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Choice International Ltd: Stock Analysis & Fundamentals

Updated this week

Choice International Ltd (Finance - Capital Markets - Brokers) — fundamental analysis, earnings data, and key metrics. PE: 68.4. ROE: 19.6%. This stock is not currently in the Nifty 500 momentum outperformers list.

What's Happening

💪Debt reduced 28% YoY — balance sheet strengthening
👔Promoter stake down 1.6% this quarter

Key Numbers

Current Price
₹642
Market Cap
14.3K Cr
Valuation
N/A

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Frequently Asked Questions: Choice International Ltd

Based on publicly available financial data. This is educational research, not investment advice.

What were Choice International Ltd's latest quarterly results?

Choice International Ltd's latest quarterly results (Dec 2025) show

  • PAT Growth YoY: +112.9%
  • Revenue Growth YoY: +45.0%
  • Operating Margin: 37.0%

What is Choice International Ltd's current PE ratio?

Choice International Ltd's current PE ratio is 68.4x.

  • Current PE: 68.4x
  • Market Cap: 14.3K Cr

What is Choice International Ltd's price-to-book ratio?

Choice International Ltd's price-to-book ratio is 11.7x.

  • Price-to-Book (P/B): 11.7x
  • Book Value per Share: ₹55
  • Current Price: ₹642

Is Choice International Ltd a fundamentally strong company?

Choice International Ltd's fundamental strength based on key financial ratios

  • Return on Capital (ROCE): 20.0%

Is Choice International Ltd debt free?

Choice International Ltd has a debt-to-equity ratio of N/A.

  • Total Debt: ₹488 Cr

What is Choice International Ltd's return on equity (ROE) and ROCE?

Choice International Ltd's return ratios over recent years

  • FY2023: ROCE 16.0%
  • FY2024: ROCE 25.0%
  • FY2025: ROCE 20.0%

Is Choice International Ltd's cash flow positive?

Choice International Ltd's operating cash flow is negative (FY2025).

  • Cash from Operations (CFO): ₹-294 Cr
  • Free Cash Flow (FCF): ₹-455 Cr
  • CFO/PAT Ratio: -180% (weak cash conversion)

What is Choice International Ltd's dividend yield?

Choice International Ltd currently does not pay a significant dividend (yield 0.00%).

  • Dividend Yield: 0.00%
  • Current Price: ₹642

Who holds Choice International Ltd shares — promoters, FII, DII?

Choice International Ltd's shareholding pattern (Dec 2025)

  • Promoters: 53.7%
  • FII (Foreign): 12.2%
  • DII (Domestic): 0.3%
  • Public: 33.9%

Is promoter holding increasing or decreasing in Choice International Ltd?

Choice International Ltd's promoter holding has decreased recently.

  • Current Promoter Holding: 53.7% (Dec 2025)
  • Previous Quarter: 56.6% (Sep 2025)
  • Change: -2.95% (decreasing — worth monitoring)

Is Choice International Ltd a new momentum entry or an established outperformer?

Choice International Ltd is an established outperformer with 1 weeks of consecutive Nifty 500 outperformance.

Is Choice International Ltd worth studying for long term investment?

Based on quantitative research signals, here is why Choice International Ltd may be worth studying

  • Currently showing mixed signals — monitor for clearer trend confirmation

What is the investment thesis for Choice International Ltd?

Choice International Ltd investment thesis summary:

What is the future outlook for Choice International Ltd?

Choice International Ltd's forward outlook based on current data signals

  • Insufficient data for a forward assessment — monitoring for more signals

The above FAQs are generated from publicly available earnings data and conference call transcripts. This is educational research only. Sector Alpha is not SEBI registered and does not provide investment advice.