With a -0.23% decrease, Coal India Ltd's share price is now ₹383.55. Investors should examine the factors driving this decline. The stock's PE ratio is 6.8900, whereas the industry PE ratio stands at 9.4468.
With a -0.23% decrease, Coal India Ltd's share price is now ₹383.55. Investors should examine the factors driving this decline. The stock's PE ratio is 6.8900, whereas the industry PE ratio stands at 9.4468.
IndusInd Bank Ltd's share price has experienced a notable 0.01% upswing, and it's currently trading at ₹850.50 per share. Investors are closely watching this development.
In recent times, Suzlon Energy Ltd witnessed a decline of -0.18% in its share price, and it currently trades at ₹56.17 per share. The stock has an ROE of 21.3476% and debt to equity ratio of 0.0616.
With a -0.09% decrease, UltraTech Cement Ltd's share price is now ₹11,645.00. Investors should examine the factors driving this decline. The stock's PE ratio is 56.7900, whereas the industry PE ratio stands at 45.2412.
Avenue Supermarts Ltd's share price has fallen by -0.07%, a situation worth noting. At present, the stock is trading at ₹4,052.35. Investors might find this a moment to reassess their positions. The stock's current Price-to-Earnings (PE) ratio stands at 100.1900, while the industry PE ratio is 94.7065.
NTPC Ltd's stock has surged by 0.11%, and it is currently trading at ₹348.50. Additionally, the stock maintains a PE ratio of 15.6400, while the industry PE is 22.9687.
Axis Bank Ltd stock price decreased by -0.04%, with the current market value at ₹1,180.50 per share. Investors are assessing the stock's potential for recovery and future growth prospects.
With a -0.15% decrease, Jio Financial Services Ltd's share price is now at ₹258.40. The stock is currently trading at a PE of 102.5000, while the industry PE is 18.7911, prompting investors to assess its value proposition.
The share price of Punjab National Bank remained stagnant, with no fluctuations. It is currently at ₹99.70. Investors may use this stability as an opportunity to reevaluate their portfolios and risk tolerance.