Elcid Investment Ltd: Market Overview
- Open Price: ₹3,29,900.00
- High Price: ₹3,32,399.94
- Low Price: ₹3,22,400.00
- Previous Close: ₹316,597.45
- Volume: 1,531
- Value (Lacs): ₹5,059.92
- VWAP: ₹329,944.01
- UC Limit: ₹346,997.00
- LC Limit: ₹313,949.70
- P/E ratio: N/A
- Div yield: N/A
- 52-wk high: ₹3,32,399.94
- 52-wk low: ₹3.37
- Mkt cap: ₹6,609 Cr
- Face Value: ₹10
Elcid Investment Share Price Chart
Elcid Investment Share Price Target Tomorrow 2024 To 2030 (Prediction)
Elcid Investment Share Price Target Years | Share Price Target |
2024 | ₹3,32,540 |
2025 | ₹4,60,498 |
2026 | ₹5,85,680 |
2027 | ₹7,45,320 |
2028 | ₹8,56,432 |
2029 | ₹9,77,745 |
2030 | ₹10,90, 500 |
Elcid Investment Share Price Target 2024
Elcid Investment share price target 2024 Expected target could be ₹3,32,540. Here are three key factors that could influence Elcid Investment Ltd’s share price target in 2024:
- Performance of Portfolio Holdings: Elcid Investment’s growth heavily depends on the success of its investment portfolio. If the companies it holds shares in, particularly those in high-growth sectors, perform well, this can positively impact Elcid’s overall value and drive its share price higher.
- Market Conditions and Economic Stability: Broader market conditions, such as economic growth, interest rates, and investor sentiment, can significantly affect Elcid’s valuation. Favorable economic trends could boost portfolio values, while economic downturns might create volatility, impacting the share price.
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Strategic Investment Decisions: Elcid’s ability to identify and hold valuable, long-term investments is crucial. Strategic moves, such as investing in emerging industries or high-growth sectors, can enhance its portfolio performance, potentially leading to higher returns and stronger share price growth in 2024.
Elcid Investment Share Price Target 2025
Elcid Investment share price target 2025 Expected target could be ₹4,60,498. Here are three potential risks and challenges for Elcid Investment Ltd’s share price target in 2025:
- Market Volatility and Economic Downturns: As an investment holding company, Elcid’s value is sensitive to market fluctuations and economic slowdowns. A downturn in the economy or stock market volatility could decrease the value of its portfolio holdings, directly impacting its share price.
- Portfolio Concentration Risk: If a significant portion of Elcid’s investments is concentrated in a few companies or sectors, poor performance in these areas could adversely affect the company’s overall valuation. This reliance on specific investments could make Elcid more vulnerable to industry-specific risks, potentially impacting its growth and share price in 2025.
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Limited Liquidity and Trading Volume: Elcid Investment Ltd is relatively small and has low trading volume, which can make its shares more susceptible to price swings and less attractive to larger investors. This low liquidity may also lead to difficulties in buying or selling shares, potentially deterring investor interest and affecting the stock’s stability and price target in 2025.
Elcid Investment Share Price Target 2030
Elcid Investment share price target 2030 Expected target could be ₹10,90, 500. Here are three potential risks and challenges for Elcid Investment Ltd’s share price target in 2030:
- Long-Term Market and Economic Cycles: Over the long term, Elcid Investment is vulnerable to prolonged economic downturns or bear markets. Extended periods of poor market performance could reduce the value of its portfolio and make it harder to deliver consistent returns, impacting its share price growth by 2030.
- Changes in Investment Regulations: Shifting regulatory policies, such as new taxes on investment gains or stricter compliance requirements, could increase operational costs or impact returns. If regulations become more restrictive, Elcid may need to adjust its investment strategies, which could affect its profitability and attractiveness to investors.
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Evolving Industry Dynamics and Technological Shifts: As technology and industries evolve, the sectors Elcid has traditionally invested in may face disruption. If Elcid’s portfolio lacks exposure to emerging or high-growth sectors, it risks underperforming compared to more diversified or adaptable competitors, potentially limiting its share price potential by 2030.
Shareholding Pattern For Elcid Investment Ltd
- Promoters: 75%
- FII: 0%
- DII: 0%
- Public: 25%
FOR MORE DETAIL FOLLOW THE OFFICIAL WEBSITE: http://elcidinvestments.com/
Elcid Investment Ltd Financials
(INR) | 2024 | Y/Y change |
Revenue | 2.35B | 116.10% |
Operating expense | 38.31M | -43.20% |
Net income | 1.76B | 139.38% |
Net profit margin | 74.69 | 10.77% |
Earnings per share | — | — |
EBITDA | 2.32B | 125.98% |
Effective tax rate | 24.12% | — |
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