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Canara Robeco Asset Management Co Ltd.

FinanceFinance - Asset Management
₹229.00BSE1.46%

16 Sep, 4:01 PM

₹229.00
₹4.63K Cr
21.18
5.65
30.33%
₹233.30
₹227.20
₹353.55
₹214.45

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Price Performance

Peer Comparison

Name
ICICIAMC

ICICIAMC

3,073.9545.891,51,932.603.34964.6323.10%1,564.2217.55%115.10
SBIFUNDS

SBIFUNDS

530.0035.821,07,951.8614.83872.813.29%1,148.6815.17%56.57
HDFCAMC

HDFCAMC

2,388.2034.751,02,408.532.26838.3612.09%1,098.5013.51%42.88
NAM-INDIA

NAM-INDIA

1,118.2546.3971,562.361.86486.4226.25%720.7227.89%46.01
ABSLAMC

ABSLAMC

1,058.4529.4530,627.152.46311.3812.46%455.523.08%33.19
UTIAMC

UTIAMC

894.4521.6111,497.194.40217.800.77%437.720.19%18.94
Canara Robeco Asset Management Co Ltd.

CRAMC

229.0021.184,626.481.7275.6023.99%116.2019.74%41.10
IL & FS INVE

IVC

7.785.33244.3215.13-1.39-513.22%0.0046.81

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsSep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
104.4896.00101.2697.05107.65109.77114.20116.20
Expenses36.6630.6340.8439.3039.6748.5043.1843.40
67.8265.3760.4257.7567.9861.2771.0372.80
64.91%68.09%59.67%59.50%63.15%55.81%62.19%62.65%
0.070.65-0.3124.290.3611.69-10.3629.64
Interest0.430.420.420.460.500.510.480.63
1.191.301.381.701.781.971.972.47
66.2764.3058.3179.8866.0570.4958.2199.35
24.48%25.58%28.44%23.66%26.25%25.16%28.95%23.90%
50.0547.8641.7360.9848.7152.7541.3675.60
2.512.402.093.062.442.652.073.79

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income164.22204.60318.09403.70453.67
Operating Income (Net)164.22204.60318.09403.70453.67
EXPENDITURE :
Employee Cost51.0659.6575.8288.52107.13
Operating & Establishment Expenses12.6213.0716.2113.4313.35
Administrations & Other Expenses11.1617.6822.7525.5434.97
Provisions and Contingencies1.751.312.1812.1215.19
76.5891.71116.95139.61170.65
Operating Profit (Excl OI)87.63112.89201.14264.08283.02
0.200.200.690.300.98
87.84113.09201.84264.38284.00
Interest2.061.921.871.711.96
4.434.154.785.037.42
Profit Before Taxation & Exceptional Items81.34107.02195.18257.64274.63
81.34107.02195.18257.64274.63
Provision for Tax21.1828.0244.1966.9470.82
60.1679.00151.00190.70203.80
Extra items0.000.00
Consolidated Net Profit60.1679.00151.00190.70203.80
Profit Balance B/F156.49190.75239.42365.49399.11
Appropriations216.65269.76390.42556.19602.92
Equity Dividend %40.00%50.00%75.00%25.00%40.00%
12.0715.8530.299.5610.22
Adjusted EPS3.023.967.579.5610.22

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
49.8549.8549.85199.42199.42
Share Warrants & Outstandings1.87
Total Reserves222.34278.70404.64400.64544.54
Reserve excluding Revaluation Reserve222.34278.70404.64400.64544.54
Revaluation reserve0.000.000.00
272.19328.55454.49600.06745.82
Deferred Tax Assets / Liabilities0.611.412.565.694.26
Other Long Term Liabilities16.8915.0414.3013.3615.02
Long Term Provisions0.941.190.240.24
Total Non-Current Liabilities17.5017.4018.0419.3019.52
Other Current Liabilities25.3032.0244.2853.2845.62
Short Term Provisions0.691.407.64
Total Current Liabilities25.9932.0244.2854.6853.26
Total Liabilities315.68377.97516.81674.03818.61
Gross Block24.2023.1222.7119.9435.99
Less: Accumulated Depreciation4.164.645.673.6813.24
Net Block20.0418.4817.0516.2622.75
Capital Work in Progress0.10
Non Current Investments21.6734.31121.53143.02150.28
Long Term Investment21.6734.31121.53143.02150.28
Long Term Loans & Advances1.871.371.710.38
Other Non Current Assets0.000.000.001.872.15
Total Non-Current Assets43.7454.17140.44163.72175.54
Currents Investments250.20295.25335.35461.10584.95
Sundry Debtors16.9123.4134.6641.6144.87
Cash and Bank2.011.351.840.292.19
Other Current Assets1.613.544.467.3111.06
Short Term Loans and Advances1.210.250.080.00
Total Current Assets271.94323.80376.38510.31643.07
Net Current Assets (Including Current Investments)245.95291.78332.10455.63589.81
Total Assets315.68377.97516.81674.03818.61
Contingent Liabilities3.343.343.343.343.34
Total Debt0.000.000.000.000.00
54.6065.9091.1630.0937.31
Adjusted Book Value13.6516.4822.7930.0937.31

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
81.34107.02195.18257.64274.63
Adjustment-6.80-10.79-44.66-33.66-21.93
Changes In working Capital-0.71-0.71-0.33-0.71-8.56
Cash Flow after changes in Working Capital73.8395.52150.19223.28244.13
Cash Flow from Operating Activities53.4468.90107.26159.38172.28
Cash Flow from Investing Activities-32.61-46.07-80.54-112.89-108.44
Cash Flow from Financing Activitie-20.60-23.49-26.22-48.04-61.95
Net Cash Inflow / Outflow0.23-0.660.49-1.551.89
Opening Cash & Cash Equivalents1.782.011.351.840.29
Closing Cash & Cash Equivalent2.011.351.840.292.18

Ratios

Valuation

21.18
5.65
15.19
10.33
10.95
41.10

Profitability

30.33
41.10
27.31
62.38
44.92

Leverage & Liquidity

0.00
12.07
141.37

Returns

1.72
0.61

Shareholding Pattern

Numbers in percentages

ParticularsMar '24Oct '25Dec '25Mar '26Jun '26
100.0075.0075.0075.0075.00
12.2613.8711.9010.61
12.7411.1413.1014.38
25.0025.0025.0025.00
No. of Shareholders3,21,1901,50,3461,66,9001,67,479

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-06-23Board Meeting Quarterly Results
2026-05-19AGM
2026-04-27Ex DividendRs.2.5000 per share(25%)Final Dividend2026-07-162026-07-16

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

FinanceFinance - Asset Management

Canara Robeco Asset Management Co Ltd. operates in the Finance sector under the Finance - Asset Management industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Finance - Asset Management

Founded

1993

Headquarters

Mumbai, Maharashtra

Group

PSU

Chairman

Santanu Majumdar

Managing Director

Rajnish Narula

Company Secretary

Hemangi Patil

Face Value

₹10

CIN

L65990MH1993PLC071003

Key Management

14 members across the board and senior leadership

Hemangi Patil

Company Secretary & Compliance Officer

Santanu Majumdar

Chairman

Rajnish Narula

Managing Director & Chief Executive Officer

Kiyoshi Habiro

Non Independent & Non Executive Director

Tim Van Hest

Non Independent & Non Executive Director

Agyey Kumar Azad

Non Executive Independent Director

Anuradha Nadkarni

Non Executive Independent Director

Anuradha Shripad Nadkarni

Non Executive Independent Director

Nirmala Sridhar

Non Executive Independent Director

Ravindran Menon

Non Executive Independent Director

Suhail Chander

Non Executive Independent Director

Vijay Walia

Non Executive Independent Director

Narula Rajnish

Managing Director & CEO

Hemangi Shailesh Patil

Company Secretary & Compliance Officer

CRAMC Latest News

News

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CRAMC

₹229.00

-1.46%