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Nippon Life India Asset Management Limited

Sector: Financial Services · ISIN: INE298J01013

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Market cap rank
#155
of 5,004 stocks
▼ 21W
Peak #150 · 27 Sep 2026

A largecap name in Financial Services, Nippon Life India Asset Management Limited is growing revenue at a solid clip, generates a high return on equity, and remains firmly promoter-controlled, with promoters holding 72%. Ownership as of Jun 2026.

Market Cap
68,405.10 Cr
P/E Ratio
44.49
P/B Ratio
14.66
ROE
32.83%
ROCE
38.11%
Dividend Yield
2.01%
52W High
—
52W Low
—

Quarterly financials

MetricQ1 2026-27Q4 2025-26Q3 2025-26Q2 2025-26
Revenue766.87 Cr738.73 Cr705.28 Cr658.12 Cr
Net Profit503.70 Cr384.72 Cr403.90 Cr344.64 Cr
EPS7.896.046.345.42
Operating Profit666.06 Cr461.42 Cr534.54 Cr457.31 Cr

Figures in Cr (crore) unless noted. Source: official company financial disclosures.

Shareholding pattern

Promoter
71.80%
Public
28.20%

PUBLIC BREAKDOWN

FII
7.04%
DII
15.49%
MF (within DII)
11.05%
Individuals
4.80%

As of 30 Jun 2026. FII, DII, MF & Individuals are sub-categories of Public.

Mutual fund holdings

₹7,913.46
Cr total
184
Schemes
33
Fund Houses
₹7,913.46 Cr
Total Exposure
HDFC Mutual Fund₹1,670.43 Cr (21.1%)
Kotak Mahindra Mutual Fund₹1,367.07 Cr (17.3%)
HSBC Mutual Fund₹1,136.81 Cr (14.4%)
ICICI Prudential Mutual Fund₹682.91 Cr (8.6%)
DSP Mutual Fund₹556.92 Cr (7.0%)
Others₹2,499.33 Cr (31.6%)
SchemeFund HouseValue (Cr)%

All MF holders by market value as of 01 Aug 2026.

Recent corporate actions

Ex-DateTypeDetails
25 Jun 2026DividendDividend - Rs 12.50 Per Share
06 Nov 2025DividendInterim Dividend - Rs 9 Per Share
04 Jul 2025DividendDividend - Rs 10 Per Share
06 Nov 2024DividendInterim Dividend - Rs 8 Per Share
28 Jun 2024DividendDividend - Rs 11 Per Share

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