NAM-INDIA

Nippon Life India Asset Management Share Price

₹717.85 +14.65 (2.08%)

05 Nov, 2024 22:18

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Performance

  • Low
  • ₹700
  • High
  • ₹720
  • 52 Week Low
  • ₹387
  • 52 Week High
  • ₹749
  • Open Price₹705
  • Previous Close₹703
  • Volume954,874

Investment Returns

  • Over 1 Month + 8.89%
  • Over 3 Month + 12.1%
  • Over 6 Month + 19.9%
  • Over 1 Year + 82.43%
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Nippon Life India Asset Management Fundamentals Fundamentals refer to the financial data that companies report on a quarterly or annual basis.

  • P/E Ratio
  • 34.4
  • PEG Ratio
  • 0.7
  • Market Cap Cr
  • 45,456
  • P/B Ratio
  • 11.4
  • Average True Range
  • 28.25
  • EPS
  • 16.5
  • Dividend Yield
  • 2.3
  • MACD Signal
  • 5.49
  • RSI
  • 58.79
  • MFI
  • 60.71

Nippon Life India Asset Management Financial

IndicatorSep 24Jun 24Mar 24Dec 23Sep 23
Net Sales/Income from operations527.03466.27431.75392.32368.07
Total Income From Operations527.03466.27431.75392.32368.07
P/L Before Interest, Excpt. Items & Tax469.92422.12371.37340.51301.34
P/L Before Exceptional Items & Tax468.28420.50369.78338.87299.67
P/L After Tax from Ordinary Activities343.72316.64333.43264.66235.16
Net Profit/Loss For the Period343.72316.64333.43264.66235.16
IndicatorMar 24Mar 23
Revenue From Operations [Gross]1,521.111,259.21
Revenue From Operations [Net]1,521.111,259.21
Total Operating Revenues1,521.111,259.21
Total Revenue1,877.081,431.18
Total Expenses582.60513.41
Profit/Loss Before Tax1,294.48917.77
Profit/Loss For The Period1,047.23714.94
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity739.33594.66
Net Cash Used In Investing Activity-57.24115.12
Net Cash Used in Finance Activity-669.94-712.98
Net Inc/Dec In Cash And Equivalent12.15-3.20
Cash And Equivalent End Of Year13.401.25
IndicatorMar 24Mar 23
Total Share Capital630.00623.18
Total Non-Current Liabilities139.62129.43
Total Current Liabilities200.59156.36
Total Capital And Liabilities4,158.533,697.56
Total Non-Current Assets384.49356.30
Total Current Assets3,774.043,341.26
Total Assets4,158.533,697.56
Indicator20242023
EBIT Margin (%)85.5073.19
Return On Capital Employed (%)32.8626.02
Return On Equity (%)27.4920.95
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)60.4654.74
IndicatorSep 24Jun 24Mar 24Dec 23Sep 23
Net Sales/Income from operations571.30504.96468.27423.32397.48
Total Income From Operations571.30504.96468.27423.32397.48
P/L Before Interest, Excpt. Items & Tax487.71440.38375.71359.71312.08
P/L Before Exceptional Items & Tax486.05438.75374.11358.05310.39
P/L After Tax from Ordinary Activities359.98332.17342.63284.00244.25
Net Profit/Loss For the Period359.98332.17342.63284.00244.25
IndicatorMar 24Mar 23
Revenue From Operations [Gross]1,643.221,349.82
Revenue From Operations [Net]1,643.221,349.82
Total Operating Revenues1,643.221,349.82
Total Revenue2,037.341,516.61
Total Expenses684.86588.87
Profit/Loss Before Tax1,352.48927.74
Profit/Loss For The Period1,106.25722.93
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity777.48586.56
Net Cash Used In Investing Activity-103.8298.43
Net Cash Used in Finance Activity-670.69-711.65
Net Inc/Dec In Cash And Equivalent2.97-26.66
Cash And Equivalent End Of Year24.2321.26
IndicatorMar 24Mar 23
Total Share Capital630.00623.18
Total Non-Current Liabilities165.82155.52
Total Current Liabilities227.04189.76
Total Capital And Liabilities4,375.043,860.91
Total Non-Current Assets443.02444.25
Total Current Assets3,932.023,416.66
Total Assets4,375.043,860.91
Indicator20242023
EBIT Margin (%)82.6869.02
Return On Capital Employed (%)32.7525.37
Return On Equity (%)27.8720.57
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)63.0656.41

Nippon Life India Asset Management Technicals

EMA & SMA

Current Price
₹717.85
+ 14.65 (2.08%)
pointer
  • stock-down_img
  • Bullish Moving Average 16
  • stock-up_img
  • Bearish Moving Average 0
  • 20 Day
  • ₹690.67
  • 50 Day
  • ₹679.51
  • 100 Day
  • ₹657.02
  • 200 Day
  • ₹600.21

Resistance and Support

712.68 Pivot Speed
  • R3 744.82
  • R2 732.38
  • R1 725.12
  • S1 705.42
  • S2 692.98
  • S3 685.72

Is Nippon Life India Asset Management Worth Buying?

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Ratings

Master Rating

EPS Strenth

Price Strength

Buyer Demand

Group Rank

Nippon Life India Asset Management Ltd. is one of India's largest asset managers, offering a wide range of mutual funds, ETFs, and alternative investment products. It serves individual and institutional investors across India, managing assets across equity, debt, and more. Nippon Life India Asset Management has an operating revenue of Rs. 1,967.85 Cr. on a trailing 12-month basis. An annual revenue growth of 34% is outstanding, Pre-tax margin of 82% is great, ROE of 27% is exceptional. The stock from a technical standpoint is trading close to its 50DMA and comfortably placed above its 200DMA, around 18% above 200DMA. It needs to take support around the 50 DMA level to continue further upside move. It has recently broken out of a base in its weekly chart and is trading around -4% from the pivot point (which is the ideal buying range for a stock). From an O'Neil Methodology perspective, the stock has an EPS Rank of 89 which is a GOOD score indicating consistency in earnings, a RS Rating of 73 which is FAIR indicating the recent price performance, Buyer Demand at A- which is evident from recent demand for the stock, Group Rank of 56 indicates it belongs to a fair industry group of Finance-Investment Mgmt and a Master Score of B is close to being the best. Institutional holding has gone up in the last reported quarter is a positive sign. Overall, the stock is lagging behind in some of the technical parameters, but great earnings make it a stock to examine in more detail. Disclaimer: This stock analysis report is algorithmically generated for informational purposes only and should not be considered as a buy or sell recommendation. (+)

Nippon Life India Asset Management Corporate Actions - Bonus, Splits, Dividends

Date Purpose Remarks
2024-10-24 Quarterly Results & Interim Dividend
2024-07-19 Quarterly Results
2024-04-24 Audited Results & Final Dividend
2024-01-29 Quarterly Results
2023-10-30 Quarterly Results & Interim Dividend
Date Purpose Remarks
2024-11-06 INTERIM Rs.8.00 per share(80%)Interim Dividend
2024-06-28 FINAL Rs.11.00 per share(110%)Final Dividend
2023-11-09 INTERIM Rs.5.50 per share(55%)Interim Dividend
2023-06-30 FINAL Rs.7.50 per share(75%)Final Dividend
2022-11-02 INTERIM Rs.4.00 per share(40%)Interim Dividend

Nippon Life India Asset Management F&O

Nippon Life India Asset Management Shareholding Pattern

72.49%
8.11%
4.83%
7.73%
0%
4.92%
1.92%
  • NSE Symbol
  • NAM-INDIA
  • BSE Symbol
  • 540767
  • ISIN
  • INE298J01013

Nippon Life India Asset Management FAQs

Nippon Life India Asset Management share price is ₹717 As on 05 November, 2024 | 22:04

The Market Cap of Nippon Life India Asset Management is ₹45456.3 Cr As on 05 November, 2024 | 22:04

The P/E ratio of Nippon Life India Asset Management is 34.4 As on 05 November, 2024 | 22:04

The PB ratio of Nippon Life India Asset Management is 11.4 As on 05 November, 2024 | 22:04

Q2FY23
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