Nippon Life India Asset Management Limited

NAM-INDIANotably above fair value

A 6-pillar fundamental profile. Each pillar scored 0–10.

6.3/10 composite
Prism for NAM-INDIA.NS: composite 6.3 of 10, verdict Notably above fair valuePULSEQUALITYMOATSAFETYGROWTHVALUE9.310.06.17.56.3Below cohort range

Pulse

9.3 · Positive

Analyst revision trend (fallback)

Pulse tracks recent momentum in price, analyst revisions, and news sentiment. Higher means more positive near-term tailwinds.

Quality

10.0 · Strong

ROA 29.45%, ROE 32.8%, C/I 18%

Quality captures profitability, return on capital, and earnings consistency. Higher means a better business.

Moat

6.1 · Moderate

Scale (mcap 69,570 Cr), C/I 18%

Moat estimates durable competitive advantages — brand, scale, switching costs. Higher means more defensible.

Safety

7.5 · Strong

Book-value franchise proxy P/BV 14.93

Safety looks at balance-sheet quality, leverage, and cash generation. Higher means lower financial risk.

Growth

6.3 · Moderate

Adv YoY 6.8%, Dep YoY 16.4%, PAT YoY 16.2%

Growth reflects revenue and earnings expansion over recent years. Higher means faster compounding.

Value

· Notable premium to peers

P/BV 14.93x vs sector median 1.82x (174 peers)

Value measures how the stock's price compares to its intrinsic worth. Higher means more discount to fair value.

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Model estimate. Not investment advice. YieldIQ is not registered with SEBI as an investment adviser or research analyst. Past performance does not guarantee future results.

Nippon Life India Asset Management Limited (NAM-INDIA) Prism — YieldIQ