 Final 11 Jun 2021 Equity shares
05 Feb 2021 3.0 Interim 08 Feb 2021 Equity shares
29 Jun 2020 2.0 Final 30 Jun 2020 Equity shares
03 Feb 2020 3.0 Interim 04 Feb 2020 Equity shares
09 May 2019 3.0 Interim 2 10 May 2019 Equity shares
31 Jan 2019 3.0 Interim 01 Feb 2019 Equity shares
12 Sep 2018 1.0 Final 15 Sep 2018 Equity shares
31 Jan 2018 5.0 Interim 01 Feb 2018 Equity shares
Ex-Date Ex-Bonus Ratio
[-] [-] [-]
Ex-Date Old FV NEW FV Record Date
[-] [-] [-] [-]
  • Dividend

  • Bonus

  • Split

Dividend date Dividend amount Dividend type Record date Instrument type
28 Jun 2024 11.0 Final 28 Jun 2024 Equity shares
09 Nov 2023 5.5 Interim 09 Nov 2023 Equity shares
30 Jun 2023 7.5 Final 30 Jun 2023 Equity shares
01 Nov 2022 4.0 Interim 02 Nov 2022 Equity shares
30 Jun 2022 7.5 Final 01 Jul 2022 Equity shares
08 Nov 2021 3.5 Interim 09 Nov 2021 Equity shares
10 Jun 2021 5.0 Final 11 Jun 2021 Equity shares
05 Feb 2021 3.0 Interim 08 Feb 2021 Equity shares
29 Jun 2020 2.0 Final 30 Jun 2020 Equity shares
03 Feb 2020 3.0 Interim 04 Feb 2020 Equity shares
09 May 2019 3.0 Interim 2 10 May 2019 Equity shares
31 Jan 2019 3.0 Interim 01 Feb 2019 Equity shares
12 Sep 2018 1.0 Final 15 Sep 2018 Equity shares
31 Jan 2018 5.0 Interim 01 Feb 2018 Equity shares
Ex-Date Ex-Bonus Ratio
[-] [-] [-]
Ex-Date Old FV NEW FV Record Date
[-] [-] [-] [-]

NIPPON L I A M LTD Share Price

Nippon Life India Asset Management Limited (Formerly known as Reliance Nippon Life Asset Management Limited) (NAM India) is one of the largest asset management companies in India with a total AUM of Rs. 3,62,981 Crore. NAM India is the Asset Manager of Nippon India Mutual Fund (NIMF). The Company is involved in managing mutual funds including Exchange Traded Funds (ETFs); Managed Accounts, including Portfolio Management Services (PMS), Alternative Investment Funds and Pension Funds; and Offshore Funds and Advisory Mandates. The Company is also promoted by Nippon Life Insurance Company, one of the leading private life insurers in Japan, with assets of over US$ 722 billion. NLI has a large global network with presence across US, Europe, Asia, and Australia along with a track record in Life Insurance business as well as global investments across Asset Management companies.

Nippon Life India Asset Management Limited was incorporated as a Public Limited Company on February 24, 1995. The Company is the promoter of NAM India and currently holds 73.74% (as on March 31, 2023) of its total issued and paid-up equity share capital. It also manages offshore funds through its subsidiaries in Singapore and Mauritius and has representative office in Dubai thereby catering to investors across Asia, Middle East, UK, US, and Europe.

Reliance Nippon Life is promoted by Reliance Capital Limited, an RBI registered non-banking finance company (NBFC) with business interests including in asset management and mutual funds, life, health and general insurance, commercial and home finance, stock broking, wealth management services, distribution of financial products, asset reconstruction and proprietary investments. Reliance Capital Limited is a part of Reliance Group, which has business interests in financial services, telecommunications, power, energy, infrastructure, and defense. The Reliance Group is led by Mr. Anil D. Ambani, one of India's prominent business leaders. The Company's co-promoter, Nippon Life Insurance Company ('Nippon Life') is one of the leading private life insurers in Japan. Nippon Life offers a wide range of financial products, including individual and group life and annuity policies.

The company started mutual fund operations in 1995 as the asset manager for Reliance Mutual Fund. During the year under review, Reliance Mutual Fund launched two schemes Reliance Growth Fund and Reliance Vision Fund.

In 2004, RNAM commenced portfolio management services. During the year under review, the company commenced offshore operations in Mauritius by setting up a wholly owned subsidiary, Reliance Asset Management (Mauritius) Limited.

In 2005, the company commenced offshore operations in Singapore by setting up a wholly owned subsidiary, Reliance Asset Management (Singapore) Pte Limited.

In 2008, the company executed a contract to provide discretionary portfolio management services to the Employees' Provident Fund Organisation (acting through its Central Board of Trustees).

Reliance Capital Pension Fund Limited, one of the Group Companies, received a Certificate of Commencement of Business as a pension fund manager from the Pension Fund Regulatory and Development Authority (PFRDA) in 2009 and manages pension assets under the National Pension System (NPS).

In 2012, RNAM received the first tranche of investment from Nippon Life Insurance Company, Japan.

In 2014, the company's subsidiary, Reliance AIF Management Company Limited was appointed as the manager' to the Reliance Capital AIF Trust. During the year under review, Reliance Mutual Fund launched a Japan focused open-ended diversified equity scheme under the name Reliance Japan Equity Fund.

In 2015, RNAM entered into an investor advisory agreement with Samsung Asset Management (Hong Kong) Limited. During the year under review, Reliance Mutual Fund launched equity-oriented Retirement Fund. During the year under review, Quarterly Average Assets under Management (QAAUM) of Reliance Mutual Fund crossed Rs 1.5 lakh crore.

In 2016, the company acquired the asset management rights of 12 schemes being managed by Goldman Sachs Asset Management (India) Private Limited. During the year under review, the company executed a contract to provide discretionary portfolio management services to the Coal Mines Provident Fund Organization (acting through its Board of Trustees). During the year under review, the company's subsidiary Reliance AIF Management Company Limited was appointed as the manager' to the Reliance Event Opportunities Trust.

In 2017, Quarterly Average Assets under Management (QAAUM) of Reliance Mutual Fund crossed Rs 2 lakh crore.

RNAM came out with an initial public offer (IPO) during the period from 25 October 2017 to 27 October 2017. The IPO was a combination of fresh issue of 2.45 crore equity shares by the company and offer for sale of a total of 3.67 crore shares by promoter selling shareholders. The stock debuted at Rs 294 on BSE on 6 November 2017, a premium of 16.66% compared to the IPO price of Rs 252 per share.

As of March 31, 2018, the Company had 3 subsidiaries. 2 of such subsidiaries are overseas, being 1 each in Singapore and Mauritius and 1 subsidiary being in India.

On 11 October 2018, Reliance Nippon Life Asset Management Limited (RNAM) announced that it has received mandate from the Employees' State Insurance Corporation (ESIC) to manage its funds. RNAM already manages mandates from Employees' Provident Fund Organization (EPFO), The Coal Mines Provident Fund Organization (CMPFO) and The Pension Fund Regulatory and Development Authority (PFRDA), thus becoming the only asset manager to manage all the four prestigious mandates.

On 20 November 2018, Reliance Mutual Fund (RMF) announced Further Fund Offer 3 (FFO3) of its Central Public Sector Enterprises - Exchange Traded Fund (CPSE ETF). This FFO3 is part of the Government of India's overall disinvestments program, announced earlier by the Department of Investment and Public Asset Management (DIPAM), Ministry of Finance, using the ETF route.

On July 13, 2017, Nippon Life Insurance Company (NLI), an existing equity shareholder holding 44.57% stake in the Company acquired an additional 4.43% stake by way of purchase of equity shares from Reliance Capital Limited (RCL). Post this acquisition, the equity stake of NLI in the Company was increased to 49%, and subsequently NLI was also classified as one of the Promoters of the Company along with RCL.

During the year 2017-18, the Company had allotted 57,60,00,000 number of fully paid up equity shares of face value of Rs.10/- each in August 2017 to the Members of the Company in proportion of 1:50.

During the year 2017-18, the Company came out with its initial public offering (IPO) and diluted the 10% post issue capital in favor of the public. Both the promoters of the Company (i.e. RCL and NLI) also participated in the IPO by way of an offer for sale component and diluted part of their holdings in favor of the public. The total IPO size was Rs.1542.24 Crores out of which the Company raised Rs.616.89 Crores as primary subscription and the remaining proceeds of Rs.925.37 Crores were towards offer for sale.

During the year 2017-18, the Company has redeemed all the outstanding 30,00,000 number of preference shares, which were issued by the Company in the previous years.

During the year 2017-18, Reliance Capital Pension Fund Limited ceased to be a subsidiary of the Company and became Company's associate company.

In FY 2018-19, the Company launched UCITS India Fixed Income Fund, domiciled out of Dublin. As of March 2019, the Company had a total AUM of approx. Rs. 3,087 crore as part of its international offshore Managed portfolio. It further had a total AUM of approximately Rs. 5,542 crore of international Advisory mandates. During the year 2018-19, it launched the first equity scheme under category III AIF. It launched / incubated the first Commodity Fund which is the first Category III open ended fund offered by the company. It also launched the first offshore real estate fund, a category II AIF which is currently open for subscription.

In FY 2019-20, Company launched the first Indian Exchange Traded Fund (ETF) product in Australia, in June 2019. It launched Nippon India Digital Innovation AIF Scheme 1 in December 2019 (approx. US$ 120 million). It launched Real Estate Fund in Japan for institutional investors in December 2019 (approx. US$ 10 million). As of March 31, 2020, the Company had a total AUM of Rs. 4,810 crore as part of its international offshore managed portfolio. It also had a total AUM of Rs. 4,105 crore as international advisory mandates. NAM India, in collaboration with BBL Asset Management Company Ltd., an affiliated company of Bangkok Bank (BBL), the largest Thai Commercial Bank, launched Bualuang Bharata Fund in Thailand for institutional investors and high net worth investors.

As of March 31, 2021, the Company had a total AUM of Rs. 6,953 crore as part of its international offshore managed portfolio. It had a total AUM of Rs. 3,347 crore as international advisory mandates. In FY 2020-21, it launched the first-of-its-kind ETF, Nippon India ETF Nifty CPSE Bond Plus SDL - 2024 Maturity. It further launched Multi Asset Fund. It acquired 350 new institutional investors and over 9 lakh unique investors.

As of March 31, 2022, Company had 3 subsidiaries. 2 of such subsidiaries are overseas, being 1 each in Singapore and Mauritius and 1
subsidiary is in India. In FY 22, the Nippon India Flexi Cap Fund was one of the biggest success stories for Digital enabling lucid access
for investors & partners across all its Digital assets. Apart from that, the Company digitally enabled other prominent products for FY21-22 including Nippon India Taiwan Equity Fund and Nippon India Silver ETF F-o-F. Apart from that, on the ETF front, it enabled Nippon India Nifty Pharma ETF, Nippon India Nifty Auto ETF & Nippon India Silver ETF. It had a very innovative Index offering made live viz. Nippon India Nifty AAA CPSE Bond Plus SDL - Apr 2027 Maturity 60:40 Index Fund.'

As on March 31, 2022, the Company's total AUM is Rs. 55,001 crore, as part of the managed accounts business. It had a total AUM of Rs. 8,762 crore as part of international offshore managed portfolio. It had a total AUM of Rs. 2,685 crore as international advisory mandates.

As on March 31, 2023, the Company's total AUM is Rs. 61,600 Crores, as part of the managed accounts business. It had a total AUM of Rs. 8,855 Crores as part of international offshore managed portfolio. It had a total AUM of Rs. 2,012 Crores as international advisory mandates.

In 2022-23, NAM India launched new schemes comprising of Nippon India Nifty Alpha Low Volatility 30 Index Fund, Nippon India Fixed Horizon Fund - XLIV - Series 1; Nippon India Nifty AAA PSU Bond Plus SDL - Sep 2026 Maturity 50:50 Index Fund; Nippon India Nifty SDL Plus G-Sec - Jun 2028 Maturity 70:30 Index Fund; Nippon India Fixed Horizon Fund XLIV - Series 4; Nippon India Fixed Horizon Fund - XLIV
- Series 2; Nippon India Nifty G-Sec Sep 2027 Maturity Index Fund; Nippon India Nifty G-Sec Jun 2036 Maturity Index Fund; Nippon India Nifty SDL Plus G-Sec - Jun 2029 Maturity 70:30 Index Fund; Nippon India Nifty G-Sec Oct 2028 Maturity Index Fund; Nippon India Fixed Horizon Fund XLV - Series 4 and Nippon India Fixed Horizon Fund XLV - Series 5.

Parent organization MNC Associate
NSE symbol NAM-INDIA
Founded 1995
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Frequently Asked Questions

What is the Share Price of Nippon Life India Asset Management Ltd?

Answer Field

The share price of Nippon Life India Asset Management Ltd for NSE is ₹ 638.7 and for BSE is ₹ 638.1.

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

Answer Field

The market cap of Nippon Life India Asset Management Ltd for NSE is ₹ 4,02,38.02 Cr. and for BSE is ₹ 4,02,00.22 Cr. as of now.

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

Answer Field

The 52 Week High and Low of Nippon Life India Asset Management Ltd for NSE is ₹ 816.25 and ₹ 498.05 and for BSE is ₹ 816.05 and ₹ 456.05.

How to Buy Nippon Life India Asset Management Ltd share?

Answer Field

You can trade in Nippon Life India Asset Management Ltd shares with Bajaj Broking by opening a Demat Account.

What is 1 year return for Nippon Life India Asset Management Ltd?

Answer Field

The 1 year returns on the stock has been 8.50%.

What is the Current Share Price of Nippon Life India Asset Management Ltd?

Answer Field

Nippon Life India Asset Management Ltd share price is for NSE ₹ 638.7 & for BSE ₹ 638.1 as on Apr 30 2025 03:30 PM.

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

Answer Field

The market cap of Nippon Life India Asset Management Ltd for NSE ₹ 4,02,38.02 & for BSE ₹ 4,02,00.22 as on Apr 30 2025 03:30 PM.

What is the P/E Ratio of Nippon Life India Asset Management Ltd Share?

Answer Field

As on Apr 30 2025 03:30 PM the price-to-earnings (PE) ratio for Nippon Life India Asset Management Ltd share is 32.34.

What is the PB ratio of Nippon Life India Asset Management Ltd Share?

Answer Field

As on Apr 30 2025 03:30 PM, the price-to-book (PB) ratio for Nippon Life India Asset Management Ltd share is 63.24.

How to Buy Nippon Life India Asset Management Ltd Share?

Answer Field

You can trade in Nippon Life India Asset Management Ltd shares with Bajaj Broking by opening a demat account.

How to Buy Nippon Life India Asset Management Ltd Share on Bajaj Broking App?

Answer Field

To buy Nippon Life India Asset Management Ltd shares on the Bajaj Broking app, follow these steps:

• Login to the Bajaj Broking App

• Click on the Search Icon

• Search “Nippon Life India Asset Management Ltd”

• Click on the BUY icon

• Place a buy order specifying the desired quantity of shares.

• Click BUY again to complete the purchase

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