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IND AS · INR crore
| Metric | 2026 | 2025 | 2024 |
|---|---|---|---|
| Total Liabilities Shareholders' Equity | 2,68,332.72 | 2,24,615.95 | 1,76,917.67 |
| Accumulated Depreciation Total | -895.24 | -687.98 | -712.56 |
| Cash Equivalents | 5,581.83 | 4,797.2 | 648.83 |
| Other Liabilities Total | 7,891.45 | 7,681.85 | 6,936.33 |
| Long Term Debt | 1,32,825.58 | 1,17,166.85 | 86,519.17 |
| Common Stock Total | 18.78 | 18.78 | 18.78 |
| Total Assets | 2,68,332.72 | 2,24,615.95 | 1,76,917.67 |
| Current Portof LT Debt/Capital Leases | 66,834.59 | 53,239.54 | 44,597.31 |
| Cash | 2,974.5 | 687.4 | 394.39 |
| Total Equity | 15,454.15 | 12,515.28 | 10,241.73 |
| Long Term Investments | 27,575.48 | 25,539.15 | 21,297.17 |
| Retained Earnings(Accumulated Deficit) | 15,435.37 | 12,496.5 | 10,222.95 |
| Total Common Shares Outstanding | 18.78 | 18.78 | 18.78 |
| Property/Plant/Equipment Total-Gross | 2,968.75 | 2,592.51 | 2,382.19 |
| Tangible Book Valueper Share Common Eq | 812.18 | 658.52 | 540.21 |
| Goodwill Net | 42.72 | 42.72 | 42.72 |
| Total Liabilities | 2,52,878.57 | 2,12,100.67 | 1,66,675.94 |
| Total Debt | 2,11,038.47 | 1,74,955.88 | 1,34,422.17 |
| Cashand Short Term Investments | 8,556.33 | 5,484.6 | 1,043.22 |
| Total Receivables Net | 4,102.31 | 3,259.47 | 3,029.22 |
| Notes Payable/Short Term Debt | 10,848.41 | 4,060.45 | 3,305.69 |
| Deferred Income Tax | 2.21 | 1.83 | 0.18 |
| Accounts Receivable-Trade Net | 2,448.84 | 1,470.28 | 1,083.29 |
| Property/Plant/Equipment Total-Net | 2,073.51 | 1,904.53 | 1,669.63 |
| Minority Interest | 18,425.81 | 14,433.81 | 11,882.29 |
| Accounts Payable | 339.4 | 666.43 | 498.6 |
| Other Currentliabilities Total | 15,181.23 | 14,360.87 | 12,936.37 |
| Total Long Term Debt | 1,33,355.47 | 1,17,655.89 | 86,519.17 |
| Other Assets Total | 1,946.9 | 423.12 | 596.27 |
| Intangibles Net | 160.55 | 106.96 | 55.1 |
| Other Long Term Assets Total | 5,054.32 | 3,884.82 | 3,156.73 |
| Note Receivable-Long Term | 2,18,820.6 | 1,83,970.58 | 1,46,027.61 |
| Capital Lease Obligations | 529.89 | 489.04 | Not available |
PEG Ratio0.52
Price to Sale Ratio0.79
Debt 5Yr CAGR %26.96
Operating Margin 12m54.19
Operating Margin 5y Avg54.92
Net Profit Margin 12m14.05
Net Profit Margin 5y14.61
Dividend Yield %0.08
Overall RiskBalanced risk
Board Risk38.77
ConsensusBuy
Consensus score2.33
Analyst opinions3
Strong Sell count0
Sell count1
Hold count0
Buy count1
Strong Buy count1
Provider consensus uses a 1 (Strong Buy) to 5 (Strong Sell) score. The payload does not include price targets, so none are inferred from 52-week prices or recommendation percentages.Only peers present in the company profile payload are displayed.
| Company | Price | Market cap | P/E | Research |
|---|---|---|---|---|
| Bajaj Finance | INR 1,149.9 | 7.16 L | 25.01 | — |
| Shriram Finance | INR 1,139 | 2.68 L | 13.87 | — |
| Jio Financial Services | INR 264 | 1.74 L | 95.47 | — |
| Tata Capital | INR 382.9 | 1.62 L | 20.47 | — |
| Power Finance Corporation | INR 416.5 | 1.37 L | 5.42 | — |
Source, timestamp and external destination are shown. Provider relevance scores are not available.
These large-caps have ‘strong buy’ & ‘buy’ recos and an upside potential of up to 25% The Economic Times
Cholamandalam Financial Holdings Ltd is Rated Sell MarketsMojo
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Price to sales forward of Cholamandalam Financial Holdings Ltd – NSE:CHOLAHLDNG TradingView
Cholamandalam Financial Holdings Files SEBI Compliance Certificate for Q1 FY27 TipRanks
Cholamandalam Financial Holdings (CHOLAHLDNG) Q4 25/26 earnings summary Quartr
Posts are linked to the canonical company record. Community BUY, NEUTRAL and SELL opinions are user-generated, moderated and separate from analyst consensus and Rusaka Markets AI.
Cholamandalam Financial Holdings Limited is a core investment company and all the activities of the Company revolve around the main business in India. The Company holds investments in financial services/risk management companies, which include Cholamandalam Investment and Finance Company Limited (CIFCL), Cholamandalam MS General Insurance Company Limited (CMSGICL) and Cholamandalam MS Risk Services Limited (CMSRSL). CIFCL is a non-banking finance company engaged in lending business offering vehicle finance, home loans, loans against property, SME loans, secured business and personal loans, consumer & small enterprises loans and a variety of other financial services to customers. CMSGICL is engaged in the general insurance business offering a range of insurance products that include motor, health, property, accident, engineering, liability, marine, travel and crop insurance for individuals and corporates. CMSRSL offers comprehensive risk management and engineering solutions.
Cholamandalam Financial Holdings has the symbol CHOLAHLDNG and ISIN - INE149A01033.
Cholamandalam Financial Holdings is currently trading at INR 1,515.00.
Cholamandalam Financial Holdings has a year high of INR 2,064.00 and a year low of INR 1,305.00.
Cholamandalam Financial Holdings has a market capitalization of INR 30,990.79 crore.
Cholamandalam Financial Holdings has a P/E ratio of 10.50.
Cholamandalam Financial Holdings has a dividend yield of 0.08%.
Cholamandalam Financial Holdings has revenue of INR 39,072.72 crore, net income of INR 2,441.29 crore, and EPS of INR 340.39.
Cholamandalam Financial Holdings has a book value of INR 812.18.
Cholamandalam Financial Holdings has a debt-to-equity ratio of NA.
Cholamandalam Financial Holdings has a price-to-book ratio of 1.87 and a price-to-sales ratio of 0.79.
Corporate-action adjustment is provider-defined. Rusaka Markets research and computed indicators are not investment advice.