NSE NUVAMA · BSE 543988 · Investment Services · NIFTY 500

Nuvama Wealth Management Share Price

Market closed · updated 25 Sep, 4:47 PM IST
₹1,702.80 ▲ +₹2.04 · 0.12% NSE · as of 24 Sep 2026, 9:42 AM · BSE ₹1,690.00
Today's range
₹1,680.00Low₹1,720.00High
52-week range
₹1,097.25Low · 23 Mar 2026₹2,067.00High · 24 Jul 2026

Nuvama Wealth Management Overview

Where the price stands, how it has moved and how it sits against its averages.

Nuvama Wealth Management shares last traded at ₹1,702.80 on the NSE, up 0.12% on the day. That is 17.6% below the 52-week high of ₹2,067.00 and 55.2% above the 52-week low of ₹1,097.25. The stock trades at 30.26× earnings, above the sector average of 15.35. Its market value is ₹31,238 Cr.

Price returns

1 Day▲ +0.12%
5 Days▼ −0.87%
This month▼ −3.73%
3 Months▼ −2.77%
6 Months▲ +40.57%
This year▲ +14.03%
1 Year▲ +35.65%

Against the market: 1 Month ▼ −1.77% · 3 Months ▲ +0.04% · 6 Months ▲ +41.40% · This year ▲ +29.87% · 1 Year ▲ +48.84%

Shading grows with the size of the move. Prices refresh every 15 minutes while the market is open (9:15 AM–3:30 PM IST); next update from Mon 28 Sep, 9:15 AM.

Moving averages — price is above 3 of 6

  1. 50-day average₹1,775.79 ▼ price 4.1% below
  2. 20-day average₹1,761.88 ▼ price 3.4% below
  3. 10-day average₹1,724.80 ▼ price 1.3% below
  4. Today's price₹1,702.80
  5. 100-day average₹1,699.28 ▲ price 0.2% above
  6. 5-day average₹1,693.40 ▲ price 0.6% above
  7. 300-day average₹1,516.69 ▲ price 12.3% above

Averages above today's price sit higher on the ladder. Price above most of its averages is usually read as an upward trend.

Nuvama Wealth Management Financial Results

Revenue and net profit in ₹ crore, with the full statements underneath.

Revenue₹ crore
4,635
Net profit₹ crore · losses below zero
1,041

Year by year

Fiscal yearRevenueGrowthNet profitNet marginEPSDividend
FY 2026 ₹4,635 Cr ▲ +11.4% ₹1,041 Cr 22.5% ₹57.59 ₹27.80
FY 2025 ₹4,160 Cr ▲ +33.7% ₹986 Cr 23.7% ₹53.71 ₹28.90
FY 2024 ₹3,112 Cr ▲ +40.0% ₹625 Cr 20.1% ₹34.83 —
FY 2023 ₹2,222 Cr ▲ +24.9% ₹305 Cr 13.7% ₹17.39 ₹0.00
FY 2022 ₹1,779 Cr — ₹857 Cr 48.2% ₹48.87 ₹0.00

Balance sheet — FY26

Owes (liabilities)Shareholders' equity
88%
  • Total assets₹34,491 Cr
  • Total liabilities₹30,370 Cr
  • Shareholders' equity₹4,121 Cr
  • Total debt₹11,739 Cr
  • Cash & investments₹581 Cr
  • Operating margin (TTM)44.91%
  • Net margin (TTM)24.46%

Cash flow — FY26

Operating activities
▼ −₹3,014 Cr
Investing activities
▼ −₹128 Cr
Financing activities
▲ ₹3,181 Cr
Free cash flow
▼ −₹3,042 Cr
Net change in cash
▲ ₹48 Cr

Right of the line = cash coming in, left = cash going out. Free cash flow = cash from operations minus capital spending.

Full financial statements, FY22–FY26
₹ croreFY22FY23FY24FY25FY26
Total revenue1,779.122,222.313,111.534,159.774,634.83
Cost of revenue0.711.361.21295.83361.31
Gross profit1,778.412,220.953,110.323,863.944,273.52
Operating expenses562.091,415.341,642.092,014.392,286.34
Operating income1,217.03806.971,469.442,145.392,348.49
Depreciation71.3288.58136.4294.37112.51
Profit before tax935.11406.09812.001,318.311,384.97
Tax77.98101.03187.16333.24344.71
Net profit857.39305.09625.32986.181,041.04
EPS (₹)48.8717.3934.8353.7157.59
Dividend per share (₹)0.000.00—28.9027.80

What Analysts Say

8 analysts

Recommendations from 8 analysts who cover Nuvama Wealth Management.

Strong Buy average rating 1.25 on a 1–5 scale

▲ 8 bullish (100.0%) · 0 hold (0.0%) · ▼ 0 bearish (0.0%)

Votes

Strong Buy
6 (75%)
Buy
2 (25%)
Hold
0 (0%)
Sell
0 (0%)
Strong Sell
0 (0%)

How the votes changed

Rating3M ago2M ago1M ago1W agoNow3-month change
Strong Buy77776 ▼ −1
Buy11112 ▲ +1
Hold00000 —
Sell00000 —
Strong Sell00000 —

Analyst ratings are opinions, not a guarantee of returns.

Nuvama Wealth Management vs Peers

Side by side with other investment services companies. The small bars compare each column.

CompanyPriceChangeMarket capP/EP/BROE (5 yr)Net marginDiv. yieldRating
Nuvama Wealth Management ₹1,702.80 ▲ +0.12% ₹31,238 Cr 30.26 7.46 — 24.46% 1.66% This stock
ICICI Prudential Asset Management Company Ltd ₹3,176.10 ▲ +0.07% ₹1,56,625 Cr 47.70 37.71 80.08% 55.98% 0.86% Bullish
HDFC Asset Management Company ₹2,382.00 ▼ −2.62% ₹1,02,143 Cr 39.87 12.31 29.78% 69.30% 2.04% Bearish
Nippon Life India Asset Management ₹1,150.00 ▼ −1.38% ₹73,594 Cr 50.08 16.25 28.27% 56.41% 1.81% Neutral
Multi Commodity Exchange Of India ₹3,427.40 ▲ +1.64% ₹87,396 Cr 52.61 16.59 18.83% 57.84% 0.22% Bullish
Motilal Oswal Financial Services ₹1,018.60 ▼ −2.06% ₹61,353 Cr 30.83 4.52 22.40% 21.18% 0.62% Bullish

Rating = the data provider's overall technical view of each peer. Company names link to their own pages.

Shareholding Pattern

Who owns Nuvama Wealth Management shares, quarter by quarter (latest on top).

PromoterFIIMFOther
Jun '26
54.0%
19.0%
20.3%
Mar '26
Dec '25
Sep '25
HolderSep '25Dec '25Mar '26Jun '26Change
Promoter54.65%54.20%54.13%53.98% ▼ −0.15 pts
FII16.30%16.39%16.94%19.00% ▲ +2.06 pts
MF6.19%6.81%6.61%6.77% ▲ +0.16 pts
Other22.86%22.60%22.32%20.25% ▼ −2.07 pts

Nuvama Wealth Management Key Metrics

Each ratio placed against a benchmark — the sector average, the company's own 5-year average, or a common rule of thumb.

Nuvama Wealth ManagementBenchmarkComfortable → stretched

Valuation Is the price reasonable?

P/E (TTM)Price ÷ yearly earnings per share
30.26
▲ 97% above the sector average of 15.35
P/BPrice ÷ book value per share
7.46
P/SPrice ÷ sales per share
7.04
P/CFPrice ÷ cash flow per share
26.22
PEGP/E ÷ earnings growth (≈1 is fair)
0.59

Profitability Of every ₹100 of sales, how much is kept?

Gross marginKept after the cost of goods
91.46%
Operating marginKept after running costs
44.91%
Pre-tax marginKept before tax
32.65%
Net marginKept as profit
24.46%

Returns & efficiency How well does it use its money?

Return on equityProfit on shareholders' money
27.36%
Return on assetsProfit on everything it owns
3.31%
Return on investmentProfit on long-term capital
10.36%

Growth Is the business getting bigger?

Revenue — last 12 months
+10.3%
▲ growing
Revenue — 3 yr, a year
+27.8%
▲ growing (off the scale)
EPS — last 12 months
+4.2%
▲ growing
EPS — 3 yr, a year
+49.0%
▲ growing (off the scale)

Financial strength Can it pay its bills and debts?

Debt to equityBorrowings for every ₹1 of shareholders' money
2.85×
! High debt
Interest coverOperating profit ÷ interest to pay
2.94×
• Adequate
Payout ratioShare of profit paid as dividend
48.14%
✓ Balanced

Per share What each share stands for

EPS (TTM)
₹57.99
Book value
₹226.43
Cash flow
₹63.62
Dividend
₹28.00
Revenue
₹236.96

The share price is 7.52× the book value behind each share.

Benchmarks: sector averages and 5-year averages come from the data provider; the debt and liquidity bands are common rules of thumb, not investment advice.

All 83 metrics from the data provider

Valuation

P/E excluding extraordinary items, most recent fiscal year29.31
Current Dividend Yield - Common Stock Primary Issue, LTM1.66
Price to Book - most recent fiscal year7.46
P/E Basic excluding extraordinary items - TTM30.26
P/E including extraordinary items - TTM29.11
Price to Tangible Book - most fiscal year7.63
Price to sales - most recent fiscal year6.72
Dividend Yield - indicated annual dividend divided by closing price1.66
Price to Cash Flow per share - trailing 12 month26.22
Peg Ratio0.59
P/E Normalized, most recent fiscal year29.34
P/E excluding extraordinary items, most recent fiscal year quarter29.11
Price to sales - trailing 12 month7.04
Net Debt, LFY1,11,581.20

Per share

Cash Flow per share - trailing 12 month63.62
Cash Flow per share - most recent fiscal year63.26
EPS including extraordinary items - trailing 12 month57.99
EPS including extraordinary items - most recent fiscal year57.59
EBITD per share - trailing 12 month112.08
Revenue/share - trailing 12 month236.96
EPS excluding extraordinary items - trailing 12 month57.99
EPS Basic excluding extraordinary items - most recent fiscal year57.59
EPS Basic excluding extraordinary items - trailing 12 month59.70
Book value per share - most recent fiscal year226.37
Dividend per share - most recent fiscal year27.80
Revenue/share - most recent fiscal year256.41
EPS Normalized - most recent fiscal year57.54
Book value (tangible) per share - most recent fiscal year224.16
Dividends per share - trailing 12 month28.00
EPS excluding extraordinary items - most recent fiscal year57.59
Cash per share - most recent fiscal year31.91

Margins

Operating margin - trailing 12 month44.91
Operating margin - 1st historical fiscal year50.67
Net Profit Margin % - 1st historical fiscal year22.44
Gross Margin - 1st historical fiscal year92.20
Net Profit Margin % - trailing 12 month24.46
Pretax margin - 1st historical fiscal year29.88
Pretax margin - trailing 12 month32.65
Gross Margin - trailing 12 month91.46

Growth

EPS Change %, TTM over TTM4.23
Revenue Change % - most recent quarter 1 year ago16.60
Growth rate% - EPS, 3 year49.04
Revenue Change %, TTM over TTM10.31
Growth rate% - Revenue, 3 year27.76
EPS Change % - most recent quarter 1 year ago15.56

Financial strength

Net Interest coverage - most recent fiscal year2.94
Free Cash Flow - most recent fiscal year−35,433.80
LT debt/equity - most recent fiscal year1.60
Payout ratio - trailing 12 month23.31
Current EV/Free Cash Flow, LFY68.96
Total debt/total equity - most recent fiscal year2.85
Net Interest coverage - trailing 12 month3.52
Payout ratio - most recent fiscal year48.14

Returns & efficiency

Net Income/employee - trailing 12 month31,50,015.00
Revenue/employee - most recent fiscal year1,35,34,330.00
Return on investment - most recent fiscal year10.36
Return on average assets - most recent fiscal year3.31
Receivables turnover - most recent fiscal year5.31
Revenue/employee - trailing 12 month1,28,80,790.00
Net Income/employee - most recent fiscal year30,37,699.00
Asset turnover - most recent fiscal year0.15
Return on average equity - most recent fiscal year27.36

Price & volume

Market Cap31,560.11
52 week Low Date23 Mar 2026
Price - 1 Day % Change0.75
Relative (S&P500) price percent change - 13 week0.04
Avg trading volume last 10 days0.21
Price - 13 week price percent change−2.77
Price - 52 week price percent change35.65
Avg Trading Volume Last 3 months8.96
Price - 5 Day % Change−0.87
Price % Change Month To Date−3.73
Relative (S&P500) price percent change - 04 week−1.77
52 week High Date24 Jul 2026
Price - 26 week price percent change40.57
PDATE23 Sep 2026
Price - YTD price percent change14.03
Relative (S&P500) price percent change - 52 week48.84
NPRICE1,688.20
Relative (S&P500) price percent change - 26 week41.40
52 week Low1,096.90
52 week High2,066.00
Relative (S&P500) price percent change - Year to Date29.87

Dividends & Corporate Events

Payouts to shareholders, splits and bonus issues, and company meetings — newest first.

Dividend per share₹ per share, by fiscal year
₹28.90
₹27.80
  • Dividend yield1.66%
  • Payout ratio48.14%
  • Latest dividend₹14.00 per share · 15 May 2026

Corporate calendar

  • MeetingPostal Ballot
  • BoardQuarterly Results & Others
  • Dividend₹14.00 per share · 700% · Interim dividend
  • BoardAudited Results & Interim Dividend
  • BoardQuarterly Results
  • SplitStock split — face value ₹10 → ₹2
  • MeetingPostal Ballot
  • Dividend₹70.00 per share · 700% · Interim dividend
Show 11 older events
  • BoardQtr Results, Int.Dividend & Stock Split
  • MeetingAnnual General Meeting
  • BoardQuarterly Results
  • Dividend₹69.00 per share · 690% · Interim dividend
  • BoardAudited Results & Interim Dividend
  • BoardQuarterly Results
  • Dividend₹63.00 per share · 630% · Interim dividend
  • BoardQuarterly Results & Interim Dividend
  • MeetingPostal Ballot
  • Dividend₹81.50 per share · 815% · Interim dividend
  • MeetingAnnual General Meeting

About Nuvama Wealth Management

Investment Services

Nuvama Wealth Management Limited is an India-based wealth management company. The Company's segments include Wealth Management, Asset Management, Asset Services and Capital Markets. The Wealth Management segment provides wealth management solutions for the high-net-worth individual (HNI) client segments. Its solutions include investments, lending, estate planning, family office, corporate advisory, and treasury services. The Asset Management segment provides alternative asset management solutions across private markets, public markets, and commercial real estate. The Asset Services and Capital Markets segment provides asset services and institutional equities and investment banking services. Its investment banking capabilities include initial public offering, qualified institutional placement, private equity, mergers and acquisitions and fixed income solutions. It serves foreign institutional investors, domestic institutional investors, funds, corporates and private wealth clients.

Key people

  • Ashish KehairChief Executive Officer, Managing Director, Executive Director
  • Bharat KalsiChief Financial Officer
  • Sneha PatwardhanCompany Secretary and Compliance Officer
  • Shiv SehgalExecutive Director

Company facts

  • NSE symbolNUVAMA
  • BSE code543988
  • ISININE531F01023
  • IndustryInvestment Services
  • IndexNIFTY 500
  • Market cap₹31,238 Cr
  • Revenue (FY26)₹4,635 Cr
  • Net profit (FY26)₹1,041 Cr

In the News

Recent headlines about Nuvama Wealth Management — they open on Mint in a new tab.

Stock data comes from the exchange feed via our data provider and may be delayed. It is for information only and is not a recommendation to buy or sell. See all stocks →

Frequently Asked Questions

Nuvama Wealth Management (NSE: NUVAMA) last traded at ₹1,702.80 on the NSE, up 0.12% (₹2.04) on the day, as of 24 Sep 2026, 9:42 AM. On the BSE it was ₹1,690.00. The day's range was ₹1,680.00 – ₹1,720.00.

Nuvama Wealth Management's 52-week high is ₹2,067.00 (24 Jul 2026) and its 52-week low is ₹1,097.25 (23 Mar 2026). At ₹1,702.80 the share is 17.6% below its high and 55.2% above its low.

Nuvama Wealth Management's market capitalisation is ₹31,238 Cr (₹31,238 Cr). It is part of the NIFTY 500 index.

Nuvama Wealth Management's P/E ratio (trailing 12 months) is 30.26. The sector average is 15.35, so investors pay 97% more for each rupee of its earnings than for the average company in its sector. Its earnings per share (TTM) are ₹57.99.

Nuvama Wealth Management shares are up 35.65% over the last year, up 14.03% so far this year, up 40.57% over 6 months, down 2.77% over 3 months. Over the last year the stock did 48.84% better than the market.

In FY26 (year to Mar 2026), Nuvama Wealth Management reported revenue of ₹4,635 Cr (up 11.42% on the year before) and a net profit of ₹1,041 Cr. Earnings per share were ₹57.59.

Yes. Nuvama Wealth Management's latest dividend is ₹14.00 per share (700%, interim dividend), with an ex-date of 15 May 2026. The dividend yield is 1.66%. It has paid 5 dividends in the records shown on this page.

Of 8 analysts covering Nuvama Wealth Management, 8 are bullish (6 strong buy, 2 buy), 0 say hold and 0 are bearish. The consensus is Strong Buy (average rating 1.25 on a scale where 1 is Strong Buy and 5 is Strong Sell). Analyst views are opinions, not a guarantee.

As of Jun 2026: Promoter 53.98%, FII 19.00%, MF 6.77%, Other 20.25%. Promoter holding fell by 0.15 percentage points from Mar 2026.

Nuvama Wealth Management's listed peers in Investment Services include ICICI Prudential Asset Management Company Ltd, HDFC Asset Management Company, Nippon Life India Asset Management, Multi Commodity Exchange Of India, Motilal Oswal Financial Services. By market capitalisation it ranks #6 of 6 in this group.