Canara Robeco IPO Review & Recommendations

Bookbuilding IPO | ₹1,326 Cr | Listed at BSE, NSE | Thu, Oct 9, 2025 - Mon, Oct 13, 2025

IPO Recommendations (0 Reviews)

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Canara Robeco IPO Peer Comparison

Canara Robeco Asset Management Co.Ltd. peer comparison with similar listed entities. (As on March 31, 2025)

Company NameEPS (Basic)EPS (Diluted)NAV (per share) (Rs)P/E (x)RoNW (%)P/BV RatioFinancial statements
Canara Robeco Asset Management Company Ltd9.569.5630.0931.78
Hdfc Asset Management Company Ltd115.16114.75380.2748.2132.3614.56
Nippon Life India Asset Management Limited20.3420.0366.3843.3531.3813.15
Aditya Birla Sun Life AMC Limited32.2632.18129.1924.6026.996.13
UTI Asset Management Company Limited57.3557.11403.2222.8316.043.24

Notes for listed peers:

  • Closing price represents Closing market price of equity shares as on September 30, 2025 on NSE.
  • All the financial information for listed industry peers mentioned above is on a consolidated basis and is sourced from the annual report or financial statements as available of the respective company for the financial year ended March 31, 2025 submitted to stock exchanges.
  • Basic EPS and Diluted EPS for peers sourced from the annual report for the Financial Year 2025.
  • P/E Ratio represents the price to earnings ratio. It has been computed based on the closing market price of equity shares as on September 30, 2025 on NSE divided by the Diluted EPS (on consolidated basis) based on annual report or financial statements of the respective companies for the financial year ended March 31, 2025.
  • Return on Net Worth (%) represents the ratio of Profit after tax as reported in the Annual report / financial results of the Company, for the relevant Fiscal year / period, divided by Average Net worth for the relevant Fiscal year / period. Average Net worth is computed as the average of (a) Net worth as at the last day of the preceding Fiscal year and Net worth as at the last day of the relevant Fiscal year / period, as reported in the Annual report / financial results of the Company.
  • NAV per share is computed as the closing net worth divided by the closing outstanding number of equity shares.

IPO Review by Members

Canara Robeco IPO Reviews, analysis and views by popular members.

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