As of July 27, 2024, CAMAC COMMERCIAL, Unlisted Shares are trading at ₹64800.00 per share, with a 52-week high of ₹64800 and 52-week low of ₹36000. The minimun lot size is 5 shares, and the shares are traded on NSDL and CDSL.
ISIN
INE227E01013
An International Securities Identification Number (ISIN) is a code that uniquely identifies a specific securities issue. The numbers are allocated by a country's respective national numbering agency (NNA).
Face Value
₹ 10
Value of a security, as stated by its issuer. It has no relation with market price of the stock.
Total Share
8,82,800
Total shares or total number of shares outstanding represents the amount of stock on the open market, including shares held by institutional investors and restricted shares held by insiders and company officers.
Total Income
₹ 3.43 undefined
Gross income refers to the total income earned by an individual on a pay check before taxes and other deductions. It comprises all incomes received by an individual from all sources – including wages, rental income, interest income, and dividends.
Profit After Tax
₹ ****
It is the final profit left over after subtracting all operating and non operating items from net revenue.
EPS
₹ ****
It is the profit allocated to each outstanding share of common stock.
P/B
****
It shows the relationship between the current price and the book value of each share. A lower P/B ratio can mean that the stock is undervalued.
Enterprise Value
₹ ****
It measures companys total value, which includes market capitalization, debt and excludes cash.
Book Value
₹ 35,063.8
It calculates the per share value of a company based on its equity available to common shareholders
Intrinsic Value
₹ ****
Intrinsic value is the anticipated value of a company or stock determined through fundamental analysis. It is also referred to as the price a rational investor is willing to pay for an investment, given its level of risk.
Earnings Yield
-0.08 %
Sector
Financials
A sector is an area in which businesses share the same or a related product or service. It can also be known as an industry or market that shares common operating characteristics
Sub-sector
Asset Management
Subsectors are the divisions of a sector. They are areas that vary from the rest of the sector substantially enough to justify creating a plan just for the subsector.
Category
Small Cap
Category is defined as a class or division of things regarded as having particular shared characteristics.
Cashflow - Operations
-₹ 6.78
It indicates the amount of money a company brings in from its ongoing and regular operations over a fixed period of time.
CAMAC COMMERCIAL Growth
Compounded Sales Growth
1 Year
3 Year
6 Year
Return On Equity
2018
2019
2020
Highlights
Declining Revenue and Profits:- Over the last five years, the company experienced a decline in revenue at an annualized rate of 3.51% and a decline in net profit at an annualized rate of 22.15%. In FY23, revenue declined by 46.15% and net profit declined by 75.45%.
Sufficient CRAR:- The company posted a CRAR ( Capital to Risk (Weighted) Assets Ratio ) of 119.05%, which is well above the RBI's required range of 12-15% for NBFC-ND-SIs (Non-Banking Financial Company - Non-Deposit - Systematically Important )
Growing Investments:- The Company's Investments grew by 8.07% to Rs. 3807.67 Cr. in FY23 ( portfolio consists of various financial instruments, including mutual funds,
perpetual bonds, non-convertible debentures (NCDs), corporate deposits, equity shares of both
quoted and unquoted companies, and fixed deposits. As part of its investment strategy, the Company
has maintained a focus on low-risk instruments).
Negative Returns:- In FY23, the company recorded a negative ROE (Return on Equity) of -0.15% and a negative ROA (Return on Assets) of -0.12%.
Investment Thesis:- The company is currently in a strong financial position with almost no debt. However, most of its net income comes from its subsidiaries and associates. In terms of valuation, the company's P/B ratio is 1.03x, which is lower compared to its peer, Bengal and Assam Company, whose P/B ratio is 4.6x. This indicates that the company is relatively undervalued.