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Market Insights

Stock screens updated daily — built in Wright’s visual language.

Stock screens updated daily — built in Wright’s visual language.

Top Quality Stocks

"Quality" stocks refer to companies with stable earnings, strong balance sheets, and reliable business models. These stocks are characterized by consistent performance, low debt levels, and sustainable competitive advantages. Investing in quality stocks offers several advantages such as lower volatility during market downturns, potential for long-term growth, and higher resilience to economic uncertainties. These companies often have a track record of delivering steady returns and are considered less risky compared to other investments.

Updated:
Ticker Security Name ⇅ PrevClose Beta MarketCap PE Ratio ⇅ Dividend Yield PBV Ratio ⇅ Category
CGCL Capri Global Capital Ltd. 166.96 0.306 13125.966 33.256 0.001 3.143 Mid-Cap
ASTRAMICRO Astra Microwave Products Ltd. 909.85 1.073 5916.031 42.517 0.003 5.797 Mid-Cap
CHOICEIN Choice International Ltd. 760.05 0.376 9596.442 62.893 0.0 10.351 Mid-Cap
KRN KRN Heat Exchanger And Refrigeration Ltd. 598.1 0.0 5774.35 141.443 0.0 11.091 Mid-Cap
ALOKINDS Alok Industries Ltd. 14.43 1.868 7899.708 -7.93 0.0 -0.375 Mid-Cap
JWL Jupiter Wagons Ltd. 303.75 0.814 12524.822 31.736 0.005 4.709 Mid-Cap
ASTRAZEN Astrazeneca Pharma India Ltd. 8319.0 0.434 19188.844 191.205 0.003 27.144 Mid-Cap
CCL CCL Products (India) Ltd. 925.65 0.609 7616.44 26.774 0.008 4.033 Mid-Cap
CANFINHOME Can Fin Homes Ltd. 898.1 1.035 8012.55 9.28 0.01 1.638 Mid-Cap
BALRAMCHIN Balrampur Chini Mills Ltd. 413.0 0.093 9548.961 22.351 0.007 2.583 Mid-Cap
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Details

About Capri Global Capital Ltd. and Its Industry:

Capri Global Capital Ltd. is a leading financial services company that specializes in providing a wide range of financial solutions to individuals and businesses. With a focus on lending, investment management, and advisory services, Capri Global Capital has established itself as a key player in the financial industry. The company has built a reputation for its customer-centric approach, innovative products, and prudent risk management practices, making it a trusted partner for clients seeking financial assistance and guidance. However, like any company in the financial sector, Capri Global Capital faces challenges and opportunities. One of the key challenges is navigating the dynamic regulatory environment that governs financial services, requiring the company to stay agile and compliant amidst changing regulations.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹166.96
    • Market Cap: ₹13125.966
    • Category: Mid-Cap
    • Beta: 0.306
  • P/E Ratio: 33.256
  • Dividend Yield: 0.001%
  • Price-to-Book Value (PBV): 3.143

About Astra Microwave Products Ltd. and Its Industry:

Astra Microwave Products Ltd. is a leading Indian company specializing in the design, development, and production of high-quality RF and microwave components and systems used in defense, aerospace, and telecommunications industries. With a strong focus on innovation and technology, the company has established itself as a key player in providing cutting-edge solutions for critical applications requiring precision engineering and reliability. Astra Microwave's products range from radar systems to communication equipment, contributing significantly to the advancement of defense and communication technologies in India and globally. Despite its strong position in the industry, Astra Microwave Products Ltd. faces challenges in managing competitive pressures from both domestic and international players. The company must continually innovate and adapt to evolving technological landscapes to maintain its market position and sustain growth.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹909.85
    • Market Cap: ₹5916.031
    • Category: Mid-Cap
    • Beta: 1.073
  • P/E Ratio: 42.517
  • Dividend Yield: 0.003%
  • Price-to-Book Value (PBV): 5.797

About Choice International Ltd. and Its Industry:

Choice International Ltd. is a well-established company in the financial services industry, providing a range of investment solutions to individual and institutional clients. Known for its innovative approach to wealth management, the company offers personalized financial planning services, investment advisory, and retirement solutions. With a strong reputation for delivering tailored strategies to meet client needs, Choice International Ltd. has built a loyal customer base and a solid presence in the market. As with any company in the financial services sector, Choice International Ltd. faces challenges such as regulatory changes, market volatility, and increasing competition from both traditional and fintech players. Navigating regulatory requirements while staying competitive in a rapidly evolving industry presents a key challenge. However, these challenges also bring opportunities for Choice International Ltd.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹760.05
    • Market Cap: ₹9596.442
    • Category: Mid-Cap
    • Beta: 0.376
  • P/E Ratio: 62.893
  • Dividend Yield: 0.0%
  • Price-to-Book Value (PBV): 10.351

About KRN Heat Exchanger And Refrigeration Ltd. and Its Industry:

KRN Heat Exchanger And Refrigeration Ltd. is a prominent player in the industrial equipment manufacturing sector, specializing in heat exchangers and refrigeration systems. The company has established a reputation for producing high-quality, efficient products that cater to a wide range of industries, including petrochemical, energy, and food processing. With a focus on innovation and technological advancements, KRN has positioned itself as a leading provider of solutions for temperature control and energy management in industrial settings. Challenges facing KRN Heat Exchanger And Refrigeration Ltd. include increasing competition from global players, evolving regulatory standards, and the need to constantly upgrade technology to maintain a competitive edge.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹598.1
    • Market Cap: ₹5774.35
    • Category: Mid-Cap
    • Beta: 0.0
  • P/E Ratio: 141.443
  • Dividend Yield: 0.0%
  • Price-to-Book Value (PBV): 11.091

About Alok Industries Ltd. and Its Industry:

Alok Industries Ltd. is a well-established company in the textile industry, known for its diversified range of products including fabrics, garments, and home textiles. The company has a strong presence both in domestic and international markets, catering to diverse customer needs and preferences. Alok Industries has a reputation for quality products and innovative designs, positioning itself as a key player in the competitive textile sector. However, the company faces challenges such as increasing competition from both domestic and international players, fluctuating raw material prices, and evolving consumer preferences towards sustainable and eco-friendly products. To stay competitive and relevant in the market, Alok Industries needs to invest in research and development for sustainable practices, enhance operational efficiency, and adapt to changing market trends.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹14.43
    • Market Cap: ₹7899.708
    • Category: Mid-Cap
    • Beta: 1.868
  • P/E Ratio: -7.93
  • Dividend Yield: 0.0%
  • Price-to-Book Value (PBV): -0.375

About Jupiter Wagons Ltd. and Its Industry:

Jupiter Wagons Ltd. is a renowned manufacturer of railway wagons, specializing in the design, production, and maintenance of high-quality freight wagons for the transportation industry. With a history of innovation and reliability, Jupiter Wagons has established itself as a key player in the railway transportation sector, providing essential equipment to facilitate the movement of goods efficiently and safely across the country's rail networks. However, like many companies in the transportation industry, Jupiter Wagons faces challenges in terms of adapting to evolving regulatory standards, technological advancements, and market demands. Balancing cost-efficiency with the need for continuous innovation and sustainability poses a significant challenge.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹303.75
    • Market Cap: ₹12524.822
    • Category: Mid-Cap
    • Beta: 0.814
  • P/E Ratio: 31.736
  • Dividend Yield: 0.005%
  • Price-to-Book Value (PBV): 4.709

About Astrazeneca Pharma India Ltd. and Its Industry:

Astrazeneca Pharma India Ltd. is a leading pharmaceutical company that operates in the healthcare sector. It is involved in the manufacturing and marketing of pharmaceutical products, including prescription drugs, vaccines, and over-the-counter medications. As a subsidiary of the global pharmaceutical giant AstraZeneca, the company plays a significant role in providing innovative healthcare solutions to the Indian market. With a focus on research and development, Astrazeneca Pharma India Ltd. strives to address critical health issues and improve patient outcomes through its diverse portfolio of products. One of the challenges Astrazeneca Pharma India Ltd. faces is intense competition within the pharmaceutical industry, both from domestic players and multinational corporations. This competition puts pressure on the company to continuously innovate and maintain its market share.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹8319.0
    • Market Cap: ₹19188.844
    • Category: Mid-Cap
    • Beta: 0.434
  • P/E Ratio: 191.205
  • Dividend Yield: 0.003%
  • Price-to-Book Value (PBV): 27.144

About CCL Products (India) Ltd. and Its Industry:

CCL Products (India) Ltd. is a leading player in the coffee industry, primarily engaged in the manufacturing and distribution of instant coffee. The company has a strong presence both domestically and internationally, catering to a diverse clientele which includes retail consumers, institutional buyers, and private labels. With a focus on quality, innovation, and sustainability, CCL Products has established itself as a trusted name in the global coffee market. Challenges and opportunities lie ahead for CCL Products (India) Ltd. as it navigates an increasingly competitive industry landscape. Rising input costs, fluctuating coffee prices, and changing consumer preferences present challenges that the company must address to maintain its market position and profitability.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹925.65
    • Market Cap: ₹7616.44
    • Category: Mid-Cap
    • Beta: 0.609
  • P/E Ratio: 26.774
  • Dividend Yield: 0.008%
  • Price-to-Book Value (PBV): 4.033

About Can Fin Homes Ltd. and Its Industry:

Can Fin Homes Ltd. is a leading housing finance company in India that primarily focuses on providing loans for purchasing, constructing, renovating, and extending homes to individuals. The company plays a crucial role in the real estate and housing industry by offering various financial products and services tailored to meet the diverse needs of its customers. With a strong presence across the country, Can Fin Homes Ltd. has built a reputation for its customer-centric approach, competitive interest rates, and efficient loan processing procedures. One of the key challenges facing Can Fin Homes Ltd. is the dynamic regulatory environment in the housing finance sector, which requires continuous adaptation to changing rules and compliance standards.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹898.1
    • Market Cap: ₹8012.55
    • Category: Mid-Cap
    • Beta: 1.035
  • P/E Ratio: 9.28
  • Dividend Yield: 0.01%
  • Price-to-Book Value (PBV): 1.638

About Balrampur Chini Mills Ltd. and Its Industry:

Balrampur Chini Mills Ltd. is a prominent player in the sugar industry in India. As one of the largest integrated sugar manufacturing companies in the country, Balrampur Chini Mills is involved in the production of sugar, ethanol, and power. The company operates several sugar mills, strategically located in Uttar Pradesh, contributing significantly to India's sugar production. Despite its leading position in the industry, Balrampur Chini Mills faces challenges such as fluctuating sugar prices due to market volatility and regulatory constraints impacting the sugar industry's profitability. However, the company also has opportunities for growth, including diversification into value-added products like ethanol and power generation, tapping into the increasing demand for renewable energy sources in India.

Key Metrics:

  • Stock Price & Market Capitalization:
    • Prev Close: ₹413.0
    • Market Cap: ₹9548.961
    • Category: Mid-Cap
    • Beta: 0.093
  • P/E Ratio: 22.351
  • Dividend Yield: 0.007%
  • Price-to-Book Value (PBV): 2.583