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1046.00 INR
P/E
45.88
EPS
25.22
Yield
1.81%
Safety Score
65
P/B
15.85
ROE
34.48
Beta
0.63
Target Price
1241.88 INR
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Key Metrics
Earnings dateNov. 4, 2026
P/E45.88
EPS25.22
Book Value73.01
Price to Book15.85
Debt/Equity1.62
% Insiders0.562%
Growth
Revenue Growth0.25%
Earnings Growth0.26%
Estimates
Forward P/E34.57
Forward EPS33.46
Target Mean Price1241.88
Dividend
Dividend Yield1.81%
Annual dividends21.50 INR
Ex-Div. DateJune 25, 2026
Payout38.81%
5y avg Yield2.93%

DCF Valuation

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Currency: INR
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DCF Result

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Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Nippon Life India Asset Management Limited Analysis (NAM-INDIA.NS)

India Stock

Is Nippon Life India Asset Management Limited a good investment? Nippon Life India Asset Management Limited (NAM-INDIA.NS) is currently trading at 1046.00 INR. Market analysts have a consensus price target of 1241.88 INR. This suggests a potential upside from current levels.

In terms of valuation, the stock trades at a P/E ratio of 45.88. This high multiple suggests investors have priced in significant future growth expectations.

Earnings Schedule: Nippon Life India Asset Management Limited is expected to release its next earnings report on Nov. 4, 2026. The market consensus estimate for Forward EPS is 33.46.

For income investors, Nippon Life India Asset Management Limited pays a dividend yield of 1.81%. With a payout ratio of 39%, the dividend appears sustainable.

Investor FAQ

Does Nippon Life India Asset Management Limited pay a dividend?

Yes, it pays an annual dividend of 21.50 INR (1.81% yield).

What asset class is Nippon Life India Asset Management Limited?

Nippon Life India Asset Management Limited is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

When is the next earnings date?

The next earnings date is projected to be Nov. 4, 2026. The company currently has a trailing EPS of 25.22.

Company Profile

Nippon Life Asset Management Limited is a publicly owned investment manager. The firm launches and manages equity and fixed income mutual funds for its clients. It also manages exchange traded funds for its clients. The firm invests in the public equity, fixed income and commodity markets. Nippon Life Asset Management Limited was previously known as Reliance Nippon Life Asset Management Limited. Nippon Life Asset Management Limited was founded on February 24, 1995 and is based in Mumbai, India. Nippon Life India Asset Management Limited operates as a subsidiary of Nippon Life Insurance Company.

Exchange Ticker
NSE NAM-INDIA.NS
Trades
Dividend Yield
1.81%
5y avg 2.93%
Annual Dividends
21.50INR
Next Ex. Div Date
June 25, 2026
Payout Ratio
38.81%
Dividend History paid per year (INR)
Historical Dividends
Year Total Dividends
▸2027
20.21 INR
July 19, 2027 (estimated) 20.2083
▸2026
24.42 INR
Nov. 16, 2026 (estimated) 11.9172
July 10, 2026 12.5000
▸2025
19.00 INR
Nov. 14, 2025 9.0000
July 21, 2025 10.0000
▸2024
19.00 INR
Nov. 14, 2024 8.0000
July 16, 2024 11.0000
▸2023
13.00 INR
Nov. 21, 2023 5.5000
July 19, 2023 7.5000
▸2022
11.50 INR
Nov. 15, 2022 4.0000
July 19, 2022 7.5000
▸2021
11.50 INR
Nov. 25, 2021 3.5000
July 22, 2021 5.0000
Feb. 26, 2021 3.0000
▸2020
5.00 INR
July 27, 2020 2.0000
Feb. 10, 2020 3.0000
▸2019
6.00 INR
May 29, 2019 3.0000
Feb. 21, 2019 3.0000
▸2018
6.00 INR
Sept. 30, 2018 1.0000
Feb. 7, 2018 5.0000
Upcoming Dividends
Name Payment Date Status Amount
Nippon Life India Asset Management Limited Jul 10, 2026 12.5 INR
Nippon Life India Asset Management Limited Nov 14, 2025 9.0 INR
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