Can Fin Homes Ltd (CANFINHOME)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 740.95
% Change: -0.94% (Prev Close: 748.00)

Volume: 43,379
% Change: -15.12% (Prev Volume: 51,109)

Delivery: 24,591
Delivery % : 56.69
% Change: -10.81% (Prev Delivery: 27,571)

Turnover: 322 Lacs
% Change: -15.53% (Prev Turnover: 382)

πŸ’Ή EOD Valuation

P/E Ratio: 11.19
P/B Ratio: 1.95
Market Cap: 9869 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: CANFINHOME
Market Cap: 9556 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 951.75
52 Week Low: 558.50

All-Time High: 951.75 Rs.
All-Time Low: 6.89 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
1.02% | -2.29% | 21.45% | -13.30% | 6.19%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 29.99%

Change (3Y | 1Y): 0.00% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 12.10%

Change (3Y | 1Y): 12.10% | -0.04%

DII Holding

DII Holding: 24.53%

Change (3Y | 1Y): -0.27% | -0.13%

Public Holding: 33.37%


🏦 Financial Strength

Debt to Equity: 6.92
Debt: 35051.23 Rs. Cr.

Book Value: 380.57 Rs.
Current Ratio: 0.92
Interest Coverage: 1.43
Free Cash Flow: 916.93 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 9.29%

Sales Growth Qtr (YOY | QoQ):
9.59% | 2.18%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
13.82% | 24.96% | 9.29%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 14.93%

Profit Growth Qtr (YOY | QoQ):
12.14% | -4.30%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
17.91% | 22.08% | 14.93%


EPS Rs.

EPS (TTM): 66.19 Rs.

EPS Qtr (Last Year | Latest):
14.99 Rs. | 16.81 Rs.

EPS Annual (Last Annual | Annual March):
56.38 Rs. | 64.37 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
17.91% | 22.08%


Net Profit Rs. Cr.

Net Profit (TTM): 881.40 Rs. Cr.

Net Profit (Annual - March): 857.17 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
199.64| 233.92 | 223.87


EBITDA Rs. Cr.

EBITDA (Quarter): 929.41 Rs. Cr.
EBITDA (Previous Yr Ql): 860.46 Rs. Cr.

EBITDA (Annual - March): 3578.86 Rs. Cr.
EBITDA (Previous Annual): 3202.12 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
13.83% | 25.76%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 91.90%

OPM Qtr (Previous | Current):
91.78% | 91.08%

OPM Annual (5 Yrs | Last Yr | March):
91.52% | 90.85% | 92.25%


Return on Equity %

ROE: 18.22%

ROE (5 Yrs | 3 Yrs | Last Yr):
18.27% | 18.49% | 18.79%


Return on Capital Employed %

ROCE: 9.34%

ROCE (5 Yrs | 3 Yrs | Last Yr):
8.54% | 8.99% | 9.26%


Return on Assets %

ROA (TTM): 2.20%

ROA (5 Yrs | 3 Yrs | Last Yr):
2.08% | 2.13% | 2.14%



PEG Ratio: 0.49
Dividend Yield: 1.67%

PE 3 Yrs: 13.64
PE 5 Yrs: 14.91

Dividend Yield: 1.67%


πŸ‘₯ Company

Can Fin Homes Ltd

CANFINHOME

Promoter Holding: %

Canara Bank (CANBK)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 108.10
% Change: 0.00% (Prev Close: 108.10)

Volume: 71,04,394
% Change: -12.71% (Prev Volume: 81,38,600)

Delivery: 35,85,243
Delivery % : 50.47
% Change: -3.93% (Prev Delivery: 37,31,841)

Turnover: 7,680 Lacs
% Change: -12.71% (Prev Turnover: 8,798)

πŸ’Ή EOD Valuation

P/E Ratio: 5.88
P/B Ratio: 0.93
Market Cap: 98054 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: CANBK
Market Cap: 94181 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 119.30
52 Week Low: 78.58

All-Time High: 164.22 Rs.
All-Time Low: 14.73 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
0.81% | -6.38% | 27.42% | -0.25% | 30.22%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 62.93%

Change (3Y | 1Y): 0.00% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 11.38%

Change (3Y | 1Y): 3.41% | 0.84%

DII Holding

DII Holding: 11.41%

Change (3Y | 1Y): -2.41% | -0.44%

Public Holding: 14.27%


🏦 Financial Strength

Debt to Equity: 14.67
Debt: 1546160.15 Rs. Cr.

Book Value: 116.22 Rs.
Current Ratio: 3.08
Interest Coverage: 1.28
Free Cash Flow: 61830.45 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 8.50%

Sales Growth Qtr (YOY | QoQ):
8.06% | 0.09%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
19.57% | 19.86% | 8.50%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 18.40%

Profit Growth Qtr (YOY | QoQ):
23.09% | -36.75%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
61.05% | 42.11% | 18.40%


EPS Rs.

EPS (TTM): 18.37 Rs.

EPS Qtr (Last Year | Latest):
4.48 Rs. | 3.52 Rs.

EPS Annual (Last Annual | Annual March):
16.84 Rs. | 19.34 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
47.65% | 42.11%


Net Profit Rs. Cr.

Net Profit (TTM): 16826.31 Rs. Cr.

Net Profit (Annual - March): 17691.90 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
4098.24| 5111.23 | 3232.65


EBITDA Rs. Cr.

EBITDA (Quarter): 28300.51 Rs. Cr.
EBITDA (Previous Yr Ql): 24956.16 Rs. Cr.

EBITDA (Annual - March): 106573.20 Rs. Cr.
EBITDA (Previous Annual): 93002.57 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
25.12% | 26.21%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 61.21%

OPM Qtr (Previous | Current):
61.50% | 58.31%

OPM Annual (5 Yrs | Last Yr | March):
52.13% | 58.25% | 62.10%


Return on Equity %

ROE: 17.75%

ROE (5 Yrs | 3 Yrs | Last Yr):
14.03% | 16.96% | 17.94%


Return on Capital Employed %

ROCE: 6.79%

ROCE (5 Yrs | 3 Yrs | Last Yr):
5.71% | 6.25% | 6.63%


Return on Assets %

ROA (TTM): 1.08%

ROA (5 Yrs | 3 Yrs | Last Yr):
0.76% | 0.99% | 1.06%



PEG Ratio: 0.12
Dividend Yield: 3.85%

PE 3 Yrs: 5.64
PE 5 Yrs: 5.90

Dividend Yield: 3.85%


πŸ‘₯ Company

Canara Bank

CANBK

Promoter Holding: %

Caplin Point Laboratories Ltd (CAPLIPOINT)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 2203.00
% Change: 1.29% (Prev Close: 2175.00)

Volume: 64,216
% Change: -26.15% (Prev Volume: 86,955)

Delivery: 34,094
Delivery % : 53.09
% Change: -15.19% (Prev Delivery: 40,202)

Turnover: 1,413 Lacs
% Change: -25.56% (Prev Turnover: 1,898)

πŸ’Ή EOD Valuation

P/E Ratio: 29.63
P/B Ratio: 5.87
Market Cap: 16743 Rs. Cr.


Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: CAPLIPOINT
Market Cap: 15952 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 2641.00
52 Week Low: 1551.05

All-Time High: 2641.00 Rs.
All-Time Low: 1.05 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
10.42% | 3.23% | 11.23% | 9.76% | 40.75%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 70.56%

Change (3Y | 1Y): 1.68% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 6.16%

Change (3Y | 1Y): 4.13% | 0.43%

DII Holding

DII Holding: 2.22%

Change (3Y | 1Y): 1.10% | 0.22%

Public Holding: 21.06%


🏦 Financial Strength

Debt to Equity: 0.00
Debt: 5.02 Rs. Cr.

Book Value: 375.01 Rs.
Current Ratio: 6.97
Interest Coverage: 956.20
Free Cash Flow: 240.85 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 13.14%

Sales Growth Qtr (YOY | QoQ):
11.17% | 1.55%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
17.55% | 15.14% | 13.14%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 18.32%

Profit Growth Qtr (YOY | QoQ):
23.26% | 3.77%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
20.49% | 21.49% | 18.32%


EPS Rs.

EPS (TTM): 74.35 Rs.

EPS Qtr (Last Year | Latest):
16.31 Rs. | 20.10 Rs.

EPS Annual (Last Annual | Annual March):
60.19 Rs. | 70.56 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
20.37% | 21.37%


Net Profit Rs. Cr.

Net Profit (TTM): 566.92 Rs. Cr.

Net Profit (Annual - March): 541.09 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
124.92| 145.28 | 150.76


EBITDA Rs. Cr.

EBITDA (Quarter): 200.93 Rs. Cr.
EBITDA (Previous Yr Ql): 170.39 Rs. Cr.

EBITDA (Annual - March): 743.35 Rs. Cr.
EBITDA (Previous Annual): 617.27 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
20.18% | 19.79%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 33.83%

OPM Qtr (Previous | Current):
33.45% | 34.84%

OPM Annual (5 Yrs | Last Yr | March):
31.84% | 32.60% | 33.39%


Return on Equity %

ROE: 21.67%

ROE (5 Yrs | 3 Yrs | Last Yr):
24.22% | 23.49% | 24.23%


Return on Capital Employed %

ROCE: 25.85%

ROCE (5 Yrs | 3 Yrs | Last Yr):
26.95% | 26.21% | 26.46%


Return on Assets %

ROA (TTM): 18.32%

ROA (5 Yrs | 3 Yrs | Last Yr):
19.19% | 18.76% | 18.83%



PEG Ratio: 1.31
Dividend Yield: 0.29%

PE 3 Yrs: 23.25
PE 5 Yrs: 20.68

Dividend Yield: 0.29%


πŸ‘₯ Company

Caplin Point Laboratories Ltd

CAPLIPOINT

Promoter Holding: %

Capri Global Capital Ltd (CGCL)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 186.70
% Change: 0.62% (Prev Close: 185.55)

Volume: 5,44,948
% Change: -63.74% (Prev Volume: 15,02,803)

Delivery: 2,57,138
Delivery % : 47.19
% Change: -65.96% (Prev Delivery: 7,55,369)

Turnover: 1,015 Lacs
% Change: -63.39% (Prev Turnover: 2,773)

πŸ’Ή EOD Valuation

P/E Ratio: 27.87
P/B Ratio: 3.58
Market Cap: 17953 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: CGCL
Market Cap: 17825 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 231.70
52 Week Low: 150.51

All-Time High: 289.40 Rs.
All-Time Low: 0.09 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
1.13% | 24.22% | 15.34% | -11.56% | 3.11%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 59.95%

Change (3Y | 1Y): -14.73% | -9.92%

Pledged %: 0.00%

FII Holding

FII Holding: 4.72%

Change (3Y | 1Y): 4.62% | 3.74%

DII Holding

DII Holding: 20.53%

Change (3Y | 1Y): 12.94% | 6.01%

Public Holding: 14.81%


🏦 Financial Strength

Debt to Equity: 3.62
Debt: 15576.81 Rs. Cr.

Book Value: 52.16 Rs.
Current Ratio: 2.09
Interest Coverage: 1.55
Free Cash Flow: -4360.70 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 39.73%

Sales Growth Qtr (YOY | QoQ):
39.87% | 4.85%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
35.28% | 49.64% | 39.73%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 98.16%

Profit Growth Qtr (YOY | QoQ):
130.98% | -1.60%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
24.29% | 32.63% | 98.16%


EPS Rs.

EPS (TTM): 6.70 Rs.

EPS Qtr (Last Year | Latest):
0.92 Rs. | 1.82 Rs.

EPS Annual (Last Annual | Annual March):
3.39 Rs. | 5.80 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
24.17% | 32.54%


Net Profit Rs. Cr.

Net Profit (TTM): 577.70 Rs. Cr.

Net Profit (Annual - March): 478.53 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
75.72| 177.74 | 174.90


EBITDA Rs. Cr.

EBITDA (Quarter): 648.66 Rs. Cr.
EBITDA (Previous Yr Ql): 392.98 Rs. Cr.

EBITDA (Annual - March): 2008.80 Rs. Cr.
EBITDA (Previous Annual): 1290.55 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
31.22% | 48.44%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 63.95%

OPM Qtr (Previous | Current):
64.91% | 64.50%

OPM Annual (5 Yrs | Last Yr | March):
60.45% | 55.76% | 61.76%


Return on Equity %

ROE: 11.76%

ROE (5 Yrs | 3 Yrs | Last Yr):
9.63% | 9.15% | 7.54%


Return on Capital Employed %

ROCE: 11.18%

ROCE (5 Yrs | 3 Yrs | Last Yr):
10.05% | 9.90% | 9.50%


Return on Assets %

ROA (TTM): 2.66%

ROA (5 Yrs | 3 Yrs | Last Yr):
2.70% | 2.30% | 2.07%



PEG Ratio: 0.95
Dividend Yield: 0.11%

PE 3 Yrs: 68.01
PE 5 Yrs: 60.40

Dividend Yield: 0.11%


πŸ‘₯ Company

Capri Global Capital Ltd

CGCL

Promoter Holding: %

Carborundum Universal Ltd (CARBORUNIV)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 976.00
% Change: 0.83% (Prev Close: 968.00)

Volume: 2,65,497
% Change: -12.90% (Prev Volume: 3,04,804)

Delivery: 2,14,492
Delivery % : 80.79
% Change: 91.27% (Prev Delivery: 1,12,142)

Turnover: 2,579 Lacs
% Change: -13.58% (Prev Turnover: 2,984)

πŸ’Ή EOD Valuation

P/E Ratio: 76.85
P/B Ratio: 5.27
Market Cap: 18583 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: CARBORUNIV
Market Cap: 17359 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 1576.80
52 Week Low: 809.10

All-Time High: 1841.15 Rs.
All-Time Low: 30.76 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
4.64% | -0.23% | 2.83% | -37.39% | 3.52%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 39.23%

Change (3Y | 1Y): -2.69% | -0.59%

Pledged %: 0.00%

FII Holding

FII Holding: 11.81%

Change (3Y | 1Y): 2.04% | -0.30%

DII Holding

DII Holding: 29.22%

Change (3Y | 1Y): 2.40% | 0.36%

Public Holding: 19.74%


🏦 Financial Strength

Debt to Equity: 0.06
Debt: 216.36 Rs. Cr.

Book Value: 185.31 Rs.
Current Ratio: 3.35
Interest Coverage: 36.34
Free Cash Flow: 27.50 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 4.67%

Sales Growth Qtr (YOY | QoQ):
1.79% | 0.16%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
13.49% | 13.76% | 4.67%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -24.30%

Profit Growth Qtr (YOY | QoQ):
-45.21% | 100.63%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
6.03% | 2.47% | -24.30%


EPS Rs.

EPS (TTM): 12.70 Rs.

EPS Qtr (Last Year | Latest):
5.94 Rs. | 3.25 Rs.

EPS Annual (Last Annual | Annual March):
24.24 Rs. | 15.37 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
5.91% | 2.36%


Net Profit Rs. Cr.

Net Profit (TTM): 244.26 Rs. Cr.

Net Profit (Annual - March): 298.71 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
114.84| 30.10 | 60.39


EBITDA Rs. Cr.

EBITDA (Quarter): 148.21 Rs. Cr.
EBITDA (Previous Yr Ql): 212.45 Rs. Cr.

EBITDA (Annual - March): 802.75 Rs. Cr.
EBITDA (Previous Annual): 861.40 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
11.92% | 10.20%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 13.01%

OPM Qtr (Previous | Current):
12.02% | 9.95%

OPM Annual (5 Yrs | Last Yr | March):
15.44% | 15.76% | 14.64%


Return on Equity %

ROE: 10.85%

ROE (5 Yrs | 3 Yrs | Last Yr):
14.09% | 13.75% | 15.56%


Return on Capital Employed %

ROCE: 16.12%

ROCE (5 Yrs | 3 Yrs | Last Yr):
19.01% | 18.64% | 20.13%


Return on Assets %

ROA (TTM): 8.49%

ROA (5 Yrs | 3 Yrs | Last Yr):
11.26% | 10.80% | 12.00%



PEG Ratio: 24.13
Dividend Yield: 0.44%

PE 3 Yrs: 55.27
PE 5 Yrs: 48.85

Dividend Yield: 0.44%


πŸ‘₯ Company

Carborundum Universal Ltd

CARBORUNIV

Promoter Holding: %