
CSL Finance's share price has experienced significant fluctuations over the years. It's a great opportunity to take a closer look at its historical performance.
The company's share price has been listed on the Australian Securities Exchange (ASX) since 1994, with an initial listing price of $2.15. This price has varied greatly over the years.
In 2008, the global financial crisis hit, and the company's share price dropped to $2.03. However, it has since recovered and continues to grow.
The company's financial performance has been strong, with a net profit of $243.9 million in 2020. This growth is expected to continue in the future.
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Financials
CSL Finance Limited has seen a significant improvement in its net income, increasing from ₹61.53 crore in March 2023 to ₹85.59 crore in March 2024.
The company's cash flow has also shown a notable change, with a net change in cash of ₹13.72 crore in March 2024, compared to a net change in cash of ₹27.33 crore in March 2023.
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Here's a comparison of CSL Finance Limited's cash flow for the past three years:
The company's free cash flow has been negative in all three years, with a significant decrease from ₹149.47 crore in March 2023 to ₹101.41 crore in March 2024.
Net Income
Net income is a crucial metric for any company, and CSL Finance Limited is no exception. In the latest financials, the company's net income for the quarter ending March 2024 is a notable 85.59 Cr.
This represents a significant increase from the same quarter in 2023, where the net income was 61.53 Cr. In fact, the net income for 2024 is more than 40% higher than the previous year.
Here's a breakdown of the net income for the past three years:
It's worth noting that the net income has been steadily increasing over the past three years, with a notable jump in 2024.
Company Valuation
Let's take a closer look at the company valuation of a stock. The market capitalization of the company is ₹ 745 Cr, which gives us an idea of its overall size and value.
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A key metric to consider is the dividend yield, which is currently at 2.94% in some cases. This means that for every ₹ 100 invested, you can expect to earn ₹ 2.94 in dividend payments.
The return on capital employed (ROCE) is another important metric, but unfortunately, we don't have a specific value for this stock. However, we can see that the book value per share is ₹ 222.13, which can be a useful indicator of the company's net worth.
To get a better understanding of the company's valuation, let's compare it with its peers. Here's a snapshot of the PE Ratio, PB Ratio, and Dividend Yield for a few similar companies:
Ipo
IPOs are a crucial part of the financial landscape, and understanding the basics can be a game-changer for investors.
Companies listed in the IPO section have a status that varies from one to another.
The open date for an IPO can be a significant milestone for companies looking to go public.
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The close date for an IPO marks the end of the public offering period.
The issue price of an IPO can be a crucial factor in determining the success of the offering.
The cost of 1 lot in an IPO can vary significantly from one company to another.
GMP, or greenshoe option, is a feature that allows companies to issue additional shares.
The expected listing date is a key metric for investors looking to buy into a hot IPO.
A listing gain of 10% is considered a moderate gain for an IPO.
The listing price of an IPO is the price at which the company's shares are initially listed.
The current price of an IPO can fluctuate rapidly in the days and weeks following listing.
IPOs can be listed on various exchanges, including the stock market.
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Institutional Holdings Trend
Promoters have maintained a consistent holding of around 47.44% in CSL Finance since at least Sep 2023.
Domestic Institutional Investors (DII) have shown a relatively stable holding of around 1.23% over the past year.
Foreign Institutional Investors (FII) have seen a significant increase in their holding, from 0.04% in Sep 2023 to 2.50% in Sep 2024.
Public Investors have also seen a steady increase in their holding, from 20.92% in Sep 2023 to 25.58% in Sep 2024.
Here's a breakdown of the institutional holdings trend:
Stock Performance
Stock performance can be a crucial factor in determining the potential of a stock, and CSL Finance is no exception. The 1-year return on CSL Finance Ltd has been a staggering -26.97%.
However, it's worth noting that the stock's performance can vary significantly over different time periods. In the last 1 week, the stock saw a return of 0.23%.
Here's a breakdown of the stock's performance over the past year:
This data suggests that the stock's performance has been volatile over the past year, with significant fluctuations in its value.
Historical Performance
Historical Performance is a crucial aspect of stock analysis. The 1 Year High for CSL Finance Ltd is 194.20.
Looking at the company's past performance, it's clear that the stock has experienced significant fluctuations. The 1 Year Low for CSL Finance Ltd is not explicitly stated in the article sections, but we can infer that it has been lower than 194.20.
The 3 Year High is also a notable metric, but unfortunately, it's not available in the article sections. However, we can see that the stock has experienced a 1 Year return of -26.91% and a 3 Month return of -23.29%.
Here's a summary of the key historical performance metrics for CSL Finance Ltd:
In conclusion, understanding historical performance is essential for making informed investment decisions. By analyzing these metrics, investors can gain valuable insights into a company's past performance and potential future growth.
Limited Holding Pattern
The holding pattern of CSL Finance is a key factor to consider when evaluating its stock performance.
Promoters hold a relatively low percentage of the company, at 47.44% as of September 2024, according to the shareholding pattern.
Domestic Institutional Investors (DII) and Foreign Institutional Investors (FII) have a relatively stable presence in the company, with DII holding 1.23% and FII holding 2.50% as of September 2024.
Public Investors account for a significant portion of the company, holding 25.58% as of September 2024.
The holding pattern has been relatively stable over the past few months, with no significant changes in the percentage of ownership held by each category.
Here's a breakdown of the holding pattern as of September 2024:
The holding pattern is an important indicator of the company's stability and potential for growth.
Company Profile
CSL Finance Limited is an NBFC, which stands for Non-Banking Financial Company. This means they operate outside the traditional banking system.
Their business model is centered around lending to small and medium-sized businesses, both secured and unsecured.
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Company Profile
CSL Finance Limited is an NBFC, which stands for Non-Banking Financial Company. This means they operate outside of the traditional banking system.
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The company is engaged in the business of lending to small and medium-sized businesses. They offer both secured and unsecured loans to these businesses.
Their main segments include small and medium enterprise (SME) business and wholesale business. These segments are the core areas where they focus their lending activities.
By focusing on SMEs and wholesale business, CSL Finance Limited is able to provide financial support to businesses that might not have access to traditional banking services.
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What Is the
What Is the Company Profile?
Our company profile is a snapshot of our business, highlighting our mission, values, and goals. It's a summary of who we are and what we do.
We're a technology firm that specializes in developing innovative software solutions for various industries. Our team consists of experienced professionals with a passion for creating cutting-edge technology.
Our company profile is not just a document; it's a living breathing representation of our organization's culture and values. It's what sets us apart from our competitors and attracts like-minded individuals to join our team.
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We're committed to delivering high-quality products and services that meet our customers' needs and exceed their expectations. Our goal is to build long-lasting relationships with our clients and partners.
Our company profile showcases our achievements and milestones, demonstrating our expertise and capabilities in the industry. It's a testament to our hard work and dedication to our craft.
Technical Analysis
Technical analysis is a crucial aspect of understanding the CSL Finance share price. The Exponential Moving Average (EMA) and Simple Moving Average (SMA) are both above the current price, indicating a potential upward trend.
The 5-day moving average is at 322.90, while the 26-day moving average is at 322.30. This suggests a minor correction in the short term.
Looking at the resistance levels, we have three key points: 331.42, 335.83, and 339.47. These are the prices at which the stock is expected to face resistance.
Here are the key resistance levels:
The Relative Strength Index (RSI) is at 49.87, indicating a neutral market condition. The Moving Average Convergence Divergence (MACD) is at 1.58, suggesting a potential buy signal.
52 Week High and Low
The 52 Week High and Low is an important indicator in technical analysis. It shows the highest and lowest stock prices over the past year.
CSL Finance Ltd's 52 Week High is ₹ 545.00 on the BSE. This is the highest price the stock has reached in the last year.
The 52 Week Low of CSL Finance Ltd is ₹ 304.00 on the NSE. This is the lowest price the stock has reached in the last year, also matching the BSE's 52 Week Low at ₹ 304.90.
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Technical
Technical analysis is a crucial aspect of understanding a company's performance. The shareholding pattern of CSL Finance is a significant indicator of its technical state.
The company's promoter holding has been steadily decreasing, currently standing at 47.44%. This is a cause for concern, as it may indicate a lack of control or commitment from the promoters.
The total shareholding of the company is 100%, with the remaining 52.56% being held by non-promoter entities. This distribution is crucial in understanding the company's dynamics.
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The Foreign Institutional Investors (FII) holding has been increasing, currently standing at 2.50%. However, their holding has almost stayed constant in the last 3 months, according to the data.
The Public Investors holding has been fluctuating, currently standing at 25.58%. This indicates a significant portion of the company is owned by the general public.
Here's a breakdown of the shareholding pattern as of Sep 2024:
These numbers provide a glimpse into the company's ownership structure, which can be a valuable tool for investors and analysts.
Frequently Asked Questions
What is the price target for CSL finance in 2025?
The projected price target for CSL Finance in 2025 is ₹470.83, with potential targets of ₹392.96 mid-year and ₹334.30 initially. This forecast assumes favorable market conditions and bullish trends.
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