factbeez
factbeez
FactBeez
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factbeez · 19 hours ago
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Suzlon Energy Share Price Target 2025-30 : Analysis
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Suzlon Energy Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Suzlon Energy Share Price Target 2025, 2026 to 2030. 
Suzlon Energy : About Company
Suzlon Energy Limited is an India-based renewable energy solutions provider. The company is engaged in the business of manufacturing wind turbine generators (WTGs) and related components of various capacities.
It operates in around 17 countries across Asia, Australia, Europe, Africa and the Americas. Its products include the S144 wind turbine generator, S133 wind turbine generator and S120 wind turbine generator. The S144 is expandable depending on the wind conditions of the site.
Suzlon Energy Share Price Target And Forecast 2025-30
Now let’s take a look at Suzlon Energy Share Price Target And Prediction 2025-30...
Year — — — — — — — — — — — — — — — Target 2025 — — — — — — — — — — — — — — — 70 2026 — — — — — — — — — — — — — — — 102 2027 — — — — — — — — — — — — — — — 135 2028 — — — — — — — — — — — — — — — 169 2029 — — — — — — — — — — — — — — — 200 2030 — — — — — — — — — — — — — — — 236
Suzlon Energy Target Price : Strengths And Limitations
Now let’s take a look at the company’s Strengths And Limitations to get more details on Suzlon Energy share price target...
 Strengths
The company has shown a good profit growth of 30.74% for the Past 3 years.
The company has shown a good revenue growth of 45.73% for the Past 3 years.
The company has significantly decreased its debt by 1,695.82 Cr.
The company has been maintaining a healthy ROCE of 37.14% over the past 3 years.
The company has an efficient Cash Conversion Cycle of -24.34 days.
Limitations
The company has a poor ROE of 1.25% over the past 3 years.
The company has negative cash flow from operations of -596.19.
Tax rate is low at 0.
The company has a low EBITDA margin of -48.04% over the past 5 years.
The company is trading at a high PE of 41.92.
Suzlon Energy Target Share Price : 5 Years Financials
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Suzlon Energy Target Share Price : Investment Considerations
Now take a look at Investment Considerations factors of Suzlon Energy Share Price Target 2025…
Strong Order Book
Suzlon Energy Company currently has a backlog of more than 5GW whose market value is around ₹36,000 crore i.e. the company has pending orders worth ₹36,000 crore which will help the company to earn stable revenue soon.
Financial Stability
Suzlon company had a debt of about Rs 12,000 crore, most of which has been repaid by the company. Now the company is financially healthy, due to which the confidence of investors is increasing significantly.
Operational Turnaround
According to the Q4 results of the financial year 2025, the company’s revenue has increased by +73%, EBITDA by 94%. Also, the profit after tax has doubled, which shows that the company is back on track again.
Suzlon Energy Target Share Price : Factors Influencing
Now take a look at factors affecting Suzlon Energy Share Price Target 2025…
Renewable Energy Policies
Government policies and incentives for renewable energy, such as subsidies and tax benefits, can significantly impact Suzlon’s financial performance and share price.
Debt Restructuring
Suzlon’s financial restructuring efforts, particularly in managing its debt, play a key role in determining investor confidence and the company’s market value.
Technological Advancements
Suzlon’s ability to innovate and improve the efficiency of its wind turbines could increase its competitive edge, thereby increasing its stock price.
Suzlon Energy Share Price Target : Conclusion
Looking at its future, there are as many risks as there are opportunities. The company has shown good profit growth of 30.74% in the last 3 years. But the ROE of the company has been 1.25% in the last 3 years.
The company has shown good revenue growth of 45.73% in the last 3 years. The company has significantly reduced its debt by ₹1,695.82 crores. The company has maintained a healthy ROCE of 37.14% in the last 3 years. 
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factbeez · 2 days ago
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Trent Share Price Target 2025-30 : Analysis 
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Trent Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Trent Share Price Target 2025, 2026 to 2030.
Trent : About Company
Trent Limited is an India-based company, which is engaged in the business of retailing / trading of merchandise. The Company is engaged in retailing/trading of apparels, footwear, accessories, toys, games and others. It operates through Westside, Zudio, Utsa, StarHypermarket, Landmark, Misbu / Xcite, Booker Wholesale and ZARA retail formats.
Its flagship format, Westside offers apparel, footwear and accessories for men, women, and children, along with furnishings, decor, and a range of home accessories. Its family entertainment format, Landmark offers a range of toys, front list books and sports merchandise.
Trent Share Price Target 2025-30 
Now let’s take a look at Trent Share Price Target And Prediction 2025-30
Year — — — — — — — — — — — — — — — Target
2025 — — — — — — — — — — — — — — — 5,965
2026 — — — — — — — — — — — — — — — 7,437
2027 — — — — — — — — — — — — — — — 9,273
2028 — — — — — — — — — — — — — — — 11,562
2029 — — — — — — — — — — — — — — — 14,415
2030 — — — — — — — — — — — — — — — 17,973
Trent Share Price Target : Strengths And Limitations
Strengths
The company has shown a good profit growth of 85.17% for the Past 3 years.
The company has shown a good revenue growth of 62.55% for the Past 3 years.
The company has been maintaining a healthy ROE of 29.29% over the past 3 years.
The company has been maintaining a healthy ROCE of 41.59% over the past 3 years.
The company has a healthy Interest coverage ratio of 11.65.
Limitations
The company is trading at a high PE of 130.23.
The company is trading at a high EV/EBITDA of 66.90.
Trent Share : Years Financials
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Trent Target Share Price : Investment Considerations
Now take a look at Trent Share Price Target 2025 Investment Considerations…
Zudio-Led Growth Strategy
With Zudio aggressively opening stores across the country, Trent’s pricing would be at the highest level of growth. Trent is a brand that has become a major contributor to the company’s revenues and is expected to maintain a high compounding annual growth rate.
Strong Backing By Tata Group
Since Trent is a part of the Tata Group, the company receives a lot of support from the Tata Group directly. On this basis, the company directly benefits from strong corporate governance, Tata Group brand value as well as strategic retail synergies across all regions which attracts investors.
Premium Valuation Risk
Trent Company’s growth is highly valuable in the future as currently the company is trading at a high P/E which means the company can expand a lot in the future. A slowdown in expansion may lead to a downgrade in the rating.
Trent Target Share Price : Factors Influencing
Now take a look at factors affecting Trent Share Price Target 2025… 
Zudio’s Growth Engine
Trent’s target share price in the coming time is between Rs 8,000 to Rs 9,000 and keeping this in mind, Trent is expanding rapidly with 30% sales compounding annual growth rate (CAGR) which is attracting investors towards it.
Premium Valuation – High P/E
Trent company is currently trading at a high Price To earning ratio (P/E) which is a negative factor but for your information, it is justified by the growth, any sharp correction can trigger it.
Diversified Retail Portfolio
Apart from Trent, the formats of Judio for fast fashion, Westside for semi-premium and Star Bazaar for grocery reduce the dependence on a single segment, thus fragmenting the consumers across multiple geographies.
Trent Target Share Price : Conclusion
Trent is expanding rapidly with 30% sales compounding annual growth rate (CAGR) which is attracting investors towards it. Trent offers premium growth backed by Zudio and Tata scale, with upside potential to ₹8,000+ over 12–18 months, and eventual long-term value up to ₹30,000+. However, risks include valuation shocks and retail competition.
The company has been maintaining a healthy ROE of 29.29% over the past 3 years. The company has been maintaining a healthy ROCE of 41.59% over the past 3 years. The company is virtually debt free. 
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factbeez · 7 days ago
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Tata Steel Share Price Target 2025-30 : Analysis
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Tata Steel Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Tata Steel Share Price Target 2025, 2026 to 2030.
Tata Steel : About Company
Tata Steel Limited is an India-based global steel company with an annual crude steel capacity of around 35 million tonnes per annum. The company is primarily engaged in the business of manufacturing and distribution of steel products worldwide. 
The company and its subsidiaries have presence across the steel manufacturing value chain from mining and processing of iron ore and coal to the production and distribution of finished products. Its products include Cold Rolled (Unbranded), BP Sheet, Galvano, HR Commercial, Hot Rolled Pickled & Oiled and Hot Rolled Skin Pass Pickled & Oiled, High Tensile Steel Strapping, Pre-Engineered Buildings, Project/Tender, Construction & Project and Full Hard Cold Rolled. 
Tata Steel Share Price Target 2025-30 
Now let’s take a look at Tata Steel Share Price Target And Prediction 2025-30
Year — — — — — — — — — — — — — — — Target 2025 — — — — — — — — — — — — — — — 211 2026 — — — — — — — — — — — — — — — 242 2027 — — — — — — — — — — — — — — — 276 2028 — — — — — — — — — — — — — — — 318 2029 — — — — — — — — — — — — — — — 364 2030 — — — — — — — — — — — — — — — 417
Tata Steel Share Price Target : Strengths || Limitations
Strengths
The company has shown a good revenue growth of 18.78% for the Past 3 years.
The Company has been maintaining an effective average operating margins of 27.47% in the last 5 years.
The company has an efficient Cash Conversion Cycle of -63.19 days.
The company has good cash flow management; CFO/PAT stands at 1.75.
The company has a strong degree of Operating leverage, Average Operating leverage stands at 10.15.
Limitations
The company has shown a poor profit growth of -34.46% for the Past 3 years.
The company has contingent liabilities of 42,472.02 Cr.
The company is trading at a high PE of 13.33.
Tata Steel Share : Years Financials
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Tata Steel Target Share Price : Investment Considerations
Now take a look at Tata Steel Share Price Target 2025 Investment Considerations…
Raw Material Cost Advantage
Significant margin boosts from ~18.5% drop in coking coal and iron ore costs in Q4 FY25.
Domestic Tariffs
India’s 12% safeguard duty on steel imports enhances domestic pricing power.
Green Steel Initiatives
Pioneering hydrogen pipe development and low-carbon processes (HIsarna) to meet EU carbon regulations.
Global Expansion
Ambitious goal to reach 40 MT capacity by 2030 with acquisitions (e.g. NINL), new plants, and overseas integration.
Global Demand
Forecasted 4.1% CAGR for global steel demand; performance tied to infrastructure cycles globally.
Tata Steel Target Share Price : Factors Influencing
Now take a look at factors affecting Tata Steel Share Price Target 2025… 
Global Steel demand
Tata Steel is a major exporter of steel, so global demand plays a key role in its financial performance. Economic growth in key markets such as the US, China and Europe drives demand for steel, which directly impacts Tata Steel’s share price.
Raw Material Prices
Steel manufacturing has a high reliance on raw materials such as iron ore and coal. Fluctuations in the prices of these materials can affect Tata Steel’s production costs and profitability, thereby impacting its share price.
Global Trade Policies
Changes in trade policies, tariffs and export/import restrictions in key markets can impact Tata Steel’s operations. For example, steel tariffs in the US or Europe can impact its export ability, causing stock price fluctuations.
Domestic Infrastructure Growth
India’s infrastructure and construction sectors are key drivers of domestic steel demand. Government initiatives such as “Make in India” and increased spending on infrastructure projects have led to increased steel consumption, benefiting Tata Steel’s revenue.
Tata Steel Target Share Price : Conclusion
The company has shown good revenue growth of 18.78% in the last 3 years. The company has been maintaining an effective average operating margin of 27.47% in the last 5 years. The company has an efficient cash conversion cycle of -63.19 days.
Based on Tata Steel Target Share Price, The company has good cash flow management; CFO/PAT is 1.75. The company has a strong degree of operating leverage, the average operating leverage is 10.15.
According to data from Ticker.finology.in based on Tata Steel Stock Price Target blog, the company has shown poor profit growth of -34.46% in the last 3 years.
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factbeez · 15 days ago
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NALCO Share Price Target 2025-30 : Analysis
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NALCO Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about the National Aluminium Share Price Target 2025, 2026 to 2030. 
National Aluminium : About Company
National Aluminium Company Limited is an India-based company primarily engaged in the business of manufacturing and selling alumina and aluminium. The company’s segments include Chemicals and Aluminium. The Chemicals segment includes Calcined Alumina, Alumina Hydrate and other related products.
The Aluminium segment includes aluminium ingots, wire rods, billets, strips, rolled and other related products. The company is operating an over 22.75 lakh tonne per annum (TPA) alumina refinery plant located at Damanjodi in Koraput district of Odisha and an approximately 4.60 TPA aluminium smelter located at Angul, Odisha. It also has a captive thermal power plant of over 1200 megawatt (MW) adjacent to the smelter plant.
NALCO Share Price Target 2025-30
Now let’s take a look at NALCO Share Price Target And Prediction 2025-30
Year — — — — — — — — — — — — — — — Target 2025 — — — — — — — — — — — — — — — 300 2026 — — — — — — — — — — — — — — — 325 2027 — — — — — — — — — — — — — — — 350 2028 — — — — — — — — — — — — — — — 375 2029 — — — — — — — — — — — — — — — 400 2030 — — — — — — — — — — — — — — — 425
NALCO Share Price Target : Strengths And Limitations
The company has shown good profit growth of 16.60% in the last 3 years.
The company has been maintaining a healthy ROCE of 23.16% for the last 3 years.
The cash conversion cycle of the company is efficient at -136.01 days.
The cash flow management of the company is good; CFO/PAT is 1.19.
The company has a high promoter holding of 51.28%.
The interest coverage ratio of the company is 162.74.
The PEG ratio of the company is 0.21.
The company is virtually debt free.
NALCO Target Share Price : Investment Considerations
Now take a look at NALCO Share Price Target 2025 Investment Considerations…
Strong Assets & Low Cost Position
National Aluminium Company is one of the world’s lowest cost alumina producers and based on lowest cost bauxite.
Diversified Revenues
NALCO does not earn revenue from just one place but it has multiple sources which include revenue from mining, smelting, refining, captive power, port operations and renewable energy.
Healthy Dividend Payouts
National Aluminium Company represents a good dividend payout. Interim dividend of ₹4/share (~80% of FV ₹5) reflects robust cash flow.
NALCO Target Share Price : Factors Influencing
Now take a look at factors affecting NALCO Share Price Target 2025… 
Alumina & Aluminum Price Cycles
The Company’s continued control over the alumina and aluminium price cycle through tight global supply and captive mines is expected to significantly expand margins.
Global Aluminum Demand
Improvements in infrastructure along with green energy and supply constraints from China have significantly increased the demand for commodities which directly impacts the company’s stock price.
Margin & Profit Volatility
Operating margins (10-37%) fluctuate with cyclical fluctuations which gives rise to stable profit valuations and impacts the company’s stock price.
NALCO Target Share Price : Conclusion
NALCO Share Price Target And Prediction 2025-30 blog, National Aluminium Company Limited (NALCO) is a government‑owned (51% GOI) integrated mining and metals PSU, leading in alumina, bauxite, aluminum, and renewable energy production.
The company has shown good profit growth of 16.60% in the last 3 years. The company has been maintaining a healthy ROCE of 23.16% for the last 3 years. The company’s cash conversion cycle is efficient at -136.01 days. The company has good cash flow management; CFO/PAT is 1.19.
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factbeez · 18 days ago
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IRCON Share Price Target 2025-30 : Analysis
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IRCON Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Ircon International Share Price Target 2025, 2026 to 2030.
Ircon International : About Company
Ircon International Limited is an India-based integrated engineering and construction company. The Company operates in infrastructure sectors, including railways, highways, bridges, flyovers, tunnels, metro, railway electrification, extra high voltage sub-stations, electrical and mechanical works, commercial and residential buildings, and railway production units, amongst others.
It offers engineering procurement and construction (EPC) services on a lumpsum turnkey, EPC and item-rate basis for various infrastructure projects. The Company executes coal connectivity products in joint ventures with other central public sector enterprises (CPSES) under the Ministry of Coal. In addition, it executes projects in build, operate and transfer mode and hybrid annuity mode.
Ircon International Share Price Target 2025-30
Now let’s take a look at Ircon International Share Price Target And Prediction 2025-30
Year — — — — — — — — — — — — — Target
2025 — — — — — — — — — — — — — 235
2026 — — — — — — — — — — — — — 315
2027 — — — — — — — — — — — — — 410
2028 — — — — — — — — — — — — — 552
2029 — — — — — — — — — — — — — 730
2030 — — — — — — — — — — — — — 790
Ircon International Share Price Target : Strengths
The company has shown a good profit growth of 28.72% for the Past 3 years.
The company has shown a good profit growth of 28.72% for the Past 3 years.
The company has been maintaining a healthy ROCE of 20.97% over the past 3 years.
The company has a healthy Interest coverage ratio of 10.72.
The company has an efficient Cash Conversion Cycle of -583.28 days.
The company has a high promoter holding of 65.17%.
Ircon International Target Share Price : Investment Considerations
Now take a look at Ircon International Share Price Target 2025 Investment Considerations…
Strong Government Backing
IRCON International Company operates as a public sector enterprise under the Ministry of Railways which provides a lot of benefits to the company. As IRCON, it directly benefits from policy support, consistent project flow as well as increased credibility in the infrastructure sector which attracts investors.
Robust Order Book
IRCON International’s order book ensures future revenue visibility as well as financial stability. IRCON International – Railways, Highways and Civil Construction continues to maintain a healthy order book which provides further strength to the company.
Global And Domestic Presence
IRCON International Company also operates internationally, including Sri Lanka, Bangladesh and Nepal, which means that the company is not established only in India. Due to this, the company also gets the direct benefit of geographic diversification and cross-border opportunities.
Ircon International Target Share Price : Factors Influencing
Now take a look at factors affecting Ircon International Share Price Target 2025… 
Govt Infra Initiatives
The Indian government is going to invest a lot in the railway sector in the coming time, which directly benefits the IRCON project pipeline. Therefore, India has a lot of emphasis on infrastructure development including railways and highways, which affects the share price.
Financial Performance
IRCON International has given its investors a return of 450% in the last 3 years but in the fourth quarter of financial 2025, IRCON reported a 14% year-on-year decline in consolidated profit after tax, which impacted investor sentiment.
Order Book Strength
The order book of any company can directly impact the stock price. For IRCON International a strong order book ensures revenue visibility, but delays or cancellations can significantly impact its financial position.
Ircon International Target Share Price : Conclusion
IRCON Share Price Target And Prediction 2025-30 : Complete Analysis blog, IRCON International Ltd stands as a significant player in India’s infrastructure development landscape. While the company benefits from government initiatives and a diversified project portfolio, investors should remain cognizant of financial performance and sector-specific risks.
The company has shown a good revenue growth of 34.10% for the Past 3 years. Company has been maintaining healthy ROCE of 20.97% over the past 3 years. Company is virtually debt free.
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factbeez · 22 days ago
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Waaree Energies Share Price Target 2025-30 : Free Analysis
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Waaree Energies Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Waaree Energies Share Price Target 2025, 2026 to 2030.
Waaree Energies : About Company 
Waaree Energies is a manufacturer of solar photovoltaic (PV) modules based in India. The company’s product portfolio includes a variety of PV modules, such as multicrystalline, monocrystalline and topcone modules, including flexible, bifacial (mono PERC), both framed and frameless, as well as building-integrated photovoltaic (BIPV) modules.
Waaree Energies operates five manufacturing facilities across India. Four of these are located in Gujarat at Surat, Tumb, Nandigram and Chikhli. The company’s fifth unit – the Indosolar facility – is in Noida.
Waaree Energies Share Price Target 2025-30
Now let’s take a look at Waaree Energies Share Price Target And Prediction 2025-30
Year --------------------------- Target
2025 -------------------- 1,654 2026 -------------------- 2,000 2027 -------------------- 3,725 2028 -------------------- 4,425 2029 -------------------- 5,124 2030 -------------------- 5,624
Waaree Energies Share Price Target : Strengths
The company has shown a good profit growth of 183.73% for the Past 3 years.
The company has shown a good revenue growth of 75.19% for the Past 3 years.
The company has significantly decreased its debt by 505.25 Cr.
The company has been maintaining a healthy ROE of 31.93% over the past 3 years.
The company has been maintaining a healthy ROCE of 35.97% over the past 3 years.
The company has a healthy Interest coverage ratio of 12.69.
Waaree Energies Target Share Price : Investment Considerations
Now take a look at Waaree Energies Share Price Target 2025 Investment Considerations…
Strong Industry Tailwinds
India's focus on renewable energy and its 2070 net-zero target provide a long-term growth runway. Government incentives under the PLI Scheme (Production Linked Incentive) benefit domestic manufacturers like Waaree.
Market Leadership
Waaree is one of the largest Indian solar module manufacturers, with a fast-growing global presence. Plans to expand production capacity beyond 9 GW keep it ahead of competitors.
Export Opportunity
Rising demand for non-Chinese solar modules in Europe, the US, and the Middle East strengthens export potential. Waaree is approved by major international quality standards, enabling wider market access.
Waaree Energies Target Share Price : Factors Influencing
Now take a look at factors affecting Waaree Energies Share Price Target 2025…
Government Policies 
Favourable government policies and subsidies aimed at expanding solar power generation support Waaree Energies’ growth and positively impact share prices.
Global Demand 
With international interest in renewable energy solutions growing, Waaree Energies’ global operations benefit from growing demand, which contributes to revenue and share price growth.
Technological Advancements
Innovations in solar technology that improve efficiency and reduce costs can enhance Waaree Energies’ market position and attract investor attention.
Waaree Energies Target Share Price : Conclusion
With strong government support, technological advancement and increasing emphasis on sustainable energy, Waaree Energies Limited has started a new project. The company has been maintaining good revenue growth of 75.19%, healthy ROE of 31.93%.
Along with this, the cash conversion cycle of the company is 45.03 days. The cash flow management of the company is good; CFO/PAT is 2.41. The promoter stake in the company is 64.30%. But the company is trading at a high EV/EBITDA of 62.60 and Waaree Energies Share Price Target 2025 is Rs 5,000. 
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factbeez · 24 days ago
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Canara Bank Share Price Target 2025-30 : Complete Analysis
Canara Bank Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Canara Bank Share Price Target 2025, 2026 to 2030
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Canara Bank : About Company
The Canara Bank Limited (the Bank) is an India-based bank. The Bank’s segments include Treasury Operations, Retail Banking Operations, Wholesale Banking Operations, Life Insurance Operations and Other Banking Operations. The Bank’s diversified products and services include personal banking and corporate banking.
Its personal banking includes depository services, mutual funds, ancillary services, technology products, retail loan products, micro, small and medium enterprise loan products and card services, among others. Its corporate banking includes accounts and deposits, supply chain finance management, syndication services and technology upgradation fund schemes, among others.
Canara Bank Share Price Target 2025-30 
Now let’s take a look at Canara Bank Share Price Target And Prediction 2025-30
Year --------------------------- Target
2025 -------------------- 147 2026 -------------------- 207 2027 -------------------- 245 2028 -------------------- 286 2029 -------------------- 325 2030 -------------------- 367
Canara Bank Share Price Target : Strengths And Limitations
Strengths 
The company has a good Return on Equity (ROE) track record: 3 Years ROE 15.95%.
The company has delivered good Profit growth of 78.53% over the past 3 years.
Good Capital Adequacy Ratio of 16.28%.
Limitations
The bank has a very low ROA track record. Average ROA of 3 years is 0.78%
CASA Growth of -1.19% YoY, which is very low.
High Cost to income ratio of 47.04%.
Canara Bank Target Share Price : Investment Considerations
Now take a look at Canara Bank Share Price Target 2025 Investment Considerations…
Financial Performance
Canara Bank showed a significant increase of 33.15% in net profit in FY 2025. Along with this, let us tell you that Canara Bank has also shown consistent growth in its loan portfolio and profitability.
Asset Quality
Canara Bank’s gross NPA decreased from 4.23% to 2.94% and net NPA decreased from 1.27% to 0.70%. On this basis, it can be said that the bank has improved its asset quality significantly.
Capital Adequacy
Canara Bank has maintained a good strong Capital Adequacy Ratio (CRAR) of 16.33% to support its good future growth.
Canara Bank Target Share Price : Factors Influencing
Now take a look at factors affect Canara Bank Share Price Target 2025…
Asset Quality (NPAs)
Improvement in asset quality by Canara Bank usually leads to an increase in price targets as gross and net non-performing assets (NPA) levels significantly impact investor confidence.
Profitability Metrics
Canara Bank’s key indicators such as net profit, net interest margin (NIM) and return on assets (ROA) etc. drive future earnings expectations which directly impact the bank’s stock price forecasts.
Interest Rate Environment
Changes in Reserve Bank of India policy rates impact loan margins and deposit costs, which may influence the bank’s operating income and investor sentiment.
Canara Bank Target Share Price : Conclusion 
Canara Bank Share Price Target And Prediction 2025-30 : Complete Analysis blog, Canara Bank continues to demonstrate resilience and adaptability in a dynamic market environment. While analyst targets suggest moderate growth potential, investors should do thorough research and consider their investment horizon and risk tolerance before making a decision.
According to data the company has a good Return on Equity (ROE) track record: 3 Years ROE 15.95%. The company has delivered good Profit growth of 78.53% over the past 3 years. The bank has a very low ROA track record. Average ROA of 3 years is 0.78%.
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factbeez · 25 days ago
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Hyundai Motor India Share Price Target 2025-30 : Complete Analysis
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Hyundai Motor India Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Hyundai Motor India Share Price Target 2025, 2026 to 2030.
Hyundai Motor India : About Company
Hyundai Motor India Limited (HMIL) is the Indian subsidiary of the South Korean automobile manufacturer Hyundai Motor Company. It is the second largest car manufacturer in India by sales.
Hyundai Motor India Limited was formed on 6 May 1996 by the Hyundai Motor Company of South Korea. When Hyundai Motor Company entered the Indian automobile market in 1996 the Hyundai brand was almost unknown throughout India.
Hyundai Motor India Share Price Target And Prediction 2025-30
Now let’s take a look at Hyundai Motor India Share Price Target And Prediction 2025-30
Year --------------------------- Target
2025 -------------------- 1,450 2026 -------------------- 1,700 2027 -------------------- 1,950 2028 -------------------- 2,200 2029 -------------------- 2,432 2030 -------------------- 2,800
Hyundai Motor India Share Price Target : Strengths 
Now let’s take a look at the company’s Strengths to get more details on Hyundai Motor India share price target and this data is according to Ticker.finology.in…
The company has shown a good revenue growth of 19.00% for the Past 3 years.
The company has significantly decreased its debt by 385.07 Cr.
The company has been maintaining a healthy ROE of 27.73% over the past 3 years.
The company has been maintaining a healthy ROCE of 35.72% over the past 3 years.
The company is virtually debt free.
The company has a healthy Interest coverage ratio of 52.25.
The company's PEG ratio is 0.98.
Hyundai Motor India Target Share Price : Investment Considerations
Now take a look at Investment Considerations factors of Hyundai Motor India Share Price Target 2025
Electric Vehicle Leadership
Hyundai Motors is investing heavily in Hyundai EV R&D and infrastructure to further develop the new model and the new model is expected to dominate the urban markets.
Brand Equity & Customer Loyalty
Hyundai Motors being a big and strong brand also has strong long term investor sentiment in the Indian automobile market which attracts people towards it.
Global Export Performance
Hyundai Motors Hyundai’s manufacturing in India drives significant exports to Latin America, Africa and Asia, generating diversified revenues for the company.
Hyundai Motor India Target Share Price : Factors Influencing
Now take a look at factors affecting Hyundai Motor India Share Price Target 2025…
Electric Vehicle (EV) Expansion
Hyundai’s aggressive move into the EV market with models like Ioniq and Kona will determine future revenue streams. Along with this, government support and growing enthusiasm for TV cards among people affects the company’s share price.
Domestic & Export Sales Volume
Hyundai Motors launches in SUV and hatchback segments are the key drivers. Along with this, the company’s strong sales performance in both domestic and export markets attracts investors and increases confidence.
Raw Material & Input Costs
The factors that affect the company’s earnings and valuation include the cost of steel, semiconductor chips and batteries. Fluctuations in these directly impact the company’s margins, which in turn impacts the stock price.
Hyundai Motor India Target Share Price : Conclusion 
Hyundai Motors is investing heavily in Hyundai EV R&D and infrastructure to further develop the new model and the new model is expected to dominate the urban markets. But the factors that affect the company’s earnings and valuation include the cost of steel, semiconductor chips and batteries.
The company has an efficient Cash Conversion Cycle of -20.33 days. The company has a high promoter holding of 82.50%. Promoter stake has increased from 0% to 82.50% in the last 1 quarter. The company has contingent liabilities of 4,429.08 Cr.
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factbeez · 28 days ago
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Power Finance Corporation Share Price Target And Forecast 2025-30 : Complete Analysis 
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Power Finance Corporation Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about Power Finance Corporation Share Price Target 2025, 2026 to 2030. 
Power Finance Corporation : About Company
Power Finance Corporation Limited is an India-based non-banking financial company. The Company is primarily engaged in providing financial assistance to the power sector.
The Company’s fund-based products include project term loans, lease financing for the purchase of equipment, short/medium-term loan to equipment manufacturers, grants/interest-free loans for studies/consultancies, corporate loan, line of credit for import of coal, buyer’s line of credit, lease financing for wind power projects, debt refinancing and credit facility for the purchase of power through power exchange. Its non-fund-based products include deferred payment guarantee, letter of comfort (LoC), guarantee for the performance of contract/ obligations with regards to fuel supply agreement (FSA) and policy for a guarantee of credit enhancement.
Power Finance Corporation Share Price Target And Prediction 2025-30
Now let’s take a look at Power Finance Corporation Share Price Target And Prediction 2025-30 
Year --------------------------- Target
2025 -------------------- 600 2026 -------------------- 730 2027 -------------------- 900 2028 -------------------- 1,130 2029 -------------------- 1,295 2030 -------------------- 1,452
Power Finance Corporation Share Price Target : Strengths
Company has a healthy Return on Equity (ROE) track record of 18.54%.
Company has a healthy Return on Equity (ROE) track record of 18.54%.
Promoters shareholding is 55.99%.
Power Finance Corporation Target Share Price : Investment Considerations
Now take a look at Investment Considerations factors of Power Finance Corporation Share Price Target 2025
Financial Performance
Power Finance Corporation displays a strong financial health as it has recorded consistent growth in net profit and net interest income.
Dividend Yield
Power Finance Corporation Company appeals to income-focused investors as the company offers an attractive dividend yield of 3.84%.
Valuation Metrics
PFC’s stock is trading at a price-to-earnings ratio (P/E) of 5.91 and a price-to-book (P/B) ratio of 1.01, indicating reasonable valuation compared to industry peers.
Power Finance Corporation Target Share Price : Factors Influencing
Now take a look at factors affecting Power Finance Corporation Share Price Target 2025…
Interest Rate Environment
Power Finance Corporation being a lending institution, is highly vulnerable to changes in interest rates. An increase in interest rates may increase the cost of borrowing which may have a direct impact on the net interest margin of the company and thereby affect the profitability and share price of the company.
Government Policy & Power Sector Reforms
As you all know PFC mainly finances the power sector which is directly impacted by government policies. Government policies related to power distribution reforms, renewable energy promotion have a direct impact on the quality of its loan book and growth prospects.
Credit Ratings & Asset Quality
Changes in the credit rating of Power Finance Corporation by agencies like CRISIL or ICRA impact the company’s ability to raise funds at a lower cost which has a direct impact on the company’s share price And investor confidence could wane.
Power Finance Corporation Target Share Price : Conclusion 
Power Finance Corporation Share Price Target And Prediction 2025-30 : Complete Analysis blog, The company continues to display flexibility and adaptability in the changing dynamic market environment, making it the first choice of investors.
Talking about the financial performance of the company in the last 5 years, the company has given a very good performance and has also provided dividends to the investors.
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factbeez · 1 month ago
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HUL Share Price Target And Forecast 2025-30 : Complete Analysis
HUL Share Price Target : Although there are lakhs of shares listed in the stock market, today we are going to tell you about such a stock which can go up a lot in the coming time. This article will provide more details about HUL Share Price Target 2025, 2026 to 2030.
Hindustan Unilever : About Company
Hindustan Unilever Limited is an India-based consumer goods company. The Company operates through five segments: Beauty & Wellbeing, Personal Care, Home Care, Nutrition, and Ice Cream. 
Its Beauty & Wellbeing segment is engaged in the sales of hair care (shampoo, conditioner, styling), skin care (face, hand, and body moisturizers) and includes Prestige Beauty and Health & Wellbeing.
Its Personal Care segment is engaged in the sales of skin cleansing (soap, shower), deodorant and oral care (toothpaste, toothbrush, mouthwash) products.
HUL Share Price Target And Forecast 2025–30
Now let’s take a look at HUL Share Price Target And Forecast 2025–30…
Year --------------------------- Target
2025 -------------------- 3,620 2026 -------------------- 4,141 2027 -------------------- 4,739 2028 -------------------- 5,424 2029 -------------------- 6,207 2030 -------------------- 7,104
HUL Share Price Target : Strengths And Limitations
Strengths
1. The Company has been maintaining an effective average operating margins of 21.31% in the last 5 years.
2. Company has been maintaining healthy ROCE of 26.29% over the past 3 years.
3. The company has an efficient Cash Conversion Cycle of -97.50 days.
4. The company has a good cash flow management; CFO/PAT stands at 1.14.
5. The company has a high promoter holding of 61.90%.
Limitations
1. The company has shown a poor revenue growth of 9.55% for the Past 3 years.
2. The company has shown a poor profit growth of 8.34% for the Past 3 years.
3. The company is trading at a high PE of 51.69.
4. The company is trading at a high EV/EBITDA of 35.10.
HUL Target Share Price : Key Investment Highlights
Now take a look at Hindustan Unilever Share Price Target 2025 Key Investment Highlights…
Investment Considerations
HUL’s extensive brand portfolio coupled with the strong performance of FMCG segment in the market demonstrates Hindustan Unilever’s strong position as a leader in the sector.
Financial Stability
Hindustan Unilever Company maintains a healthy and good balance sheet along with consistently paying dividends to its investors which attracts long term investors.
Growth Potential
Strategic acquisitions and expansion into emerging markets present opportunities for sustained growth.
HUL Target Share Price : Factors Influencing
Now take a look at factors affect Hindustan Unilever Target Share Price…
Revenue Growth & Profit Margins
Top revenue growth and strong operating profit margins are a direct driver of company investor sentiment. Expansion in its partner product lines and improved margins could lead to higher earnings.
Raw Material Costs
HUL’s cost of sales is directly affected by the cost of raw materials such as palm oil, packaging and chemicals etc. Fluctuations in these costs can impact the company’s margins and also affect the share price.
Rural Vs Urban Consumption Trends
HUL company generates a large part of its revenue from rural India. Now the slowdown or increase in rural demand (due to monsoon, government policies etc.) can affect the company’s performance and stock characteristics.
HUL Share Price Target : Conclusion 
HUL Share Price Target And Forecast 2025–30 : Complete Analysis blog, Hindustan Unilever Ltd. continues to demonstrate resilience and adaptability in a dynamic market environment. While analyst targets suggest moderate upside potential.
Company has been maintaining healthy ROCE of 26.29% over the past 3 years. The company has an efficient Cash Conversion Cycle of -97.50 days. The company has a good cash flow management; CFO/PAT stands at 1.14. 
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factbeez · 1 month ago
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