Nippon Life India Asset Management Ltd.

NSE: NAM-INDIA · Asset Management Company

52W Range₹780 ₹1,234

Snapshot

Unlock Nippon Life India Asset Management Ltd.'s vital signs

Growth · Profitability · Valuation · Strength · Conviction

Company Overview

Business

Nippon Life India Asset Management Limited is a prominent investment manager that develops and oversees a diverse range of equity, fixed income, and commodity-based mutual funds. The firm also provides exchange-traded fund (ETF) solutions to its client base.

Business Model

The company generates revenue primarily through investment management fees charged on assets under management (AUM) across its mutual fund and ETF portfolios. It also earns income from advisory services and distribution commissions related to its financial products.

Growth Outlook

Growth is driven by the increasing financialisation of household savings in India and the rising popularity of systematic investment plans (SIPs). The firm continues to expand its product suite to capture inflows into passive and thematic investment vehicles.

Key Risks

  • Market Volatility. Significant fluctuations in equity and debt markets directly impact the company's assets under management and associated fee income.
  • Regulatory Risk. Changes in SEBI regulations regarding expense ratios and commission structures can compress profit margins for asset management companies.
  • Competitive Pressure. The Indian asset management industry is highly competitive, with intense pressure on pricing and the need for continuous product innovation to retain market share.
  • Macroeconomic Sensitivity. Economic downturns or shifts in interest rate cycles can lead to investor redemptions and reduced inflows into mutual fund products.

Price

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Key Metrics

REVENUE

₹2,709 Cr

TTM · consolidated

+21.4%YoY

NET PROFIT

₹1,529 Cr

TTM · consolidated

+18.9%YoY

EPS

₹24.04

TTM · consolidated

+18.2%YoY

RETURN ON EQUITY

35.4%

TTM · consolidated

+3.6 ppYoY

P/E

47.9x

Q4 FY26 · consolidated

47.9 vs 78.3x5Y avg

EBITDA MARGIN

74.5%

TTM · consolidated

-3.1 ppYoY

NET PROFIT MARGIN

52.1%

Q4 FY26 · consolidated

-0.6 ppYoY

DEBT TO EQUITY

0.0x

Q3 FY20 · standalone

+0.00xYoY

Peers · Asset Management Company

CompanyMkt Cap (Cr)P/EEV/EBITDARev Gr YoYEBITDA MgnROEROCE1Y Return
Nippon Life India Asset Management Ltd.NAM-INDIA
54,40847.9021.4%74.5%35.4%27.8%+32.4%
HDFC Asset Management Company Ltd.HDFCAMC
1,00,65625.7517.8%92.1%34.0%-51.4%
Aditya Birla Sun Life AMC Ltd.ABSLAMC
25,99433.529.5%71.5%25.6%+29.8%
UTI Asset Management Company Ltd.UTIAMC
12,00329.670.6%44.0%10.3%-34.5%
Canara RobecoCRAMC
4,62462.0%
Shriram AMCSRAMSET
475-20.2081.9%-163.1%-23.8%-2.9%-48.9%

As of Q4 FY26

Financials