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StockNAM-INDIANSEINE298J01013Financial ServicesAsset Management CompanyFace value ₹10

Nippon Life India Asset Management Limited

Price

₹1,157.00

▲ 1.06% · Delayed · as of 25 Sep 2026

TTM payout

₹21.50

2 payouts in 12 months

Yield

1.86%

Dividend yield · trailing 12 months

Market cap

₹73,907 Cr

as of 25 Sep 2026

◆ Paid for 9 years without a break

52-wk closing range ₹798.95 – ₹1,251.00

Yield and payout totals recalculated 28 Sep 2026.

Dividend per share by FY

split-adjusted · FY27 to date · last 7 of 10 years
Dividend per share by FY
Financial yearTotal dividend
FY18₹5.00
FY19₹4.00
FY20₹6.00
FY21₹5.00
FY22₹8.50
FY23₹11.50
FY24₹13.00
FY25₹19.00
FY26₹19.00
FY27₹12.50

Recent payouts

· 18 on record since FY18
Ex-dateBreakdownAmount
25 Jun 2026record 26 Jun 2026₹12.50
06 Nov 2025record 06 Nov 2025₹9.00
04 Jul 2025record 04 Jul 2025₹10.00
06 Nov 2024record 06 Nov 2024₹8.00
28 Jun 2024record 28 Jun 2024₹11.00