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NUVAMA stock analysis context
NUVAMA WEALTH MANAGE Stock Context for AI Screening
NUVAMA WEALTH MANAGE LTD is a small-cap stock in Financial Services. This page summarizes key screening signals for NUVAMA WEALTH MANAGE, including recent returns, momentum indicators, valuation ratios, liquidity, and growth metrics. Gimli uses this context to help users ask natural-language stock screening questions across Indian equities.
Ask Gimli about NUVAMAPrice
₹1,480.90
1M return
+7.96%
3M return
+14.82%
Market cap
₹26,978.98 cr
PE
34.28
ROE
+24.62%
RSI
57.15
Turnover
₹32.60 cr
Why it can matter in screens
- Momentum: NUVAMA is above 50DMA, above 200DMA; RSI is 57.15.
- Returns: 1M +7.96%, 3M +14.82%, 6M +2.14%.
- Liquidity: latest turnover is ₹32.60 cr.
- Valuation: PE 34.28, PB 6.54, ROE +24.62%, ROCE +17.03%.
- Growth: 3Y sales CAGR n/a, 3Y profit CAGR n/a.
Try these prompts
- Analyze NUVAMA WEALTH MANAGE with valuation, momentum and industry peers
- Compare NUVAMA with other Financial Services stocks
- Show small-cap stocks in Financial Services above 50DMA with positive 1M return
- Find Financial Services stocks with improving momentum and reasonable valuation
Related screen ideas
- View Financial Services stocks
- View small-cap stocks
- Find stocks above 50DMA
- Compare NUVAMA with other Financial Services stocks
Data snapshot: 2026-05-22. Not investment advice.