HDFC Asset Management Company Limited is a publicly owned investment manager. The firm launches and manages equity, fixed income, and balanced mutual funds for its clients. It manages equity, fixed income, balanced, and real estate portfolios. The firm invests in public equity and fixed income markets. The firm employs fundamental analysis to make its investments. HDFC Asset Management Company Limited was founded on December 10,1999 and is based in Mumbai, Maharashtra. HDFC Asset Management Company Limited operates as a subsidiary of HDFC Bank Limited. Track HDFC Asset Management Company Limited's live NSE:HDFCAMC share price โน2,572.00 (-1.61%), market cap โนโน1.10T, P/E 37.5. MarketRipple's AI analysis covers the investment thesis, ripple-chain impact, and Financial Services sector outlook for HDFCAMC โ real-time NSE India stock intelligence.
HDFC Asset Management Company Limited
03 August 2026 ยทNSE
Market Cap
โน1.10T
PE Ratio
37.5
Dividend
2.06%
AI Score
71/100
Open
โน2,640.00
High
โน2,644.80
Low
โน2,565.40
Prev. Close
โน2,614.00
52W High
โน2,967.25
52W Low
โน2,205.60
HDFC Asset Management Company Limited is a publicly owned investment manager. The firm launches and manages equity, fixed income, and balanced mutual funds for its clients. It manages equity, fixed income, balanced, and real estate portfolios. The firm invests in public equity and fixed income markets. The firm employs fundamental analysis to make its investments. HDFC Asset Management Company Limited was founded on December 10,1999 and is based in Mumbai, Maharashtra. HDFC Asset Management Company Limited operates as a subsidiary of HDFC Bank Limited.
Key Takeaway
HDFC Asset Management Company Limited is rated strong buy with a P/E of 37.5x โ understand the valuation context before sizing a position.
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Ask AI: Is HDFC Asset Management Company Limited fairly valued right now?
Because a P/E of 37.5x needs to be compared against sector peers and growth expectations to be meaningful.
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View events affecting HDFC Asset Management Company Limited
Because the investment case must account for macro and company-specific developments โ events reveal the 'why' behind price moves.
Trace sector ripple effects
Because Financial Services moves create upstream and downstream implications that affect the entire thesis.
Intelligence Path
Growth
Govt Exposure
Policy Dependence
Execution Quality
News Sensitivity
Debt Strength
1,100 Cr
Revenue
837 Cr
Net Profit
0%
ROE
0%
ROCE
68.53
EPS
| โน in Crore | FY23 | FY24 | FY25 | FY26 | TTM |
|---|---|---|---|---|---|
| Revenue | 2,167 | 2,584 | 3,498 | 4,122 | 3,227 |
| Net Profit | 1,423 | 1,943 | 2,460 | 2,858 | 2,229 |
| ROE (%) | โ | โ | โ | 0.0% | 0.0% |
| EPS (โน) | โ | โ | โ | 68.53 | 68.53 |
| Debt/Equity | โ | โ | โ | 2.4 | 2.4 |