C

Crest Ventures Limited

CRESTNSE
Market snapshot · 2026-08-11 13:41 UTC

368.65

+₹3.40 (+0.93%)

MARKET CAP

₹1.04K Cr

STOCK P/E

22.4x

52W HIGH

₹418.00

52W LOW

₹298.15

BOOK VALUE

₹462.39

EPS

₹16.47

ROE

3.75%

SECTOR

Financials

GROSS NPA

0.00%

VOLUME

6,588

P/B RATIO

0.80x

NET NPA

0.00%

Sector

Financials

Themes

Asset Management
D
Dividend
₹402.15₹379.09₹356.03₹332.96₹309.90VolumeDAug '25Sep '25Nov '25Jan '26Mar '26Apr '26Jun '26Aug '26

AI Summary

✦ Clartha

Forecast

Analyst targets, estimate history, and probabilistic forward ranges for CREST.

Coverage check

Price Forecast

Current
₹368.65
High Target
Median Target
Low Target
Now₹368.65Aug '25Now12M Target
Price history (1Y)
Analyst target range

Probabilistic Range

Probabilistic lognormal cone using 1Y realized volatility and analyst-target drift when available.

Time horizonRange ()Probability
3M₹292.32 - ₹451.3180%
6M₹263.24 - ₹486.5180%
12M₹225.02 - ₹536.3580%
Realized vol: +33.9% · Drift: -0.2%

Revenue Forecast

₹ Cr
Mar '26Current₹22.0
Sep 2026 ETrend estimate range
High₹15.9Base₹14.7Low₹13.5
Jun '25: ₹49.0 · Sep '25: ₹21.0 · Dec '25: ₹25.0 · Mar '26: ₹22.0 · Sep '26: ₹14.7 · Dec '26: ₹17.5
Jun '25Sep '25Dec '25Mar '26Sep '26 EDec '26 E49.021.025.022.014.717.5
PastCurrentTrend estimate: Low / Base / High

EPS Forecast

₹ / share
Mar '26Current₹2.30
Sep 2026 ETrend estimate range
High₹0.82Base₹0.73Low₹0.64
Jun '25: ₹7.77 · Sep '25: ₹0.99 · Dec '25: ₹2.82 · Mar '26: ₹2.30 · Sep '26: ₹0.73 · Dec '26: ₹2.08
Jun '25Sep '25Dec '25Mar '26Sep '26 EDec '26 E7.770.992.822.300.732.08
PastCurrentTrend estimate: Low / Base / High
Analyst price target unavailable from FMP/yfinance. EPS forecast unavailable from FMP/yfinance. Analyst pillar unavailable from FMP/yfinance.
Market Intelligence

Multi-factor synthesis of 5 key dimensions

Overall Outlook
Mixed
51%
Analyst Consensus
Unavailable

Analyst coverage unavailable

Mean upsideNot available

Fundamentals

Weakening

Fundamentals institutional score is 25 using EVA spread proxy -8.2%; growth durability 50.0.

Valuation

Fairly valued

Valuation institutional score is 53 using relative multiple z-scores where peer dispersion is available.

Analyst Consensus

Unavailable

No usable analyst target or recommendation data was available.

Technical Structure

Strong Trend

Technicals institutional score is 70 using EMA-20 continuation within 5% tolerance; VCP range/volume contraction proxy.

Market Sentiment

Neutral backdrop

Recent news flow is balanced or not decisive enough to tilt the tape. Based on 10 recent ticker-linked news items.

Signal Summary

Market intelligence remains Mixed. technical structure and market sentiment provide support, while fundamentals and valuation remain considerations.

Composite weights: Fundamentals 25%, Valuation 20%, Analyst Consensus 20%, Technical Structure 20%, Market Sentiment 15%.

Fundamentals WeakeningValuation Fairly valuedTechnical Structure Strong TrendMarket Sentiment Neutral backdrop

Key Data Points

Mean Target PriceUnavailable
Mean UpsideNot available
Technical Score70%
Fundamental Score25%
Data CoverageMedium

Important Note: This is market intelligence, not investment advice. Always conduct your own research and consider your financial goals and risk tolerance.

Valuation Metrics

Trading 0.3% below historical median. Valuation is stable — currently in the undervalued zone (z-score: -0.04). Confidence: 83%.

Forward Valuation Outlook

Forward outlook is unavailable because live next-12-month estimate data is not available for this ticker right now.

P/B
Undervalued

5Y Average

0.84

Current

0.79

Overvalued

0.96

Undervalued

0.71

P/E
Undervalued

5Y Average

18.06

Current

22.89

Overvalued

25.05

Undervalued

21.46

P/S
Overvalued

5Y Average

5.28

Current

6.48

Overvalued

6.73

Undervalued

3.13

Peers & Comparison

Sector: Financials · Theme: Asset Management

Asset Management Peers8 peers
Avg P/E: 42.6x
CompanyRev. GrowthMarginP/Evs Avg52W Perf.
ABANS FINANCIAL SRVCS LTD
AFSLAsset Management
+718.9%0.4%
10.2x
Undervalued
-76% vs avg
-8.6%
ADIT BIRL SUN LIF AMC LTD
ABSLAMCAsset Management
+10.6%47.6%
29.3x
Undervalued
-31% vs avg
+20.7%
ICICI PRUDENTIAL AMC LTD
ICICIAMCAsset Management
+18.1%55.5%
43.4x
Fair
+2% vs avg
+18.1%
HDFC AMC LIMITED
HDFCAMCAsset Management
+13.4%61.6%
36.7x
Fair
-14% vs avg
-6.9%
BAJAJ HOLDINGS & INVS LTD
BAJAJHLDNGAsset Management
+24.2%734.6%
14.5x
Undervalued
-66% vs avg
-19.8%
NIPPON L I A M LTD
NAM-INDIAAsset Management
+24.5%52.5%
46.3x
Fair
+9% vs avg
+46.9%
TATA INVESTMENT CORP LTD
TATAINVESTAsset Management
+4.1%105.2%
81.8x
Premium
+92% vs avg
-0.2%
ANAND RATHI WEALTH LTD
ANANDRATHIAsset Management
+52.1%33.2%
78.4x
Premium
+84% vs avg
+52.5%
WHY THESE PEERS

Comparable-scale peer data is limited — showing nearest stored business/industry peers instead of an empty comparison.

Financials

Real statement data for revenue, earnings quality, conversion, and balance-sheet coverage. Monetary values are shown in Rs crore.

Latest revenue

₹22 CrMar 2026

Latest net profit

₹6.54 CrMar 2026

Free cash flow

₹276 CrMar 2026

Net Profit

₹6.54 CrProfit conversion

Performance

Bars show revenue and net profit. The line shows net margin.

Rs crore + margin %
Q4 '25Q1 '26Q2 '26Q3 '26Q4 '260.00 Cr15 Cr30 Cr45 Cr60 Cr
  • Revenue
  • Net income
  • Net margin %

Revenue to profit conversion

Bridge from operating numbers to profit for the latest reported period.

Rs crore
Total incomeInterestOtheradjustmentsProfitbefore taxTax &minorityNet Profit0.00 Cr6.00 Cr12 Cr18 Cr24 Cr

Latest reported period: Mar 2026

Debt level and coverage

Debt, cash and free cash flow compared on the same crore scale.

Rs crore
Debt free
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026-600 Cr0.00 Cr600 Cr1.20K Cr1.80K Cr
  • Free cash flow
  • Cash & equivalents

Results

MetricMar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Revenue +18.9924.6151.6839.0624.3365.1627.3135.2136.4249.0720.7824.8521.83
Interest1.805.325.515.745.995.704.844.764.624.324.985.255.39
Expenses +8.687.437.9821.7510.764.093.2614.5123.7614.3111.008.086.78
Financing Profit8.5111.8638.1911.577.5855.3719.2115.948.0430.444.8011.529.66
Financing Margin %44.81%48.19%73.90%29.62%31.15%84.98%70.34%45.27%22.08%62.03%23.10%46.36%44.25%
Other Income +0.120.000.080.010.160.000.000.010.030.000.000.000.16
Depreciation0.810.730.740.770.760.421.060.760.760.690.821.241.25
Profit before tax7.8211.1337.5310.816.9854.9518.1515.197.3129.753.9810.288.57
Tax %-25.32%25.97%21.66%29.79%36.53%17.29%4.96%25.87%33.24%25.71%29.15%21.89%23.69%
Net Profit +9.798.2429.417.594.4345.4517.2411.254.8822.102.828.036.54
EPS in Rs3.442.9010.342.671.5615.986.063.951.727.770.992.822.30
Gross NPA %
Net NPA %
Raw PDF

All values in ₹ Crores unless otherwise stated. Source: Screener Master (Standalone).

Shareholding Pattern

HolderJun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Promoters +69.75%69.75%69.75%69.75%69.84%
FIIs +1.63%1.63%1.63%1.71%1.71%
Public +27.74%27.73%27.71%27.90%27.81%
Others0.88%0.89%0.91%0.64%0.64%
Jun 2026
Promoters +
FIIs +
Public +
Others

Events Timeline

Board Meeting Intimation for Approval Of The Un-Audited Financial Results (Standalone And Consolidated) For The Quarter Ended June 30, 2026.

Aug 05, 2026PDFCompany Reports Open

Announcement under Regulation 30 (LODR)-Retirement

Jul 31, 2026PDFCompany Reports Open

Announcement under Regulation 30 (LODR)-Newspaper Publication

Jul 31, 2026PDFCompany Reports Open

Letter To Members Pursuant To Regulation 36(1)(B) Of The SEBI (LODR) Regulations, 2015

Jul 29, 2026PDFCompany Reports Open

Reg. 34 (1) Annual Report.

Jul 29, 2026PDFCompany Reports Open