National Stock Exchange of India Limited

Last Traded Price : ₹1860

About

The National Stock Exchange of India (NSE) is an institution of national importance and global stature, recognized as one of the worlds largest exchanges and a driving force behind Indias economic growth. Established in 1994, NSE pioneered electronic, screen-based trading in India, setting new standards in transparency, technology, and operational efficiency. As a trusted market infrastructure institution, NSE upholds the highest standards of corporate governance while fostering a culture of innovation and continuous technological advancement. Its robust, state-of-the-art platform ensures reliability, safety, and resilience for trading and investment across all asset classes and investor categories. NSE plays a pivotal role in strengthening Indias financial ecosystem through disciplined market development and investor protection.

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Fundamental


Company Name :
National Stock Exchange of India Limited
Scrip Name :
NSE India
ISIN No. :
INE721I01024
No. of Outstanding Shares :
2,475,000,000
PAN No. :
AAACN1797L
Face Value :
₹1.00
EPS :
₹49.24
PE ratio :
37.77
P/S Ratio :
24.01
Market Capitalization :
₹4,60,350.00 Crore
Book value :
₹122.64
P/BV :
15.17
52 Week High :
₹ 2,590.00 (21/06/25)
52 Week Low :
₹ 1,520.00 (11/10/24)
Lifetime High :
₹ 2,590.00 (21/06/25)
Lifetime Low :
₹ 162.00 (31/05/19)
DRHP Filed ?
No
Available on :
NSDL and CDSL
ROFR Require :
Yes
Sector :
Financial Service
CIN :
U67120MH1992PLC069769
Registration Date :
27/11/1992

Balance Sheet (RS in Crore)

Particulars 2025 2024
Non-Current Assets
Property, Plant and Equipment 1,120.44 1,004.28
Right of Use Assets 530.84 168.46
Capital Work in Progress 3.85 31.89
Goodwill 206.86 206.86
Other Intangible Assets 47.95 62.47
Intangible assets under development 46.87 50.17
Investment in associates 616.18 685.85
Investments 13,882.90 14,128.07
Non-current bank balances 2,843.66 3,821.63
Others 166.11 154.85
Income Tax assets (net) 1,313.04 1,046.31
Deferred tax assets (net) 0.57 5.28
Other non-current assets 1,467.65 702.69
Current Assets
Investments 16,483.10 10,470.99
Trade receivables 1,512.21 1,864.66
Cash and Cash Equivalents 17,297.85 23,303.12
Bank balances other than cash & cash Eqv. 10,216.36 5,807.92
Other financial assets 1,025.36 459.8
Other current assets 449.43 636.2
Assets classified as held for sale 238.4 852.5
Total Assets 69,466.64 65,464.00
Core Settlement Guarantee Fund
Core Settlement guarantee fund paid 12,075.25 8,857.24
Core Settlement guarantee fund payable - 52.98
Investor Protection Fund 0.26 0.23
Equity
Equity Share Capital 247.5 49.5
Other Equity 30,105.83 23,924.91
Non Controlling Interest - -0.53
Non-Current Liabilities
Lease Liabilities 400.71 95.63
Other financial liabilities 18.94 17.36
Provisions 56.97 45.99
Deferred tax liabilities (net) 246.82 305.51
Contract liabilities 118.18 82.46
Other non-current liabilities 5.41 5.41
Current Liabilities
Lease Liabilities 105.5 29
Deposits 3,703.41 3,264.87
Trade Payables
Outstanding dues of micro & small enterprises 20.53 5.83
Outstanding dues of creditors other than above 431.72 326.92
Other financial liabilities 16,513.96 22,344.87
Provisions 178.31 105.23
Contract liabilities 9.44 6.17
Income Tax Liabilities (net) 326.51 102.9
Other current liabilities 4,815.23 5,472.20
Liabilities directly associate with assets classified as held for sale 86.16 369.32
Total Equity and Liabilities 69,466.64 65,464.00

Profit & Loss Statement (RS in Crore)

Particulars 2025 2024
Income
Revenue from Operations 17140.68 14780.01
Other Income 2036.15 1653.6
Total Income 19176.83 16433.61
Expenses
Employee Benefit Expense 671.79 460.39
Regulatory fees 962.64 980.57
Depreciation & amortisation 546.59 439.55
Other Expenses 2625.27 1728.39
Total Expenses 4806.29 3608.9
Profit before Exceptional items, Contribution to Core SGF, Share of net profits of associates 14370.54 12824.71
Share of net profits of associates accounted for using equity method 128.86 100.54
Profit before Exceptional items, Contribution to Core SGF, and Tax 14499.4 12925.25
Contribution to Core SGF 234.09 1740.97
Profit before Exceptional items and Tax from Continuing Operations 14265.31 11184.28
Profit on sale of investment in associates 1209.47 0
Profit before tax (from continuing operations) 15474.78 11184.28
Current Tax 3938.99 2626.16
Deferred tax expense / (benefit) -69.96 151.64
Profit for the year (from continuing operations) 11605.75 8406.48
Profit/(Loss) before tax from discontinued operations 733.27 -79.58
Tax expense of discontinued operations -151.33 -21.16
Profit/(Loss) from discontinued operations 581.94 -100.74
Total Profit for the year 12187.69 8305.74
Other Comprehensive Income
Items that will be reclassified to profit&loss
Changes in fair value of FVOCI debt instruments 40.83 20.82
Changes in foreign currency translation reserve 8.57 2.44
Changes translation reserve pertaining to discontinued operations 0.06 0.09
Items that will not be reclassified to profit&loss
Re?measurements of post?employment benefit obligations -5.99 -3.23
Re?measurements for discontinued operations -2.56 -3.76
Changes in fair value of FVOCI equity instruments 14.51 -7.12
Share of OCI of associates 2.69 -3
Income tax relating to items that will not be reclassified 1.42 0.74
Relating to discontinued operations 0.64 0.95
Income tax relating to other items (FVOCI equity) -7.1 2.94
Total Other Comprehensive Income (net of taxes) 42.79 5.63
Total Comprehensive Income 12230.48 8311.37
Profit attributable to
Owners of NSE 12187.94 8305.66
Non?controlling interests -0.25 0.08
OCI attributable to
Owners of NSE 42.8 5.66
Non?controlling interests -0.01 -0.03
Total comprehensive income attributable to
Owners of NSE 12230.74 8311.32
Non?controlling interests -0.26 0.05
Total Comprehensive income from
Continuing operations 11650.4 8414.83
Discontinued operations 580.34 -103.51
Earnings per share (continuing operations) ? Basic & Diluted (Rs) 46.89 33.97
EPS from discontinued operations ? Basic & Diluted 2.35 -0.41
EPS from continuing + discontinued operations ? Basic & Diluted 49.24 33.56

Cash Flow Statement (RS in Crore)

Particulars 2025 2024
Cash Flow from Operating Activities
Profit Before Tax from Continuing Operations 15,474.78 11,184.28
Profit Before Tax from Discontinued Operations 733.27 -79.58
Profit Before Tax including Discontinued Operations 16,208.05 11,104.70
Adjustments for:
Depreciation and amortisation expense 570.21 471.64
Interest income from financial assets at amortised cost -745.27 -561.11
Income from investments -958.17 -814.88
Interest income from investments at FVOCI -168.42 -233.14
Rental income -8.95 -1.48
Dividend income from equity investments at FVOCI - -3.72
Net gain on financial assets at FVTPL -643.47 -630.35
Net gain on sale of financial assets at FVTPL -377.65 -134.63
Net gain on sale of financial assets at amortised cost -1.14 -
Profit on sale of investment in associates -1,209.47 -81.43
Net gain/(loss) on disposal of property, plant and equipment -18.18 3.55
Doubtful debts written off 14.61 8.25
Impairment/(reversal) in value of investment -3.83 39.99
Provisions for doubtful debts -3.73 0.4
Write off of intangible assets under development 0.54 -
Share of net profit of associates (equity method) -128.86 -100.54
Profit from sale of investment in discontinued subsidiaries -773.7 -
Provisions for contribution to core settlement guarantee fund - 52.98
Interest on lease liabilities 29.95 11.74
Change in operating assets and liabilities
(Increase)/Decrease in Trade receivables 348.92 -297.82
Increase in Trade payables 117.1 70.52
(Increase) in other financial assets -296.01 -19.36
(Increase)/Decrease in other assets 181.61 120.2
Increase/(Decrease) in other financial liabilities -5,496.10 17,298.56
Increase in Provisions 79.15 31.15
Increase/(Decrease) in other liabilities -623.87 3,885.46
Proceeds of deposits 438.54 383.76
Change in core settlement guarantee fund 1,212.39 3,082.98
Cash Generated from Operations 7,744.25 33,687.42
Income tax paid -3,652.76 -3,943.12
Net Cash Inflow from Operating Activities - Total 4,091.49 29,744.30
Cash Flow from Investing Activities
Purchase of property, plant, & equipment & intangible assets -1,305.69 -470.3
Proceeds from sale of property, plant & equipment 29.95 1.06
Proceeds from rental income 8.95 1.48
(Payment) from investments (net) -5,292.05 -6,153.20
Proceeds from the sale of investment in associates 1,448.44 127.74
Proceeds from the sale of assets held for sale 1,382.21 ?
(Payment) for investment in associates -20 -40
(Payment) from deposits/bank balances other than cash & cash equivalents -3,407.56 -3,001.95
Interest received 1,584.26 1,180.32
Dividend received 13.8 18.54
Net Cash Inflow from Investing Activities - Total -5,557.69 -8,336.31
Cash Flow from Financing Activities
Dividend paid -4,454.48 -3,959.00
Acquisition of non-controlling interest in subsidiary -42.12 -
Payment of lease liabilities -73.2 -22.95
Interest on lease liabilities -29.95 -11.74
Net Cash Inflow from Financing Activities - Total -4,599.75 -3,993.69
Net (Decrease)/Increase in Cash & Cash Equivalents -6,065.95 17,414.30
Cash & Cash Equivalents at the Beginning of the Year 23,388.95 5,974.65
Cash & Cash Equivalents at the End of the Year 17,323.00 23,388.95
Cash and cash equivalents from continuing operations 17,297.85 23,303.12
Cash and cash equivalents classified as held for sale 25.15 85.83
Non-cash items of investing and financing activities 429.48 12.24
In current accounts 17,302.17 22,553.38
Deposits with original maturity less than three months 18.83 835.56
Cash on Hand - 0.01
Balances as per the statement of Cash flows 17,323.00 23,388.95

Financial Ratios

Particulars 2025 2024
Current Ratio 2.82 1.88
Debt-Equity Ratio 0.02 0.01
Debt Service Coverage Ratio 169.3 220.78
Return on Equity 49.40% 36.80%
Trade Receivables Turnover Ratio 10.03 8.57
Trade Payables Turnover Ratio 11.35 10.81
Net Capital Turnover Ratio 1.6 1.72
Net Profit Ratio 72.90% 49.10%
Return on Capital Employed 53.10% 45.00%
Return on Investment 7.40% 7.30%

Price per Unit 1860
No. of Unit to Buy

Total Investment 0

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