CGCL

Financial ServicesCredit ServicesLarge Cap
Capri Global Capital Limited

Capri Global Capital Limited (CGCL) is a non-banking financial company operating in the financial services sector in India, specifically in credit services. Incorporated in 1994 an...

₹228.75-2.85%1D
Previous trading day close · Data updates nightly
1W: -5.0%
1M: -11.4%
6M: +30.7%
1Y: +21.8%
63/100
AverageResearch Score
Market Cap
₹20.9K Cr
Large Cap
P/E Ratio
19.47
Below avg
P/B Ratio
3.06
Premium
ROE
11.8%
Weak
ROCE
3.3%
Average
Debt / Equity
3.35
High debt
Div. Yield
0.1%
EV/EBITDA
26.74
Expensive
52W Low: ₹151.1Current: ₹228.7552W High: ₹264.53
At 68% of 52-week range
Data as of previous trading day close · Updated nightly
📉 Full Technical Chart (RSI, MACD, ADX)
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── Price── SMA50── SMA200Data: Previous trading day close · Updated nightly
Research Score Breakdown
5-factor fundamental analysis — not a buy/sell signal
Quality
ROE, ROCE, margins, cash flow
36/100
Growth
Revenue, EPS, profit growth
100/100
Valuation
PE, PB, EV/EBITDA vs sector
60/100
Risk
Debt levels, volatility, coverage
32/100
News Sentiment
Recent news sentiment
100/100
Weightage: Quality 30% + Growth 25% + Valuation 20% + Risk 15% + News 10%
Mathematical score — not investment advice
Valuation Ratios
P/E Ratio
19.47(Below avg)
Forward P/E
11.82(Attractive)
P/B Ratio
3.06(Premium)
P/S Ratio
6.82(Expensive)
EV/EBITDA
26.74(Expensive)
Dividend Yield
0.1%
5Y CAGR
13.5%(Moderate)
Revenue Growth
85.8%(High)
Profitability
ROE
11.8%(Average)
ROCE
3.3%(Average)
ROA
2.7%(Average)
Net Margin
35.0%(High)
EBITDA Margin
26.8%
Financial Health
Debt to Equity
3.35(High debt)
Current Ratio
1.18(Tight)
Quick Ratio
1.18(Good)
Interest Coverage
N/A
Technical Indicators
Based on previous trading day close
RSI (14)
41(Neutral)
RSI Exp (14)
58(Neutral)
MACD
-0.268(Bearish)
MACD Signal
1.159
BB Position
29%(Middle)
BB Width
17.71%(Normal)
ADX (14)
14.6(Sideways)
Williams %R
-74.8(Neutral)
MFI (14)
41(Neutral)
CCI (20)
-61(Neutral)
Stoch %K
25(Neutral)
ATR (14)
10.94(Avg True Range)
OBV (M)
242.4(Positive)
1W OBV Chg
0.9%(Increasing)
Rel Volume
0.61x(Normal)
Volatility
41.6%(High)
Max DD 1Y
-29.7%(Moderate)
Alpha (CAPM)
20.96%(Outperforming Nifty)
Return vs Nifty
27.9%(Beating Nifty)
EMA 200
201.0
EMA 50
227.2
SMA 200
193.8
vs SMA 50
-0.1%(Below SMA50)
vs SMA 200
18.0%(Above SMA200)
Volume
25.88L
Avg Vol 3M
42.7L
Shareholding Pattern
Promoter
59.9%
High confidence
FII
8.2%
DII / MF
18.4%
Strong MF interest
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⚠️ Research Score is a mathematical fundamental score — not investment advice. Data updates nightly after market close. Please consult a SEBI-registered advisor before investing.