STEL Holdings Ltd is an investment company that focuses on managing and growing its portfolio of financial assets. Based in India, the company strategically invests in various industries to create long-term value for its stakeholders. STEL Holdings Share Price on NSE as of 9 January 2025 is 392.25 INR. Here are more details on STEL Holdings Share Price Target 2025, 2026 to 2030.
STEL Holdings Ltd: Market Overview
- Open: ₹376.35
- High: ₹434.50
- Low: ₹376.35
- Previous Close: ₹376.35
- Volume: 61,372
- Value (Lacs): ₹240.03
- VWAP: ₹410.20
- UC Limit: ₹451.60
- LC Limit: ₹301.10
- 52 Week High: ₹605.25
- 52 Week Low: ₹271.25
- Mkt Cap (Rs. Cr.): ₹721
- Face Value: ₹10
STEL Holdings Share Price Chart
STEL Holdings Share Price Target Tomorrow 2025 To 2030
STEL Holdings Share Price Target Years | Share Price Target |
2025 | ₹607 |
2026 | ₹710 |
2027 | ₹812 |
2028 | ₹915 |
2029 | ₹1015 |
2030 | ₹2020 |
STEL Holdings Share Price Target 2025
STEL Holdings share price target 2025 Expected target could be ₹607. Here are four key factors that could affect the growth of STEL Holdings Ltd’s share price by 2025:
- Portfolio Performance: The success and profitability of the companies in which STEL Holdings has invested will directly influence its financial performance and share price.
- Economic Growth: A stable and growing economy can boost the value of STEL’s investments across various sectors, improving returns and shareholder confidence.
- Diversification of Investments: Expanding its investment portfolio into high-growth industries or emerging markets can reduce risks and create new avenues for growth.
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Market Sentiment: Positive investor sentiment toward the investment sector and the company’s strategic decisions can lead to increased demand for its shares, driving up the price.
STEL Holdings Share Price Target 2030
STEL Holdings share price target 2030 Expected target could be ₹2020. Here are four potential risks and challenges that could impact STEL Holdings Ltd’s share price by 2030:
- Market Volatility: Fluctuations in the financial markets can affect the value of the company’s investments, leading to unpredictable returns and potential losses.
- Economic Slowdown: A prolonged economic downturn or recession could negatively impact the performance of industries where STEL Holdings has significant investments.
- Concentration Risk: Over-reliance on a few sectors or companies for returns could increase risk exposure, especially if these investments underperform.
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Regulatory and Policy Changes: Changes in government policies, tax regulations, or investment laws may affect the company’s ability to maximize returns or expand its portfolio effectively.
Shareholding Pattern For STEL Holdings Ltd
- Promoters: 69.15%
- Retail and Others: 30.56%
- DII: 0.13%
- FII: 0.13%
- Mutual Funds: 0.04%
STEL Holdings Ltd Financials
(INR) | 2024 | Y/Y change |
Revenue | 184.64M | 7.59% |
Operating expense | 6.45M | -8.40% |
Net income | 132.73M | 8.27% |
Net profit margin | 71.89 | 0.64% |
Earnings per share | — | — |
EBITDA | 177.95M | 8.11% |
Effective tax rate | 25.18% | — |
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