Vikalp Securities Ltd
₹28.53
(-0.49%)
Tue, 03 Mar 2026, 00:47 pm
Vikalp Securities Ratios
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Vikalp Securities Ltd Ratios
The Vikalp Securities Ltd Ratios page provides a complete fundamental analysis of Vikalp Securities Ltd using key valuation, profitability, and financial strength metrics. Investors tracking Vikalp Securities Ltd Ratios closely monitor D/E, EV, EV/EBITDA, P/B, P/CF, P/E, P/S, and ROE% to evaluate the company's financial performance and valuation trends over time.
Vikalp Securities Ltd (NSE: , BSE: 531334) is currently trading at ₹28.53, with a market capitalization of ₹0. As a major player in the Finance sector and Investment banks/Brokers industry, Vikalp Securities Ltd remains a key stock for fundamental analysis using Vikalp Securities Ltd Ratios.
Vikalp Securities Ltd Ratios: Valuation Overview
Price to Earnings Ratio (P/E)
The Vikalp Securities Ltd P/E ratio currently stands at 0, making it one of the most tracked metrics in Vikalp Securities Ltd Ratios.
Historically, the Vikalp Securities Ltd P/E ratio has shown strong fluctuations:
The decline in Vikalp Securities Ltd P/E ratio suggests improving earnings relative to stock price.
Price to Book Ratio (P/B)
The Vikalp Securities Ltd P/B ratio reflects how the market values the company's net assets. Current P/B ratio is 0.
Historical P/B trend:
Vikalp Securities Ltd shows reasonable valuation compared to its asset base.
Price to Sales Ratio (P/S)
The Vikalp Securities Ltd P/S ratio currently stands at 0, an important part of Vikalp Securities Ltd Ratios for revenue valuation.
Historical P/S ratio:
A stable or declining Vikalp Securities Ltd P/S ratio indicates cautious market sentiment.
Vikalp Securities Ltd Price to Cash Flow Ratio (P/CF)
The Vikalp Securities Ltd Price to Cash Flow Ratio is a key valuation metric that shows how much investors pay for each unit of cash flow. Current P/CF ratio is 0.
Historical Vikalp Securities Ltd Price to Cash Flow Ratio:
The declining Vikalp Securities Ltd Price to Cash Flow Ratio suggests improving cash flow strength.
Vikalp Securities Ltd Enterprise Value Ratios
Enterprise Value (EV)
The Vikalp Securities Ltd EV currently stands at ₹0, representing the total company valuation including debt.
Historical EV trend:
Vikalp Securities Ltd enterprise value consolidation suggests stable valuation.
EV/EBITDA Ratio
The Vikalp Securities Ltd EV/EBITDA ratio is currently 0, a key metric in Vikalp Securities Ltd Ratios to assess valuation relative to earnings.
Historical EV/EBITDA:
Stable Vikalp Securities Ltd EV/EBITDA indicates balanced valuation.
Vikalp Securities Ltd Financial Strength Ratios
Debt to Equity Ratio (D/E)
The Vikalp Securities Ltd D/E ratio is currently 0, reflecting leverage and financial stability.
Historical D/E:
Vikalp Securities Ltd maintains a strong balance sheet with low debt levels.
Return on Equity (ROE %)
The Vikalp Securities Ltd ROE currently stands at 0%, showing profitability and capital efficiency.
Historical ROE:
Declining ROE indicates pressure on profitability.
Vikalp Securities Ltd Ratios Analysis Summary
The Vikalp Securities Ltd Ratios page provides a comprehensive view of the company's valuation and financial performance. Key metrics such as P/E, P/B, P/S, P/CF, EV, EV/EBITDA, D/E, and ROE help investors understand whether Vikalp Securities Ltd stock is undervalued, fairly valued, or overvalued.
Tracking Vikalp Securities Ltd Ratios regularly helps investors make informed decisions based on valuation trends, financial stability, and long-term growth potential.
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Pocketful Fintech Capital Private Limited (CIN U65999DL2021PTC390548) | The SEBI Registration No. allotted to us is INZ000313732. NSE Member Code: 90326 | BSE Member Code: 6808 | MCX Member Code: 57120 DP | CDSL: 12099800