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Finance
NBFC-Asset Management Companies
1,07,015 Cr
High Risk
37.2
38.8
3.3
13.8
2,965.00
1,762.53
Sales CAGR
1Y
28.22%
3Y
18.25%
5Y
11.79%
10Y
10.34%
Profit CAGR
1Y
26.64%
3Y
20.89%
5Y
14.28%
10Y
19.97%
ROE
TTM
35.47%
3Y
27.35%
5Y
27.03%
10Y
28.66%
ROCE
TTM
45.33%
3Y
35.24%
5Y
35.09%
10Y
38.28%
Bearish
2
Neutral
4
Bullish
8
Bearish
34
Neutral
4
Bullish
8
Bearish
32
Neutral
0
Bullish
0
HDFC Asset Management Company Ltd (HDFCAMC) is currently trading at 2,433.00 per share. Stock prices fluctuate during market hours on NSE and BSE based on demand, company updates, and overall market conditions. Refer to the live price chart above for the most recent price movement.
HDFC Asset Management Company Limited (HDFC AMC) is the leading asset management company in India, managing the largest mutual fund portfolio through HDFC Mutual Fund. The business spans equity, fixed income, hybrid, and multi-asset solutions. The company's AUM stands at INR9 trillion, with significant growth in equity-oriented portfolios, comprising 65.5% of AUM. The increase indicates strong investor confidence and efficient market operations. HDFC AMC's efforts in systematic investment plans (SIPs) are noteworthy, with monthly inflows achieving record highs, underlining robust consumer engagement and a preference for systematic investment strategies. The firm has made strategic advancements in its alternatives and PMS business, notably attaining a structured credit fund, illustrating diversification and expansion into lucrative financial product domains. Operational efficiencies are evident as HDFC AMC maintains steady operating profit margins despite industry-wide cost pressures and regulatory changes in TER (Total Expense Ratio), reflecting strong internal cost management.
Over the past 52 weeks, HDFC Asset Management Company Ltd has traded between a low of ₹1,762.53 and a high of ₹2,965.00. The 52-week high and low indicate the stock’s price range over the last year and help investors understand its volatility and recent trading levels.
HDFC Asset Management Company Ltd has a market capitalization of approximately 1,07,015.02. Market capitalization represents the total value of a company’s outstanding shares and helps investors understand its size, stability, and relative risk compared to other listed companies.
HDFC Asset Management Company Ltd’s investment profile depends on its business fundamentals, valuation, and long-term outlook. The stock currently trades at a PE ratio of 37.24 and operates in the Finance sector. Investors typically assess financial performance, growth prospects, and individual risk tolerance before making investment decisions.
You can buy shares of HDFC Asset Management Company Ltd (HDFCAMC) through any SEBI-registered stockbroker in India. A demat and trading account are required to place buy or sell orders on stock exchanges such as NSE or BSE. Shares are credited to the demat account as per the exchange settlement cycle.
Based on its market capitalization of 1,07,015.02 Cr, HDFC Asset Management Company Ltd is classified as a Large Cap stock. Large-cap stocks are generally more stable, while mid-cap and small-cap stocks tend to offer higher growth potential along with higher price volatility.
HDFC Asset Management Company Ltd operates in the Finance sector. Sector classification matters because companies in the same sector are often affected by similar economic conditions, regulatory changes, and competitive dynamics, which can influence overall stock performance.
The Price-to-Earnings (PE) ratio of HDFC Asset Management Company Ltd is 37.24. The PE ratio compares a company’s share price to its earnings and is commonly used to assess valuation. Comparing the PE ratio with sector peers and historical levels provides better context.
HDFC Asset Management Company Ltd pays dividends with a current dividend yield of 1.80%. Dividend-paying stocks may provide periodic income in addition to potential long-term capital appreciation.
Key risks associated with HDFC Asset Management Company Ltd include sector-specific challenges in the Finance industry, regulatory changes, competitive pressures, company-level financial performance, overall market volatility, and broader macroeconomic factors that can impact stock prices.
Discover detailed, AI-driven financial summaries that break down key metrics, trends, and insights—empowering you to make smarter investment decisions.
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Performance
STEADY PERFORMER
Valuation
OVERVALUED
Growth
STABLE
Profitability
HIGH MARGIN
Technicals
Bearish
Risk
MODERATE RISK

Market Cap
₹ 1,07,015 Cr
P/E
37.24
Turned 1 L into 2.48 L in last 3 Years