Aavas Financiers Ltd. – Stock Analysis & Fundamentals

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Aavas Financiers Ltd. is a housing finance company specializing in loans for low- and middle-income self-employed individuals in semi-urban and rural areas.

Fundamental Highlights (FY 2023-24)
  • Total Assets: ₹16,258.38 crore
  • Net Worth: ₹3,773.32 crore
  • Debt: ₹12,398.30 crore (Debt-to-Equity Ratio: 3.28)
  • Total Income: ₹2,020.30 crore
  • Profit After Tax: ₹490.69 crore
  • Assets Under Management (AUM): ₹17,312.65 crore
  • Return on Assets (ROA): 3.05%
  • Return on Equity (ROE): 14.4%
  • Net Profit Margin: 24.83%

Stock Performance & Shareholding (March 2025)
  • Stock Price: ₹2,084.05 (NSE), ₹2,092.45 (BSE)
  • Market Cap: ₹15,141 crore (Mid-cap)
  • P/E Ratio: 26.89
  • P/B Ratio: 3.61
  • Shareholding Pattern:
  • Foreign Promoters: 26.47%
  • Mutual Funds: 22.29%
  • FIIs: 33.97%
  • DIIs: 2.69%
  • Others: 14.58%

Technical Analysis
  • All-Time High: ₹3,340 (31st Jan 2022)
  • Major Correction: -60.87% to ₹1,307 (26th March 2024)
  • Breakout Level: ₹2,068 (recent consolidation breakout)

Bullish Targets (if sustained above ₹2,068):
  • ₹2,310
  • ₹2,510
  • ₹2,865

Reversal Zone (if rejected): ₹1,801 - ₹1,908

Conclusion
Aavas Financiers is fundamentally strong, with solid revenue growth and stable asset quality. If the price sustains above ₹2,068, we may see a bullish rally. However, failure to hold could lead to a pullback toward ₹1,801–₹1,908.

Penafian

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