Arihant Capital Markets Limited
Arihant Capital Markets Limited (“ACML” or ‘the Holding Company’) is a public limited company and incorporated on 25th June, 1992 under the provisions of Companies Act. The Company is domiciled in India having its registered office at 6, Lad Colony, ...
Key Metrics
EPS
6.77
Current ratio
1.37
Debt/Equity
0.48
Debt/EBITDA
1.61
Interest coverage ratio
-
Operating Cashflow to total debt
-0.19
Financials
Pros & Cons
Exclusive on TAP Bonds
Here's what we like about this company and potential risks we have identified.
Pros
Company is expected to give good quarter
Company has delivered good profit growth of 33.4% CAGR over last 5 years
Debtor days have improved from 343 to 150 days.
Cons
Contingent liabilities of Rs.295 Cr.
Promoter holding has decreased over last 3 years: -4.76%
Disclaimer: Tap Bonds gathers data directly from the respective OBPP websites but does not guarantee its accuracy. We do not offer investment advice or endorse the purchase of any securities mentioned, nor do we warrant the reliability of the information collected.
About Arihant Capital Markets Limited bond.
This comprehensive profile covers key factual information about ARIHANT CAPITAL MARKETS LIMITED. Arihant Capital Markets Limited (“ACML” or ‘the Holding Company’) is a public limited company and incorporated on 25th June, 1992 under the provisions of Companies Act. The Company is domiciled in India having its registered office at 6, Lad Colony, YN Road Indore, Madhya Pradesh. The Holding Company is registered with Securities and Exchange Board of India (‘SEBI’) under the Stock brokers and subbrokers Regulations, 1992 and is a member of Bombay Stock Exchange Limited, National Stock Exchange of India Limited, Multi Commodity Exchange of India Ltd. and National Commodity and Derivatives Exchange Limited. Arihant Capital Markets Limited, its subsidiaries and associate (collectively, the Group) are engaged in Stock Broking , Commodities Broking, Portfolio Management Services, Financial Services, Real Estate, Insurance Broking and other related activities. EPS in Mar-2024 was 6.77. Current ratio in Mar-2024 was 1.37. Debt/Equity in Mar-2024 was 0.48. Debt/EBITDA in Mar-2024 was 1.61. Interest coverage ratio in Mar-2024 was . Operating Cashflow to total debt in Mar-2024 was -0.19. Total revenue for Mar-2025(E) was ₹289.54. Net income for Mar-2025(E) stood at ₹150.32. Total assets as of Mar-2024 were ₹780.40. Operating cash flow for Mar-2024 was ₹-29.63. Peers and comparison entities consist of ARIHANT CAPITAL MARKETS LIMITED, Aditya Birla Capital Limited, Motilal Oswal Financial Services Limited, Cholamandalam Financial Holdings Limited. As of Dec 2024, promoters hold N/A% while others hold N/A% of equity. Key strengths include: Company is expected to give good quarter; Company has delivered good profit growth of 33.4% CAGR over last 5 years; Debtor days have improved from 343 to 150 days.. Key risks include: Contingent liabilities of Rs.295 Cr.; Promoter holding has decreased over last 3 years: -4.76%. Leadership team details include Arpit Jain (Joint Managing Director), Ashish Maheshwari (Independent Director), Ashok Kumar Jain (Chairman & Managing Director), Jitendra Jain (Independent Director), Mahesh Pancholi (Company Secretary & Compliance Officer), Sunil Kumar Jain (Non Executive Director), Swanubhuti Jain (Independent Director), Uttam Maheshwari (Chief Financial Officer). This detailed corporate overview is structured to provide a thorough understanding of all available data points, enhance search visibility, and support investor analysis.