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National Stock Exchange of India Limited

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Company Name

National Stock Exchange of India

Scrip Name

NSE India

ISIN No

INE721101024

No. of Outstanding Shares

2,475,000,000

PAN No.

AAACN1797L

Face Value

₹1

EPS

₹49.24

PE ratio

44.27

P/S ratio

28.14

Market Capitalization

₹539,550.00 Crore

Book value

₹122.64

P/BV

17.78

DRHP Filed?

No

Available on

NSDL, CDSL

ROFR Require

Yes

Sector

Financial Service

CIN

U67120MH1992PLC069769

Registration Date

27/11/1992

About NSE India Unlisted Share - Company Overview

The National Stock Exchange (NSE) is the leading stock exchange in India and the fourth largest in the world by equity trading volume in 2015, according to the World Federation of Exchanges (WFE). India's first demutualized electronic exchange is the National Stock Exchange of India Limited, which was founded in 1992. NSE was the first exchange in the country to provide a modern, fully automated screen-based electronic trading system that offered easy trading facilities to investors spread across the country. NSE offers to trade in equity, equity derivatives, debt, currency derivatives, and commodity derivatives segments. It was recognized as a stock exchange by SEBI in April 1993 and commenced operations in 1994 with the launch of the wholesale debt market, followed shortly by the launch of the cash market segment.

NSE Share Price, Unlisted Share Details as of March 31, 2025

NSE Outstanding Shares: 2475000000
Face Value of NSE Unlisted Share: Rs. 1 Per Equity Share
ISIN of NSE Unlisted Share: INE721I01024
Lot Size of NSE Unlisted Share: 500 Shares
NSE Share Price: Rs. 2320
PAN Number of NSE: AAACN1797L
GST Number of NSE: 27AAACN1797L1Z0

NSE Incorporation Details

National Stock Exchange of India Limited CIN Number U67120MH1992PLC069769
National Stock Exchange of India Limited Registration Date 27 November 1992
Category / Sub-Category of National Stock Exchange of India Limited Limited by Shares/ Non-govt company
National Stock Exchange of India Limited Registered Office Address National Stock Exchange of India Limited,
“Exchange Plaza”
Plot No. C-1, Block ‘G’, Bandra-Kurla Complex
Bandra (East), Mumbai - 400051
National Stock Exchange of India Limited Registrar & Transfer Agent Address & Contact Details Link Intime India Private Limited
C-101, 247 Park,
LBS Marg, Vikhroli (West), Mumbai – 400083

NSE Board of Directors

  • Mr. Girish Chandra Chaturvedi, Chairman, and Public Interest Director
  • Mr. Vikram Limaye, Managing Director and CEO
  • Ms. Anuradha Rao, Public Interest Director
  • Mr. K. Narasimha Murthy, Public Interest Director
  • Prof. S Sudarshan, Public Interest Director
  • Ms. Mona Bhide, Public Interest Director
  • Ms. Sunita Sharma, Shareholder Director
  • Mr. Veneet Nayar, Shareholder Director

NSE Principal Business Activities

Name and Description of main products/services NIC Code of the product/service % to the total turnover of the Company
Stock Exchange 6611 100%

NSE Shareholding Pattern (As of 31-03-2024)

S. No. Shareholder’s Name No. of Shares % of total Shares of the company
1 Promoter - -
2 Public Shareholding 2475000000 100%
Total 2475000000 100%

Stock Exchange Industry Outlook

The National Stock Exchange of India Ltd (NSE) is positioned favorably in the industry outlook. With its strong market presence, the NSE continues to play a vital role in India's financial landscape. The exchange is poised for growth due to factors such as increasing investor participation, technological advancements, and the overall development of the Indian economy. NSE's diverse range of products and services, including equities, derivatives, mutual funds, and debt instruments, cater to a wide range of investor needs. Furthermore, the focus on digitization and government initiatives promoting financial inclusion is expected to drive retail investor participation. The exchange is also likely to benefit from increasing institutional participation and foreign investments in the Indian markets.

National Stock Exchange of India Limited – Consolidated Balance Sheet

(Figures in ₹ Crores)

Particulars 31-03-2025 31-03-2024
Non-Current Assets
Property, Plant and Equipment1,120.441,004.28
Right of Use Assets530.84168.46
Capital Work in Progress3.8531.89
Goodwill206.86206.86
Other Intangible assets47.9562.47
Intangible assets under development46.8750.17
Investment in associates616.18685.85
Investments13,882.9014,128.07
Non-current bank balances2,843.663,821.63
Others166.11154.85
Income Tax assets (net)1,313.041,046.31
Deferred tax assets (net)0.575.28
Other non-current assets1,467.65702.69
Current Assets
Investments16,483.1010,470.99
Trade receivables1,512.211,864.66
Cash and Cash Equivalents17,297.8523,303.12
Bank balances other than cash & cash Equivalents10,216.365,807.92
Other financial assets1,025.36459.80
Other Current assets449.43636.20
Assets classified as held for Sale238.40852.50
Total Assets69,466.6465,464.00
Core Settlement Guarantee Fund
Core Settlement guarantee fund paid12,075.258,857.24
Core Settlement guarantee fund payable-52.98
Investor Protection Fund0.260.23
Equity
Equity Share Capital247.5049.50
Other Equity30,105.8323,924.91
Non Controlling interest--0.53
Non-Current Liabilities
Lease Liabilities400.7195.63
Other financial liabilities18.9417.36
Provisions56.9745.99
Deferred tax liabilities (net)246.82305.51
Contract liabilities118.1882.46
Other non-current liabilities5.415.41
Current Liabilities
Lease Liabilities105.5029.00
Deposits3,703.413,264.87
Trade Payables:
Total outstanding dues of micro & small enterprises20.535.83
Total outstanding dues of creditors other than above431.72326.92
Other financial liabilities16,513.9622,344.87
Provisions178.31105.23
Contract liabilities9.446.17
Income Tax Liabilities (net)326.51102.90
Other current liabilities4,815.235,472.20
Liabilities directly associated with assets classified as held for sale86.16369.32
Total Equity and Liabilities69,466.6465,464.00

National Stock Exchange of India Limited Consolidated Profit & Loss Statement (Rs in Crores)

Particulars 31-03-2025 31-03-2024
Income
Revenue from Operations 17,140.68 14.780.01
Other Income 2,036.15 1,653.60
Total Income 19,176.83 16,433.61
Expenses
Employee Benefit Expense 671.79 460.39
Regulatory fees 962.64 980.57
Depreciation and amortisation expense 546.59 439.55
Other Expenses 2,625.27 1,728.39
Total Expenses 4,806.29 3,608.90
Profit before Exceptional items, Contribution to Core SGF,
Share of net profits of associates
14,370.54 12,824.71
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 from Continuing Operations
14,499.40 12,925.25
Contribution to Core SGF 234.09 1,740.97
Profit before Exceptional items and Tax from Continuing Operations 14,265.31 11,184.28
Profit on sale of investment in associates 1,209.47 -
Profit before tax for the period/ year from continuing operations 15,474.78 11,184.28
Current Tax 3,938.99 2,626.16
Deferred tax expense/(benefit) -69.96 151.64
Profit for the period/ year from continuing operations 11,605.75 8,406.48
Discontinued Operations
Profit/ (Loss) from discontinued operations before tax 733.27 -79.58
Tax expense of discontinued operations -151.33 -21.16
Profit/ (Loss) from discontinued operations 581.94 -100.74
Profit for the period/ year 12,187.69 8,305.74
Other Comprehensive Income
Items that will be reclassified to profit or loss (net of tax) :
Changes in fair value of FVOCI debt instruments 30.55 15.58
Changes in foreign currency translation reserve 8.57 2.44
Changes in foreign currency translation reserve pertaining
to discontinued operations
0.06 0.09
Items that will not be reclassified to profit or loss (net of tax):
Re-measurements of post-employment benefit obligations -4.57 -2.49
Re-measurements of post-employment benefit obligations
pertaining to discontinued operations
-1.92 -2.81
Changes in fair value of FVOCI equity instruments 7.41 -4.18
Share of other comprehensive income of associates accounted
for using the equity method
2.69 -3.00
Total other comprehensive income for the period / year, net of taxes 42.79 5.63
Total comprehensive income for the period / year 12,230.48 8,311.37
Profit attributable to :
Owners of National Stock Exchange of India Limited 12,187.94 8,305.66
Non-Controlling Interests -0.25 0.08
Other comprehensive income attributable to :
Owners of National Stock Exchange of India Limited 42.80 5.66
Non-Controlling Interests -0.01 -0.03
Total comprehensive income attributable to :
Owners of National Stock Exchange of India Limited 12,230.74 8,311.32
Non-Controlling Interests -0.26 0.05
Total comprehensive income from
Continuing Operations 11,650.40 8,414.83
Discontinued Operations 580.34 -103.51
Paid-up equity share capital (Face value Re. 1/- per share) 247.50 49.50
Reserves (excluding Revaluation Reserve) 30,105.83 23,924.91
Earnings per equity share for profit from continuing operations
Basic and Diluted 46.89 33.97
Earnings per equity share for profit/ losses from discontinued operations
Basic and Diluted 2.35 -0.41
Earnings per equity share for profit from continuing and discontinued operations
Basic and Diluted 49.24 33.56

National Stock Exchange Of India Limited Consolidated Cash Flow Statement (Rs in Crores)

Particulars

31-03-2025

31-03-2024

Cash Flow from Operating Activities

Profit Before Tax from

Continuing Operations

15,474.78

11,184.28

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 designated at FVOCI

-168.42

-233.14

Rental Income

-8.95

-1.48

Dividend income from eqity investments designated at FVOCI

-

-3.72

Net gain on financial assets mandatorily measured at FVPL

-643.47

-630.35

Net gain on sale of financial assets mandatorily measured at FVPL

-377.65

-134.63

Net gain on sale of financial assets mandatorily measured 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

0.40

Write off of intangible assets under development

0.54

-

Share of net profit of associates accounted by using equity method

-128.86

-100.54

Profit from sale of investment in subsidiaries classified in

discontinued operations

-773.70

-

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

117.10

70.52

(Increase) in other financial assets

-296.01

-19.36

(Increase)/Decrease in Other Assets

181.61

120.20

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 guaranteed 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 and equipment & intangibles asset

-1,305.69

-470.30

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 sale of investment in associates

1,448.44

127.74

Proceeds from sale of assets held for sale

1,382.21

-

(Payment) for investment in associates

-20.00

-40.00

(Payment) from fixed deposits/Bank balances other than cash & cash equivalents

-3,407.56

-3,001.95

Interest received

1,584.26

1,180.32

Dividend received

13.80

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

-73.20

-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 and Cash Equivalents at the Beginning of the year

23,388.95

5,974.65

Cash and Cash Equivalents at the End of the year

17,323.00

23,388.95

Net (Decrease)/Increase in Cash & Cash Equivalents

-6,065.95

17,414.30

Cash and Cash Equivalents at the End of the year Comprises of:

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

17,323.00

23,388.95

Non-Cash items of investing and financing activities

429.48

12.24

Cash and Cash equivalents as per above comprise of the following

In current accounts

17,302.17

22,553.38

Deposits with original maturity of less than three months

18.83

835.56

Cash on Hand

-

0.01

Balances as per statement of Cash flows

17,323.00

23,388.95

Cash Flow Analysis Summary

Cash Flow from Operating Activities:
For the year ending 31st March 2025, the company reported a strong operating performance with a Profit Before Tax (PBT) from continuing and discontinued operations totaling ₹16,208.05 crores, a significant increase from ₹11,104.70 crores in the previous year. Numerous non-cash adjustments and changes in working capital significantly impacted the net cash flow. Adjustments included depreciation and amortisation (₹570.21 crores), interest income, dividend income, and gains on financial asset sales. Notably, there were large negative adjustments due to profit on sale of investments in associates (₹1,209.47 crores) and discontinued subsidiaries (₹773.70 crores), along with a reduction in other financial liabilities (₹5,496.10 crores) and other liabilities (₹623.87 crores). After taxes of ₹3,652.76 crores, the net cash inflow from operating activities dropped to ₹4,091.49 crores from ₹29,744.30 crores.

Cash Flow from Investing Activities:
The company reported a net cash outflow of ₹5,557.69 crores from investing activities, an improvement over FY 2024’s ₹8,336.31 crores outflow. Major outflows included ₹1,305.69 crores for asset purchases and ₹5,292.05 crores for net investments. However, inflows came from sale of associates (₹1,448.44 crores) and assets held for sale (₹1,382.21 crores). Interest/dividend income added ₹1,598.06 crores, softening the impact of outflows.

Cash Flow from Financing Activities:
The company’s financing activities led to a net outflow of ₹4,599.75 crores vs ₹3,993.69 crores in FY 2024, driven by dividends paid (₹4,454.48 crores), lease repayments (₹103.15 crores), and non-controlling interest acquisitions (₹42.12 crores).

Net Cash Movement and Closing Position:
The company reported a net decrease in cash and cash equivalents of ₹6,065.96 crores for FY 2025, compared to an increase of ₹17,414.30 crores in FY 2024. Cash and equivalents fell from ₹23,388.95 crores to ₹17,323.00 crores, largely held in current accounts (₹17,302.17 crores). The company maintains a healthy liquidity position despite the decline.

A V Thomas International Limited Annual Report 2023-24

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