VIJIFIN

Viji Finance Share Price

₹3.12 +0.14 (4.7%)

05 Nov, 2024 17:20

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Performance

  • Low
  • ₹3
  • High
  • ₹3
  • 52 Week Low
  • ₹1
  • 52 Week High
  • ₹3
  • Open Price₹3
  • Previous Close₹3
  • Volume771,508

Investment Returns

  • Over 1 Month + 14.29%
  • Over 3 Month + 46.48%
  • Over 6 Month + 17.74%
  • Over 1 Year + 160%
SIP Lightning

Smart Investing Starts Here Start SIP with Viji Finance for Steady Growth!

Viji Finance Fundamentals Fundamentals refer to the financial data that companies report on a quarterly or annual basis.

  • P/E Ratio
  • -1857.1
  • PEG Ratio
  • 16.9
  • Market Cap Cr
  • 45
  • P/B Ratio
  • 3.6
  • Average True Range
  • 0.17
  • EPS
  • 0
  • Dividend Yield
  • 0
  • MACD Signal
  • 0.02
  • RSI
  • 64.1
  • MFI
  • 77.59

Viji Finance Financial

IndicatorJun 24Mar 24Dec 23Sep 23Jun 23
Net Sales/Income from operations0.530.550.510.420.45
Total Income From Operations0.530.550.510.420.45
P/L Before Interest, Excpt. Items & Tax-0.090.060.090.110.12
P/L Before Exceptional Items & Tax-0.140.000.040.070.10
P/L After Tax from Ordinary Activities-0.100.000.030.050.07
Net Profit/Loss For the Period-0.100.000.030.050.07
IndicatorMar 24Mar 23
Revenue From Operations [Gross]1.932.08
Revenue From Operations [Net]1.932.08
Total Operating Revenues1.932.08
Total Revenue1.932.09
Total Expenses1.731.48
Profit/Loss Before Tax0.200.61
Profit/Loss For The Period0.120.44
IndicatorMar 24Mar 23
Net CashFlow - Operating Activity-4.15-2.47
Net Cash Used In Investing Activity0.09-1.96
Net Cash Used in Finance Activity4.174.47
Net Inc/Dec In Cash And Equivalent0.110.04
Cash And Equivalent End Of Year0.240.13
IndicatorMar 24Mar 23
Total Share Capital8.258.25
Total Non-Current Liabilities0.631.04
Total Current Liabilities13.679.46
Total Capital And Liabilities26.5222.60
Total Non-Current Assets1.952.30
Total Current Assets24.5720.30
Total Assets26.5222.60
Indicator20242023
EBIT Margin (%)19.6935.98
Return On Capital Employed (%)2.945.70
Return On Equity (%)0.983.63
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)1.101.09
IndicatorDec 23Sep 23Jun 23Mar 23Dec 22
Net Sales/Income from operations0.510.420.450.460.34
Total Income From Operations0.510.420.450.460.34
P/L Before Interest, Excpt. Items & Tax0.090.110.12-0.130.05
P/L Before Exceptional Items & Tax0.030.070.10-0.17-0.03
P/L After Tax from Ordinary Activities0.030.050.07-0.13-0.03
Net Profit/Loss For the Period0.030.050.07-0.13-0.03
IndicatorMar 23Mar 22
Revenue From Operations [Gross]2.081.22
Revenue From Operations [Net]2.081.22
Total Operating Revenues2.081.22
Total Revenue2.091.27
Total Expenses1.490.78
Profit/Loss Before Tax0.600.50
Profit/Loss For The Period0.430.44
IndicatorMar 23Mar 22
Net CashFlow - Operating Activity-2.47-1.06
Net Cash Used In Investing Activity-1.96-0.58
Net Cash Used in Finance Activity4.521.12
Net Inc/Dec In Cash And Equivalent0.09-0.51
Cash And Equivalent End Of Year0.180.09
IndicatorMar 23Mar 22
Total Share Capital8.258.25
Total Non-Current Liabilities1.040.79
Total Current Liabilities9.475.07
Total Capital And Liabilities22.5517.46
Total Non-Current Assets2.300.69
Total Current Assets20.2516.77
Total Assets22.5517.46
Indicator20242023
EBIT Margin (%)19.6935.62
Return On Capital Employed (%)2.945.67
Return On Equity (%)0.983.59
Long Term Debt To Equity (%)0.000.00
Book Value/Share (INR)1.101.08

Viji Finance Technicals

EMA & SMA

Current Price
₹3.12
+ 0.14 (4.7%)
pointer
  • stock-down_img
  • Bullish Moving Average 16
  • stock-up_img
  • Bearish Moving Average 0
  • 20 Day
  • ₹2.72
  • 50 Day
  • ₹2.67
  • 100 Day
  • ₹2.60
  • 200 Day
  • ₹2.41

Resistance and Support

2.95 Pivot Speed
  • R3 3.09
  • R2 3.03
  • R1 3.01
  • S1 2.93
  • S2 2.87
  • S3 2.85

Is Viji Finance Worth Buying?

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Ratings

Master Rating

EPS Strenth

Price Strength

Buyer Demand

Group Rank

Viji Finance has an operating revenue of Rs. 2.01 Cr. on a trailing 12-month basis. An annual revenue de-growth of -8% needs improvement, Pre-tax margin of 10% is healthy, ROE of 0% is poor and needs improvement. It is currently FORMING a base in its weekly chart and is trading around 13% away from the crucial pivot point. From an O'Neil Methodology perspective, the stock has an EPS Rank of 21 which is a POOR score indicating inconsistency in earnings, a RS Rating of 84 which is GOOD indicating the outperformance as compared to other stocks, Buyer Demand at B+ which is evident from recent demand for the stock, Group Rank of 52 indicates it belongs to a fair industry group of Financial Svcs-Specialty and a Master Score of D is close to being the worst. Overall, the stock has some relative strength and buyer demand but we want to see further fundamental performance to qualify as a growth stock. Please note that this is a thinly traded stock. Disclaimer: This stock analysis report is algorithmically generated for informational purposes only and should not be considered as a buy or sell recommendation. (+)

Viji Finance Corporate Actions - Bonus, Splits, Dividends

Date Purpose Remarks
2024-11-05 Quarterly Results & Other To Consider other business matters. issue of equity shares of Re. 1/- in the ratio of 8:11 @ premium of Paise 0.50/-.
2024-07-25 Quarterly Results
2024-05-09 Others To consider other business matters. issue of equity shares of Re. 1/- in the ratio of 8:11 @ premium of Paise 0.50/-.
2024-04-09 Audited Results
2024-02-12 Others

Viji Finance F&O

Viji Finance Shareholding Pattern

53.71%
40.87%
5.42%
  • NSE Symbol
  • VIJIFIN
  • BSE Symbol
  • 537820
  • Promoter, Chairman & Managing Director
  • Mr. Vijay Kothari
  • ISIN
  • INE159N01027

Viji Finance FAQs

Viji Finance share price is ₹3 As on 05 November, 2024 | 17:06

The Market Cap of Viji Finance is ₹44.5 Cr As on 05 November, 2024 | 17:06

The P/E ratio of Viji Finance is -1857.1 As on 05 November, 2024 | 17:06

The PB ratio of Viji Finance is 3.6 As on 05 November, 2024 | 17:06

Q2FY23
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