Nippon Life India Asset Manage Dividend

Nippon Life India Asset Manage has declared a total of 4 dividends since August 29, 2023. In the past 12 months, Nippon Life India Asset Manage distributed ₹19.00 per share as an equity dividend. At the current market price of ₹833.85, Nippon Life India Asset Manage’s dividend yield is 3.11% for last financial year.

833.85+13.25 (1.61%)
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Last updated on 05 Dec, 2025 | 02:40 IST

Nippon Life India Asset Manage Dividends Details

Announcement DateNo Sort
Ex-Dividend DateNo Sort
Dividend TypeNo Sort
Dividend (Rs)No Sort
Dividend %No Sort
30-10-2025
06-11-2025Interim9.0090.0006-11-2025
28-04-2025
04-07-2025Final10.00100.0004-07-2025
24-10-2024
06-11-2024Interim8.0080.0006-11-2024
24-04-2024
28-06-2024Final11.00110.0028-06-2024

* Dividend percentage is calculated as a percentage of the face value of the share.

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FAQs

When will Nippon L I A M dividend​ be credited?

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The credit of Nippon L I A M dividend to your bank account linked to the Demat account generally takes place within 25 days to 45 days after the record date.

How much dividend Nippon L I A M declared this year FY 2025-2026?

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Nippon L I A M has declared dividend worth ₹19.00 in FY 2025-2026

How much dividend Nippon L I A M declared last year FY 2024-2025?

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Nippon L I A M has declared dividend worth ₹19.00 in FY 2024-2025

When will Nippon L I A M declare dividend​?

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Nippon L I A M usually declares dividends during their quarterly or annual earnings announcements at specific dates depending on the company's financial calendar.

How much dividend is paid by Nippon L I A M?

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Nippon L I A M has paid a total dividend of ₹38.00 in 2023-2025.