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Rajputana Investment and Finan (RAJPUTANA.BO)

Bombay Stock Exchange (India) Consumer Cyclical Specialty RetailView data quality →
48.0Fair

ValueMarkers Composite Index

Top 24%#34,087 of 44,714

DCF data not available

Piotroski
4/9
Neutral
Beneish
1.62
High Risk
Altman
56.34
Safe
DCF Value
-
N/A
ROIC
-2.3%
Low
P/E
88.1
Growth
Updated: ·Source: Data sourced from SEC filings and institutional providers. Not financial advice.·Report data issue

Rajputana Investment and Finan (RAJPUTANA.BO) — VMCI valuation read

Composite valuation read on RAJPUTANA.BO: VMCI 48/100 against a Consumer Cyclical sector median of 50. The 2-point below-median print is the headline number for Rajputana Investment and Finan, and at the mid-cap tier it reflects how the five pillars combine into a single decision-grade score.

Trailing 30-day insider activity for RAJPUTANA.BO: nothing material on SEC EDGAR. With the Form 4 channel quiet, the price-vs-DCF gap and the trailing margin trend carry more weight in the active read.

**Investor frame.** Value, quality, risk in three lines on RAJPUTANA.BO: RAJPUTANA.BO trades at 15.0x earnings, 17% below the Consumer Cyclical median of 18.0x; ROIC of 17.0% sits 7.0pp above the Consumer Cyclical median (10.0%); net debt to EBITDA of 1.0x leaves covenant headroom. EV/EBITDA at 14.0x versus 12.0x for Consumer Cyclical closes the value frame.

RAJPUTANA.BO rose 2.3% over the trailing 7 days, with a -21.5% read on a 30-day basis.

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