Kapil Raj Finance Share Price

BSE
KAPILRAJ •
BUY

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Kapil Raj Finance Stock Performance
52 Week Low - High
Today’s Low - High

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Total Traded Value

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Kapil Raj Finance Fundamental

Market Cap (in crs)

Face Value

Turnover (in lacs)

Key Metrics
Qtr Change %
232.54% Gain from 52W Low
14.9
Dividend yield 1yr %
0

Kapil Raj Finance Key Financials

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*All values are in ₹ Cr.

*All values are in ₹ Cr.

*All values are in ₹ Cr.

*All values are in ₹ Cr.

Kapil Raj Finance Quarterly Revenue

Dec 2020Sep 2020Jun 2020Mar 2020
0.07 Cr
0.34 Cr
0.17 Cr
0.06 Cr

Kapil Raj Finance Yearly Revenue

Mar 2020Mar 2019
0.67 Cr
1.06 Cr

Kapil Raj Finance Quarterly Net Profit/Loss

Dec 2020Sep 2020Jun 2020Mar 2020Sep 2019
0.02 Cr
0.19 Cr
0.09 Cr
0.01 Cr
0.02 Cr

Kapil Raj Finance Yearly Net Profit/Loss

Mar 2020Mar 2019
0.04 Cr
0.05 Cr

Kapil Raj Finance shareholding Pattern

Public
100%
Public
100%
Public
100%
Public
100%
Public
100%
Public
100%

Kapil Raj Finance Technical Analysis

Moving Averages Analysis
Moving Averages Analysis
Current Price
Bullish Moving Averages
7
Bearish Moving Averages
9
5Day EMA
7.00
10Day EMA
7.10
12Day EMA
7.10
20Day EMA
7.00
26Day EMA
7.00
50Day EMA
6.70
100Day EMA
6.10
200Day EMA
5.10
5Day SMA
7.10
10Day SMA
7.10
20Day SMA
7.10
30Day SMA
7.00
50Day SMA
6.90
100Day SMA
5.90
150Day SMA
5.50
200Day SMA
4.80
Delivery & Volume

Delivery & Volume

PeriodCombined Delivery VolumeNSE+BSE Traded Volume
Day Rs
41601 Rs
46703 Rs
Week Rs
25213 Rs
28683 Rs
Month Rs
15136 Rs
31816 Rs
Resistance & Support
6.83
Pivot
Resistance
First Resistance
7.22
Second Resistance
7.49
Third Resistance
7.88
Support
First Support
6.56
Second support
6.17
Third Support
5.90
Relative Strength Index
49.17
Money Flow Index
43.16
MACD
0.06
MACD Signal
0.12
Average True Range
0.38
Average Directional Index
15.23
Rate of Change (21)
1.47
Rate of Change (125)
11.70

Kapil Raj Finance Company background

Founded in: 1985
Managing director: Amit Balkrishana Ghume
Kapil Raj Finance Limited was incorporated on December 13, 1985 and obtained Certificate for Commencement of Business on June 24, 1986 from the RoCs, Delhi Haryana. The Company is mainly engaged in the business of financial and insurance service. The Company is in a well diversified business as powered by Memorandum of Association doing business in commercial enterprises, management and financial consultancy, financing all their respective branches, providing hire purchase financing on all types basis all types of industrial and office plant, equipment, machinery, vehicle, building etc., real estate business required for manufacturing, processing, transportation and trading business and other commercial and service business.The Company follows a systematic process for planning and implementation of strategies. The Company is exposed to specific risks that are particular to business and the environment within which it operates, including interest rate volatility, economic cycle, credit risk and market risk. The measurement, monitoring management of risk remains as the key focus areas for company. Barring unforeseen circumstances and political fluctuations as well as natural calamities, the Company expects to withstand the Global/India economy meltdown, along with applying stiff and conventional measures, follows conservative approach and manages the credit risk through prudent selection of clients, delegation of proper lending powers and stipulating various prudential limits.
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