Nippon Life India Asset Management fundamental analysis

NAM-INDIA

829.9

35.25 (-4.07%)
Last updated on 2 Apr, 2026 | 15:59 IST
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Nippon Life India Asset Management Fundamentals

P/E Ratio

36.71

P/B Ratio

11.06

Div. Yield

2.17

Sector P/E

23.32

Sector P/B

4.62

Sec. Div. Yield

2.15

Nippon Life India Asset Management Fundamentals is currently trading with a P/E Ratio of 36.71, compared to the sector average of 23.32. Its P/B Ratio stands at 11.06, while the sector’s is 4.62. In terms of returns, the stock offers a Dividend Yield of 2.17%, which is than the sector’s 2.15%.

Nippon Life India Asset Management Score Card

  • price_icon
    Price

    Expensive

  • chart_icon
    Growth

    Good

  • quality_check
    Quality

    Good

  • quality_check
    Management

    Good

On its scorecard, Nippon Life India Asset Management reflects: Price – Expensive, Growth – Good, Quality – Good, and Management – Good. Together, these indicators provide a structured view of the company’s fundamentals.

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