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Rajputana Investment & Finance

539090
Micro Cap
(%) 1D
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1D1W1M3M6M1YMAX

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Rajputana Investment & Finance Share price and Fundamental Analysis

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Rajputana Investment & Finance Limited, a public limited company was incorporated in September 23, 1941. The company is engaged into the business of trading in investment and financial activities. Besides, the companies deals with and invest the surplus funds of the Company or in its custody in such manner and in such securities as shall from time to time be thought necessary for the benefit of the Company.
Company Incorporation1941
ChairmanNA
Head QuartersNA
Previous NameNA

Key Metrics

Market Cap (Cr)
12.78
PE Ratio
61.03
Industry P/E
43.12
PEG Ratio
-1.1
ROE
9.08%
ROCE
12.27%
ROA
5.02%
Total Debt (Cr)
0
Debt to Equity
0
Dividend Yield
0%
EPS
0.68
Book Value & P/B
13.2 x 3.14
Face Value
10
Outstanding Shares(Cr)
0.31
Current Ratio
23.43
EV to Sales
1.86

Stock Returns

1 Week+3.59%
1 Month-3.82%
6 Months+18.2%
1 Year-13.16%
3 Years+156.97%
5 Years+163.49%
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Corporate Action

Board-Meetings
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Financials

Half Yearly Statement

PARTICULARS

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Total Expenses

Operating Expense

Operating Profit

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Profit after tax

Adj EPS in Rs - Basic

Adj EPS in Rs - Diluted

Profit and Loss Statement

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Director Report
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Auditor Report
Mar 25

Promoters : 74.64%

FIIs : 0.00%

DIIs : 0.00%

Public : 25.36%

Promoter
FII/FPI
DII
Public
Promoter Pledge stands at 0.0% of holding in March 2025 Qtr

Top Shareholders

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Key Ratios

Profitability
Valuation
Liquidity

ROE

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ROCE

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ROA

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NPM

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Dividend History

Rajputana Investment & Finance Competitors

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5 Year FactSheet

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Growth Ratios
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Rajputana Investment & Finance Management and History

Company Management

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Company History

Rajputana Investment & Finance Limited, a public limited company was incorporated in September 23, 1941. The company is engaged into the business of trading in investment and financial activities. Besides, the companies deals with and invest the surplus funds of the Company or in its custody in such manner and in such securities as shall from time to time be thought necessary for the benefit of the Company.

In FY 2014-15, the Registered Office of the Company changed from 98/7A, Harish Mukherjee Road, Kolkata -700 025 to 18, Rabindra Sarani, Poddar Court, 5th Floor, Gate No. 1, Room No. 502, Kolkata - 700 001 on 20th November, 2014.

The Company entered into new Textile & Clothing business during the Financial Year 2014-15.

During financial year 2014-15, Deepshika Infra India Limited, Independent Realty India Limited, Satyamev Properties Limited, Secure Jewellers Limited, Surestep Realtors Limited and Ventrux Enclave Limited have become subsidiaries of the company.

During the financial year 2016, the Registered Office of the Company changed from 18 Rabindra Sarani, Poddar Court, 5th Floor, Gate No.l, Room No. 502, Kolkata - 700 001 to IG 6/2 , Ganpati Vihar Aswini Nagar, Baguiati, Block - 2 , Kolkata - 700 159 on March 01, 2016.

The Board of Directors of the Company decided to issue 1,980,000 equity shares as bonus to raise the Capital by Rs. 19,800,000/- subject to the approval of shareholders in the upcoming AGM to be held on July 21, 2017.

During the financial year 2017, the Registered Office of the Company has changed from IG 6/2, Ganpati Vihar Aswini Nagar, Baguiati, Block - 2, Kolkata - 700 159 to 1/A Fakir Dey Lane, 1st Floor, Bowbazar, Kolkata - 700 012 on February 15, 2017.

During the year under review 2018, the Paid-up-share capital of the Company increased from 11,000,000/- to 30,800,000/- after allotment of Bonus shares in the ratio of 9 Bonus Equity Shares of Rs. 10/- each for every 5 existing equity shares of Rs 10/- to the existing shareholders of the Company.

Pursuant to the Share purchase Agreement and the applicable SEBI (Substantial Acquisition of Shares and Takeovers) Regulations, 2011 the public announcement was being made by the acquirer on dated July 16, 2018, subsequently there was a change in management on July 31, 2018.

During the financial year 2018, the Registered Office of the Company changed from 1/A Fakir Dey Lane, 1st Floor, Bowbazar, Kolkata-700 012 to 'Nigam Centre', 155 Lenin Sarani, Room No.108, 1st Floor, Kolkata-700 -013 on October 01, 2017.

During the financial year 2019, the Registered Office of the Company changed from 'Nigam Centre', 155 Lenin Sarani, Room No.108, 1st Floor, Kolkata - 700013 to 'Nanda Tower', 90 Phears Lane, Room No. 601, 6th Floor, Kolkata - 700012 w.e.f. January 02, 2019.

Rajputana Investment & Finance Share Price

Rajputana Investment & Finance share price reflects investor sentiment toward the company and is impacted by various factors such as financial performance, market trends, and economic conditions. Share price is an indicator which shows the current value of the company's shares at which buyers or sellers can transact.

Rajputana Investment & Finance Market Cap

Market capitalization of Rajputana Investment & Finance indicates the total value of its outstanding shares. Marketcap is calculated by multiplying share price and outstanding shares of the company. It is a helpful metric for assessing the company's size and market Valuation. It also helps investors understand how Rajputana Investment & Finance is valued compared to its competitors.

Rajputana Investment & Finance PE Ratio

Rajputana Investment & Finance PE ratio helps investors understand what is the market value of each stock compared to Rajputana Investment & Finance 's earnings. A PE ratio higher than the average industry PE could indicate an overvaluation of the stock, whereas a lower PE compared to the average industry PE could indicate an undervaluation.

Rajputana Investment & Finance PEG Ratio

The PEG ratio of Rajputana Investment & Finance evaluates its PE ratio in relation to its growth rate. A PEG ratio of 1 indicates a fair value, a PEG ratio of less than 1 indicates undervaluation, and a PEG ratio of more than 1 indicates overvaluation.

Rajputana Investment & Finance ROE (Return on Equity)

Return on Equity (ROE) measures how effectively Rajputana Investment & Finance generates profit from shareholders' equity. A higher ROE of more than 20% indicates better financial performance in terms of profitability.

Rajputana Investment & Finance ROCE (Return on Capital Employed)

Return on Capital Employed (ROCE) evaluates the profitability of Rajputana Investment & Finance in relation to its capital employed. In simple terms, ROCE provides insight to investors as to how well the company is utilizing the capital deployed. A high ROCE of more than 20% shows that the business is making profitable use of its capital.

Rajputana Investment & Finance Total Debt

Total debt of Rajputana Investment & Finance shows how much the company owes to either banks or individual creditors. In simple terms, this is the amount the company has to repay. Total debt can be a very useful metric to show the financial health of the company. Total debt more than equity is considered to be a bad sign.

Rajputana Investment & Finance Debt to Equity Ratio

The Debt-to-Equity (DE) ratio of Rajputana Investment & Finance compares its total debt to shareholders' equity. A higher Debt to Equity ratio could indicate higher financial risk, while a lower ratio suggests that the company is managing its debt efficiently.

Rajputana Investment & Finance CAGR (Compound Annual Growth Rate)

CAGR shows the consistent growth rate of Rajputana Investment & Finance over a specific period, whether it is over a month, a year, or 10 years. It is a key metric to evaluate the company’s long-term growth potential. Main metrics for which CAGR is calculated are net sales, net profit, operating profit, and stock returns.

Rajputana Investment & Finance Technical Analysis

Technical analysis of Rajputana Investment & Finance helps investors get an insight into when they can enter or exit the stock. Key components of Rajputana Investment & Finance Technical Analysis include:

Support Levels (S1, S2, S3)

There are usually multiple support levels, but the main support levels for a stock are S1, S2, S3. Support levels indicate price points where stock might get support from buyers, helping the stock stop falling and rise.

Resistance Levels (R1, R2, R3)

There are usually multiple resistance levels, but the main resistance levels for a stock are R1, R2, R3. Resistance levels represent price points where Rajputana Investment & Finance shares often struggle to rise above due to selling pressure.

Rajputana Investment & Finance Dividends

Dividends refer to the portion of the company’s profits distributed to its shareholders. Dividends are typically paid out in cash and reflect Rajputana Investment & Finance ’s financial health and profitability.

Rajputana Investment & Finance Bonus Shares

Bonus shares are usually given by companies to make the stock more affordable, increase liquidity, boost investor confidence, and more.

Rajputana Investment & Finance Stock Split

Stock split increases the number of its outstanding shares by dividing each existing share into multiple shares. When the company offers a stock split, the face value of the stock reduces in the same proportion as the split ratio.

Rajputana Investment & Finance Financials

The financials of Rajputana Investment & Finance provide a complete view to investors about its net sales, net profit, operating profits, expenses, and overall financial health. Investors can analyze financial data to assess the company’s stability and also understand how the company has been growing financially.

Rajputana Investment & Finance Profit and Loss Statements

The profit and loss statement of Rajputana Investment & Finance highlights its net sales, net profit, total expenditure, and operating profits in the current financial year. This Profit and Loss statement is crucial for evaluating the profitability and financial stability of Rajputana Investment & Finance .

Rajputana Investment & Finance Balance Sheet

The balance sheet presents a snapshot of Rajputana Investment & Finance ’s assets, liabilities, and equity of shareholders, providing insights into the financials of the company.

Rajputana Investment & Finance Cashflow Statements

Cashflow statements track the company's cash inflows and outflows over a period. It is an essential tool for understanding how well the company manages its liquidity and finances.