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HDFC Asset Management Company Ltd. Q2 FY2026 results: revenue ₹1,027 crore, up 15.8% on the year

HDFC Asset Management Company Ltd. (HDFCAMC) reported consolidated revenue from operations of ₹1,027 crore for Q2 FY2026, the quarter ended 30 September 2025, up 15.8% on the same quarter a year earlier. Profit after tax was ₹718 crore, up 24.6% on the year, and earnings per share ₹33.58. The figures are the company's own, from the un-audited results it filed with NSE on 15 October 2025.

Revenue from operations₹1,027 croreup 15.8%
Profit after tax₹718 croreup 24.6%
EPS₹33.58
QuarterQ2 FY2026ended 30 September 2025

The quarter, against the one before and a year earlier

LineQ2 FY2026Q1 FY2026Q2 FY2025Change on the year
Revenue from operations1,027968887+15.8%
Other income96233171-43.7%
Total income1,1241,2011,058+6.2%
Cost of materials consumed000n/a
Purchases of stock-in-trade000n/a
Changes in inventories000n/a
Employee benefit expense12410996+29.1%
Finance costs332+40.5%
Depreciation, depletion and amortisation181714+29.6%
Other expenses1018487+16.1%
Total expenses248215200+24.0%
Profit before exceptional items and tax876986858+2.0%
Exceptional items000n/a
Profit before tax876986858+2.0%
Current tax149222187-20.2%
Deferred tax81795-91.1%
Total tax158238282-44.1%
Profit after tax718748577+24.6%
Attributable to owners of the parent718748577+24.6%
Other comprehensive income1-40+311.1%
Total comprehensive income720743577+24.8%
EPS, basicn/an/a₹26.99n/a
EPS, dilutedn/an/a₹26.89n/a

₹ crore except per share.

Balance sheet at 30 September 2025

Q4 FY2025Q2 FY2026
Equity capital107107
Reserves8,0237,634
Equity, owners of the parent8,1307,741
Total liabilities621692
Fixed assets183218
Goodwill and intangibles1614
Investmentsn/a7,867
Inventories00
Cash and bank balances4238
Total assets8,7518,434

From the statement of assets and liabilities in this filing, beside the one before it (31 March 2025). Borrowings, investments and cash each add the current and non-current lines as filed.

Cash flow, 1 April 2025 to 30 September 2025

Q2 FY2026
Cash from operating activities1,201
Purchase of fixed assets8
Free cash flow1,192
Cash from investing activities732
Borrowings raised0
Borrowings repaid0
Buyback0
Cash from financing activities-1,906
Net change in cash26

From the cash flow statement in this filing, for the fiscal year to this date. Free cash flow is cash from operations less the purchase of fixed assets, arithmetic on the two filed lines.

Quarterly results, the last 12 quarters

Q2 FY2024Q3 FY2024Q4 FY2024Q1 FY2025Q2 FY2025Q3 FY2025Q4 FY2025Q1 FY2026Q2 FY2026Q3 FY2026Q4 FY2026Q1 FY2027
Sales6436716957758879359019681,0271,0751,0521,100
Expenses177177172196200188190215248220229274
Operating profit481509539594703764730773801876845850
OPM %75%76%77%77%79%82%81%80%78%82%80%77%
Other income122143156173171931242339615912263
Interest222222333344
Depreciation131313131415171718181921
Exceptional items000000000000
Profit before tax5886376797528588408359868761,0148341,089
Tax %26%23%20%20%33%24%24%24%18%24%25%23%
Net profit437488541604577641638748718769623837
EPS in ₹₹20.45₹22.86₹25.33₹28.28₹26.99₹30.02₹29.87₹34.95₹33.58₹17.97₹14.54₹19.53
FilingNSENSENSENSENSENSEFilingFilingFilingFilingFilingFiling

₹ crore except per share, consolidated, as filed with the exchange. Operating profit is sales less the expenses other than interest and depreciation, OPM is that over sales, and tax % is tax over profit before tax: arithmetic on the filed lines; everything else is as filed. Quarters before December 2024 are from the exchange's earlier results feed, which carries the filed lines without the filing itself; the column links to the exchange's page for the company.

Source

Un-audited consolidated results for the quarter ended 30 September 2025, filed with NSE on 15 October 2025: the result statement. All of HDFC Asset Management Company Ltd.'s results: NSE company page.

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