HDFC Life Insurance Company Ltd

Market Cap
₹ 134222.00 Cr.
Current Price
₹ 624.00 Cr.
High / Low
₹ 761.00 Cr. /511.00 Cr.
Stock P/E
79.30
Book Value
₹ 72.50 Cr.
Dividend Yield
₹ 0.32
ROCE
₹ 44.5 Cr.
ROE
-1.71 %
Face Value
₹ 10

About

HDFC Life Insurance Company is engaged in carrying on the business of life insurance. The Company offers a range of individual and group insurance solutions. The portfolio comprises of various insurance and investment products such as Protection, Pension, Savings,(Source : 202003 Annual Report Page No: 175).

Key Points

Pros
    Company is almost debt free. Company has been maintaining a healthy dividend payout of 28.1%
Cons
    Stock is trading at 8.60 times its book value Tax rate seems low Company has a low return on equity of 10.6% over last 3 years. Earnings include an other income of Rs.645 Cr. Promoter holding has decreased over last 3 years: -3.47%

Peer comparison

S.No Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Sales Qtr Rs.Cr. Qtr Sales Var % ROCE %
1 UltraTech Cem. 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
2 Ambuja Cements 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
3 Shree Cement 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
4 ACC 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
5 J K Cements 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
6 Nuvoco Vistas 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54
7 Prism Johnson 11112.10 38.57 96156.02 2.15 577.70 38.39 1673.90 15.88 39.54

Quarterly Results

Sep 2021 Dec 2021 Mar 2022 Jun 2022 Sep 2022 Dec 2022 Mar 2023 Jun 2023 Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024
Salse 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614
Dec 2012 Dec 2013 Dec 2014 Dec 2015 Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2022 Dec 2023 Dec 2024 TTM
Salse 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
YOY Sales Growth % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614

Balance Sheet

Dec 2012 Dec 2013 Dec 2014 Dec 2015 Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2022 Dec 2023 Dec 2024 TTM
Equity Capital 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Reserves 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Borrowings 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Other Liabilities 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Total Liabilities 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Fixed Assets 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614
Total Assets 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155 4,614 4,614

Cash Flows

 
Dec 2012 Dec 2013 Dec 2014 Dec 2015 Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2023 Dec 2024
Cash from Operating Activity 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Cash from Investing Activity 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Cash from Financing Activity 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155

Ratios

 
Dec 2012 Dec 2013 Dec 2014 Dec 2015 Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2023 Dec 2024
Debtor Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Inventory Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Days Payable 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Cash Conversion Cycle 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Working Capital Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
ROCE % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155

Shareholding Pattern

Dec 2012 Dec 2013 Dec 2014 Dec 2015 Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2023 Dec 2024
Debtor Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Inventory Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Days Payable 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Cash Conversion Cycle 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
Working Capital Days 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155
ROCE % 3,749 4,226 4,427 4,468 3,987 4,537 4,791 5,201 4,435 4,914 5,409 5,155