NAM-INDIA Share Price Target 2050

CAGR-based price projection for Nippon Life India Asset Management Limited (NAM-INDIA) targeting 2050, derived from official NSE exchange closing prices.

Bear Case (3.8% CAGR)
Rs 2,560
2050 Target
Base Case (9.5% CAGR)
Rs 9,236
2050 Target
Bull Case (25.9% CAGR)
Rs 261,797
2050 Target

Current Market Snapshot

CMP: Rs 1,046.00
52W High: Rs 1,251.00
52W Low: Rs 915.45
1Y CAGR: 19.9%
3Y CAGR: 9.5%

Year-by-Year Price Projection

YearBear CaseBase CaseBull Case
2027 Rs 1,086 Rs 1,145 Rs 1,317
2028 Rs 1,127 Rs 1,254 Rs 1,657
2029 Rs 1,170 Rs 1,373 Rs 2,086
2030 Rs 1,214 Rs 1,504 Rs 2,626
2031 Rs 1,260 Rs 1,647 Rs 3,305
2032 Rs 1,308 Rs 1,803 Rs 4,160
2033 Rs 1,358 Rs 1,974 Rs 5,237
2034 Rs 1,410 Rs 2,162 Rs 6,592
2035 Rs 1,463 Rs 2,367 Rs 8,297
2036 Rs 1,519 Rs 2,592 Rs 10,444
2037 Rs 1,577 Rs 2,839 Rs 13,147
2038 Rs 1,636 Rs 3,108 Rs 16,548
2039 Rs 1,699 Rs 3,403 Rs 20,830
2040 Rs 1,763 Rs 3,727 Rs 26,219
2041 Rs 1,830 Rs 4,081 Rs 33,003
2042 Rs 1,900 Rs 4,469 Rs 41,542
2043 Rs 1,972 Rs 4,893 Rs 52,290
2044 Rs 2,047 Rs 5,358 Rs 65,820
2045 Rs 2,125 Rs 5,867 Rs 82,850
2046 Rs 2,205 Rs 6,424 Rs 104,286
2047 Rs 2,289 Rs 7,035 Rs 131,269
2048 Rs 2,376 Rs 7,703 Rs 165,233
2049 Rs 2,466 Rs 8,435 Rs 207,984
2050 Rs 2,560 Rs 9,236 Rs 261,797

Other NAM-INDIA Price Targets

2025 2026 2027 2028 2030 2035 2040

Frequently Asked Questions

What is the NAM-INDIA share price target for 2050?

Based on historical growth analysis, the NAM-INDIA share price target for 2050 ranges from Rs 2,560 (conservative) to Rs 9,236 (base case) to Rs 261,797 (optimistic). These projections are based on trailing CAGR and should not be treated as guaranteed outcomes.

What is the current share price of NAM-INDIA?

The current market price of NAM-INDIA (Nippon Life India Asset Management Limited) is Rs 1,046.00. The 52-week high is Rs 1,251.00 and 52-week low is Rs 915.45.

Is NAM-INDIA a good stock to buy for the long term?

Long-term investment decisions depend on individual risk tolerance, financial goals, and portfolio diversification. Examine the company's fundamentals, debt-to-equity ratio, promoter holding, and competitive positioning within its sector. BrokerLens provides data-driven analysis; consult a SEBI-registered financial advisor before investing.

What methodology does BrokerLens use for NAM-INDIA price targets?

BrokerLens computes price targets using historical Compound Annual Growth Rate (CAGR) derived from official NSE closing prices. Three scenarios are modeled: Bear (conservative at 3.8% CAGR), Base (9.5% CAGR), and Bull (optimistic at 25.9% CAGR). These are statistical projections, not guaranteed forecasts.

Disclaimer: Share price targets on BrokerLens are statistical CAGR projections based on historical NSE closing prices. They are NOT guaranteed outcomes, investment advice, or analyst recommendations. Past performance does not guarantee future results. Consult a SEBI-registered investment advisor before making investment decisions. Mutual fund and equity investments are subject to market risks.