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STOCK COMPARISON

Nava vs IIFL Wealth Management: Fair Value & Quality

Both stocks run through our valuation models. Here is how Nava (513023) and IIFL Wealth Management (542772) compare, as of Sep 25, 2026.

As of Sep 25, 2026, Fair Value Calculator sees IIFL Wealth Management as the more attractively valued of the two: Nava trades at ₹557 versus a fair value of ₹413 (-26%), while IIFL Wealth Management trades at ₹1,074 versus ₹1,179 (+10%).
Nava
513023.BSE · INR · Materials
-26%
upside to fair value
overvalued
Price₹557
Fair Value₹413
Quality57/100
IIFL Wealth Management
542772.BSE · INR · Materials
+10%
upside to fair value
fairly valued
Price₹1,074
Fair Value₹1,179
Quality63/100
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Head-to-head numbers

Green is the better side of a row, red the weaker one (for valuation multiples: lower = cheaper). Grey rows are for reference only and are not scored.

betterweakerfor reference, not scored

NavaIIFL Wealth Management
Valuation
2.0×P/E (TTM)43.1×
−25.8%Fair value upside+9.8%
n/aDividend yield5.7%
Profitability
0%Operating margin0%
1.02×EBIT margin trend (5Y)0.97×
0%Return on assets0%
Growth
0%Revenue growth (YoY)0%
6.9%Avg. growth/yr (3Y)6.1%
11.0%Avg. growth/yr (5Y)14.4%
+2.8%Value creation/yr+7.6%
Balance & size
111.2×Interest coverage (EBIT/interest)n/a
0.25×Debt / equity1.94×
n/aMarket cap$993M
expensiveGrowth qualitymixed

Even match: 4 to 4 metric wins.

n/a = not meaningfully computable, for example with negative equity.

Quality in detail

The quality score, broken down into the same factor families as on the stock page, 0 to 100 per family.

Navaof which business quality 56 · market factors 36 IIFL Wealth Managementof which business quality 59 · market factors 51
ProfitabilityMargins and returns on capital today
41
49
Quality GrowthAre margins and returns improving?
39
57
CashflowEarnings quality: real cash, not paper profit
64
91
Fin. StrengthBalance sheet, leverage, solvency risk
70
13
InvestmentDisciplined investing over empire-building
30
93
Low VolatilityCalm price path (market factor)
48
70
MomentumPrice trend over the last 3–12 months (market factor)
34
42
52W MomentumDistance to the 52-week high (market factor)
24
45
Net IssuanceShare count: buybacks or dilution?
86
69

What the models say

How far the median fair value (base case) per model family sits from the current price, in percent. The amount in the currency of the trading venue is shown underneath.

above the price, more than 15% above close to the price, 85% to 115% of the price below the price, more than 15% below

Model familyNavaPrice ₹557IIFL Wealth ManagementPrice ₹1,074
DCF Models+1060%above the price₹6,459-14%close to the price₹919
Earnings-Based+828%above the price₹5,168-21%below the price₹843
Dividend Discount+251%above the price₹1,953-24%below the price₹812
Multiples+1525%above the price₹9,048-14%close to the price₹918
Asset-Based+612%above the price₹3,964-77%below the price₹251
Growth DCF+703%above the price₹4,471-34%below the price₹704
Economic Profit+833%above the price₹5,194-70%below the price₹321
Growth Earnings+1275%above the price₹7,656+13%close to the price₹1,212
Minimum+251%above the price₹1,953-77%below the price₹251
Maximum+1525%above the price₹9,048+13%close to the price₹1,212
Median+831%above the price₹5,181-23%below the price₹828
Geometric mean+805%above the price₹5,039-38%below the price₹668

Minimum, maximum, median and geometric mean refer to the family values in this table. Geometric because deviations are ratios: half the price and twice the price average to 100%, not 125%.

Nava: 0 of 25 models see the stock below the current price.

IIFL Wealth Management: 19 of 25 models see the stock below the current price.

Scenario ranges

From our cautious bear scenario to the optimistic bull scenario. The white tick is the current price (value above it), the green tick the fair value (value below it): if the price sits left of the fair value, there is room to rise.

Nava
Price ₹557
Fair Value ₹413
Bear ₹283Bull ₹618
IIFL Wealth Management
Price ₹1,074
Fair Value ₹1,179
Bear ₹570Bull ₹1,985

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Ranked within their sector

Where each stock sits within its sector peer group. Band = middle 50% of peers, tick = median, dot = this stock.

Nava · Materials

Quality score57 · above median
Fair value upside-26% · below median

IIFL Wealth Management · Materials

Quality score63 · Top 25%
Fair value upside+10% · above median

Bottom line

As of Sep 25, 2026, Fair Value Calculator sees IIFL Wealth Management as the more attractively valued of the two: Nava trades at ₹557 versus a fair value of ₹413 (-26%), while IIFL Wealth Management trades at ₹1,074 versus ₹1,179 (+10%).

IIFL Wealth Management has the higher quality score (63/100).

Open IIFL Wealth Management live analysis →

More comparisons

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A model-based valuation snapshot from 26 models. Values change with price and fundamentals; the date shown above applies.