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Nippon Life India Asset Management runs the Nippon India Mutual Fund, offering equity, debt, hybrid, index and liquid schemes, plus ETFs where it is a market leader by volume and folio count, alongside managed accounts (PMS/AIF) and offshore advisory mandates. Japan's Nippon Life is the promoter after acquiring Reliance Capital's stake and the franchise was rebranded from Reliance Mutual Fund in 2019. Revenue is fee-based on assets under management, with profitability tied to equity AUM mix and scale efficiencies.
It is among India's largest asset managers by AUM and the leader in the ETF segment by investor count.
Nippon Life India Asset Management Ltd. is a constituent of NIFTY 500, NIFTY MIDCAP 150. See where it sits on the market heatmap →
Consolidated annual figures taken from Nippon Life India Asset Management Ltd.'s own filed statements — not estimates, and not restated by us. The most recent period shown is FY26 (year ended 31 Mar 2026).
| Metric | FY26 | FY25 | FY24 |
|---|---|---|---|
| EPS (basic, ₹) | 24.05 | 20.34 | 17.71 |
| Book value / share (₹) | 73.01 | 66.38 | 63.21 |
| Return on equity | 32.8% | 30.5% | 27.8% |
| Operating margin | 64.8% | 63.3% | 58.7% |
| Net margin | 56.5% | 57.7% | 67.4% |
| EBITDA | ₹1,795 Cr | ₹1,442 Cr | ₹994 Cr |
| Free cash flow | ₹1,387 Cr | ₹661 Cr | ₹766 Cr |
| Interest coverage | 250.7 | 209.3 | 154.6 |
| Shares outstanding | 63,81,20,000 | 63,47,00,000 | 63,00,00,000 |
Open the full income statement, balance sheet and cash flow for NAM-INDIA →
As disclosed for the quarter ended 30 Jun 2026.
Institutional ownership changes quarter to quarter. See daily FII and DII flows across the market →
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