Nippon Life India Asset Management Ltd releases Interim Dividend information for 2025 in the Financial Services sector
3.16%
Div. Yield
93.88%
Payout Rat.
Nippon Life India Asset Management Ltd has declared an Interim Dividend for the year 2025, amounting to ₹9.00 per share. Investors must hold shares by November 5, 2025, the ex-dividend date, to receive the declared dividend. The stock is currently priced at ₹881.55.
Building on its Final Dividend of ₹10.00 per share from 2025, the company’s dividend payout ratio of 93.88% reflects its approach to sharing profits with investors while maintaining growth. The dividend yield of 3.16% shows the return relative to the value of the stock.
Dividend Yield History
| Year | Yield |
|---|---|
| 2025 | 1.34% |
| 2024 | 1.66% |
| 2023 | 2.90% |
| 2022 | 2.72% |
| 2021 | 0.91% |
| 2020 | 0.88% |
Dividend Payment History
| Ex-Div Date | Amount | Type | Share Price |
|---|---|---|---|
| November 5, 2025 | ₹9.00 | Interim Dividend | ₹881.55 |
| July 3, 2025 | ₹10.00 | Final Dividend | ₹746 |
| November 5, 2024 | ₹8.00 | Interim Dividend | ₹717.85 |
| June 27, 2024 | ₹11.00 | Final Dividend | ₹662.25 |
| November 8, 2023 | ₹5.50 | Interim Dividend | ₹405.1 |
| June 29, 2023 | ₹7.50 | Final Dividend | ₹258.2 |
| October 31, 2022 | ₹4.00 | Interim Dividend | ₹270.5 |
| June 29, 2022 | ₹7.50 | Final Dividend | ₹275.4 |
| November 7, 2021 | ₹3.50 | Interim Dividend | ₹425.1 |
| June 9, 2021 | ₹5.00 | Final Dividend | ₹372.75 |
| February 4, 2021 | ₹3.00 | Interim Dividend | ₹330.9 |
| June 28, 2020 | ₹2.00 | Final Dividend | ₹312.8 |
| February 2, 2020 | ₹3.00 | Interim Dividend | ₹341.2 |
Dividend Stars
| Stock Name | Median Yield | Current Yield |
|---|---|---|
![]() Oracle Financial Services Software Ltd NSE: OFSS | 5.41% | 3.65% |
![]() Indian Oil Corporation Ltd NSE: IOC | 3.81% | 2.85% |
![]() Cesc Ltd NSE: CESC | 3.08% | 3.90% |
![]() Gail India Ltd NSE: GAIL | 3.02% | 4.60% |
![]() Bajaj Auto Ltd NSE: BAJAJ-AUTO | 2.97% | 2.21% |
FAQs
Nippon Life India Asset Management Ltd has declared dividend worth ₹9.00
Nippon Life India Asset Management Ltd has declared dividend on November 5, 2025
As of November 10, 2025, the dividend yield for Nippon Life India Asset Management Ltd is 3.16%
The most recent dividend payment for Nippon Life India Asset Management Ltd was ₹9.00 per share.
The current dividend payout ratio for Nippon Life India Asset Management Ltd is 93.88%





