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Mutual Fund Holdings
Overview (26 Jul 2022)
HDFC Life Insurance Company Ltd
HDFCLIFE
INE795G01014
Life Insurance
Result was last declared on 19 Jul 2021
-4.2
Prev. Close
Previous Close
526.75
Current Close
522.55
Current High
531
Current Low
520.1
52 Week High
775.65
52 Week Low
497.05
Resistance 1
529.00
Resistance 2
535.45
Support 1
518.10
Support 2
507.20
Std Deviation
4.18%
DMA 200
610.89
DMA 50
564.14
DMA 20
548.19
Fundamentals and Ratios
Standalone
Trailing EPS
6.42
Forwad EPS
7.17
Trailing P/E
81.39
Forward P/E
72.85
PEG Ratio
6.2084
Mkt. Cap (Cr)
Market Cap (Cr)
105526.92
Total Debt(Cr)
Tot. Debt(Cr)
0.00
Reserve (Cr)
6409.44
Book Value
41.62
P/BV Ratio
12.56
ROCE(%)
16.00
ROE
16.00
Consolidated
Trailing EPS
6.43
Forwad EPS
7.19
Trailing P/E
83.2
Forward P/E
74.44
PEG Ratio
6.33
Mkt. Cap (Cr)
Market Cap (Cr)
108041.15
Total Debt(Cr)
Tot. Debt(Cr)
0.00
Reserve (Cr)
6409.44
Book Value
41.66
P/BV Ratio
12.84
ROCE(%)
16.00
ROE
16.00
Financial Result
Standalone
Type
Sep-20
Jun-20
Mar-20
Dec-19
Sep-19
FY19-20
Revenue
354.75
443.33
537.67
282.12
220.3
1629.2
Other Income
0.00
0.00
18.56
0.00
140.01
18.56
Total Income
354.75
443.33
556.23
282.12
360.31
1647.76
Interest
0.00
0.00
0.00
0.00
0.00
0.00
Expenditure
28.54
-7.87
-271.76
-18.51
-33.54
-336.02
PBDT
0.00
0.00
0.00
0.00
0.00
0.00
Depreciation
0.00
0.00
0.00
0.00
0.00
0.00
PBT
326.21
451.20
284.47
263.61
326.77
1311.74
Tax
0.12
0.11
-27.24
13.37
18.08
16.47
Equity
0.00
0.00
0.00
0.00
0.00
0.00
OPM
91.95
101.78
51.14
93.44
90.69
79.61
Net Profit
326.09
451.09
311.71
250.24
308.69
1295.27
NPM
91.92
101.75
56.04
88.7
85.67
78.61
EPS
1.61
2.23
1.54
1.24
1.53
6.42
Consolidated
Type
Sep-20
Jun-20
Mar-20
Dec-19
Sep-19
FY19-20
Revenue
358.69
451.93
552.45
287.09
367.17
1667.84
Other Income
0.72
0.57
19.11
0.33
0.25
19.86
Total Income
359.41
452.50
571.56
287.42
367.42
1687.70
Interest
0.00
0.00
0.00
0.00
0.00
0.00
Expenditure
31.46
-1.85
-287.15
-22.96
-40.36
-373.78
PBDT
0.00
0.00
0.00
0.00
0.00
0.00
Depreciation
0.00
0.00
0.00
0.00
0.00
0.00
PBT
327.95
450.65
284.41
264.46
327.06
1313.92
Tax
0.12
0.11
-27.24
13.37
18.08
16.47
Equity
0.00
0.00
0.00
0.00
0.00
0.00
OPM
91.25
99.59
49.76
92.01
89.02
77.85
Net Profit
327.83
450.54
311.65
251.09
308.98
1297.45
NPM
91.21
99.57
54.53
87.36
84.09
76.88
EPS
1.62
2.23
1.54
1.24
1.53
6.43
Annual Reports
2021
2020
2019
2018
Corporate Action
Quarterly Result
Dividend
Year
Dividend Type
Amount
Remark
Ex Date
2021
Final Dividend
2.02
Final Dividend - Rs. - 2.0200
30 Jun 2021
2019
Interim Divvidend
1.63
Interim Dividend - Rs. - 1.6300
14 Mar 2019
2018
Interim Divvidend
1.36
Interim Dividend - Rs. - 1.3600
15 Dec 2017
Bonus
Split
Mutual Fund Holddings
Fund Name
Quantity (in thousand)
Motilal Oswal Multicap 35 Fund
14,800.00
SBI ETF Nifty 50
11,366.30
SBI BLUE CHIP FUND
9,430.88
Axis Focused 25 Fund
5,991.17
Mirae Asset Large Cap Fund
5,607.32
KOTAK STANDARD MULTICAP FUND
5,300.00
Axis Bluechip Fund
4,097.00
Axis Long Term Equity Fund
3,103.26
UTI NIFTY Exhcange Traded Fund
2,769.75
Mirae Asset Emerging Bluechip Fund
2,598.31
Axis ESG Equity Fund
1,955.29
Mirae Asset Focused Fund
1,523.92
1
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4
5
6
7
8
9
10
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Sector: Life Insurance
Company
Current Close
P/E Ratio
HDFCLIFE
535
83.33
ICICIPRULI
532.25
71.54
MFSL
846
83.6
SBILIFE
1164.95
81.92
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