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NAM-INDIAAsset Management Company
Nippon Life India Asset Management Limited โ PE Ratio & Valuation Analysis
โน801.65
-4.33%
Current P/E40.92xPrice to earnings
Industry P/E28.50xSector average
4Y Avg P/E36.3x12.6% above avg
โ ๏ธ
43.6% Premium to Industry
NAM-INDIA P/E 40.92x vs sector avg 28.50x
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Historical PE Ratio
| Year | EPS (โน) | Year-end Price | PE Ratio |
|---|---|---|---|
| 2025 | โน20.03 | โน880 | 43.9x |
| 2024 | โน17.53 | โน727 | 41.5x |
| 2023 | โน11.53 | โน448 | 38.8x |
| 2022 | โน11.80 | โน249 | 21.1x |
PE = Year-end closing price รท Diluted EPS. Source: NSE/BSE filings.
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Understanding Nippon Life India Asset Management Limited Valuation
Nippon Life India Asset Management Limited (NAM-INDIA) currently trades at 40.92x earnings. The Asset Management Company sector average PE is 28.50x. NAM-INDIA commands a premium, reflecting high growth expectations. Historically, NAM-INDIA has traded at an average PE of 36.3x โ it is currently above that level. Always evaluate PE alongside earnings growth (PEG ratio), return on equity, debt levels and business quality. A lower PE isn't always better. Educational data only โ not investment advice.
ROE
31.39%
Dividend Yield
2.10%
More on Nippon Life India Asset Management Limited
Data from NSE/BSE public filings. Educational purposes only. Bull Run is not SEBI-registered. Not investment advice.