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FUNDVISER CAPITAL (INDIA) LTD.

15 June 2026 | 12:00

Industry >> Finance & Investments

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ISIN No INE365H01014 BSE Code / NSE Code 530197 / FUNDVISER Book Value (Rs.) 81.34 Face Value 10.00
Bookclosure 20/09/2024 52Week High 484 EPS 2.38 P/E 153.10
Market Cap. 288.35 Cr. 52Week Low 143 P/BV / Div Yield (%) 4.49 / 0.00 Market Lot 1.00
Security Type Other
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Quarterly Trends

Fundviser Capital (India) Ltd. 360 ONE Asset Management Ltd.
Year Ends (Months) 202603(3) 202512(3)
OprtIncome Fundviser Capital (India) Ltd. 6.36 3.64 360 ONE Asset Management Ltd. - -
OtherRecurrInc Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. -
Operating profit Fundviser Capital (India) Ltd. -1.15 1.31 360 ONE Asset Management Ltd. - -
GrossProfit Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. - -
ReportedPAT Fundviser Capital (India) Ltd. -0.99 0.91 360 ONE Asset Management Ltd. - -
Equity Capital Fundviser Capital (India) Ltd. 7.90 5.92 360 ONE Asset Management Ltd. - -
OPM Fundviser Capital (India) Ltd. -18.01 36.08 360 ONE Asset Management Ltd. - -
GPM Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. - -
NPM Fundviser Capital (India) Ltd. -15.54 0.00 360 ONE Asset Management Ltd. - -

Annual Trends

Fundviser Capital (India) Ltd. 360 ONE Asset Management Ltd.
Year Ends (Months) 202603(12) 202503(12) 202503(12) 202403(12)
OperatingIncome Fundviser Capital (India) Ltd. 11.70 1.94 360 ONE Asset Management Ltd. 399.79 284.83
OperatingProfit Fundviser Capital (India) Ltd. 0.88 0.35 360 ONE Asset Management Ltd. 180.78 104.34
OtherRecurrInc Fundviser Capital (India) Ltd. 0.00 0.23 360 ONE Asset Management Ltd. 21.70 51.24
AdjustedPBT Fundviser Capital (India) Ltd. 0.55 0.56 360 ONE Asset Management Ltd. 198.71 148.80
ReportedPAT Fundviser Capital (India) Ltd. 0.44 0.43 360 ONE Asset Management Ltd. 147.02 238.47
EquityDividend Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. 0.00 0.00
EquityCapital Fundviser Capital (India) Ltd. 7.90 5.15 360 ONE Asset Management Ltd. 32.10 32.10
PreferenceCapital Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. 0.00 0.00
ResAndSurplus Fundviser Capital (India) Ltd. 50.39 10.32 360 ONE Asset Management Ltd. 252.02 133.67
LoanFunds Fundviser Capital (India) Ltd. 3.01 0.00 360 ONE Asset Management Ltd. 0.00 118.04
AL_CurrentLiabilities Fundviser Capital (India) Ltd. 0.36 0.22 360 ONE Asset Management Ltd. 82.29 72.29
NetBlock Fundviser Capital (India) Ltd. 0.17 0.05 360 ONE Asset Management Ltd. 5.49 9.79
Investments Fundviser Capital (India) Ltd. 21.42 11.53 360 ONE Asset Management Ltd. 132.57 134.11
TotCurrentAssets Fundviser Capital (India) Ltd. 40.07 5.23 360 ONE Asset Management Ltd. 227.77 211.69

Ratios

Fundviser Capital (India) Ltd. 360 ONE Asset Management Ltd.
Year Ends (Months) 202603(12) 202503(12) 202503(12) 202403(12)
OPM Fundviser Capital (India) Ltd. 7.53 17.77 360 ONE Asset Management Ltd. 45.21 36.63
NPM Fundviser Capital (India) Ltd. 3.74 22.19 360 ONE Asset Management Ltd. 36.77 83.72
Reported EPS Fundviser Capital (India) Ltd. 0.55 0.83 360 ONE Asset Management Ltd. 45.80 74.29
Return on Networth Fundviser Capital (India) Ltd. 0.75 2.78 360 ONE Asset Management Ltd. 51.74 143.85
Debt/ Equity Fundviser Capital (India) Ltd. 0.05 0.00 360 ONE Asset Management Ltd. 0.00 0.71
Financial Charges Coverage Ratio Fundviser Capital (India) Ltd. 3.16 370.77 360 ONE Asset Management Ltd. 92.04 26.69
Current Ratio Fundviser Capital (India) Ltd. 110.07 23.46 360 ONE Asset Management Ltd. 2.77 2.93
Dividend per share Fundviser Capital (India) Ltd. 0.00 0.00 360 ONE Asset Management Ltd. 0.00 0.00