Vikalp Securities Ltd

BSE
VIKALPS •
BUY

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Stock Performance
52 Week Low - High
Today’s Low - High

Open

Prev. Close

Total Traded Value

View details of Market Depth
Fundamental

Market Cap (in crs)

Face Value

Turnover (in lacs)

Key Metrics
Qtr Change %
New 52W High in past week
128.5
TTM PE Ratio
High in industry
846.8
Price to Book Ratio
Above industry Median
3.8
Dividend yield 1yr %
0
TTM PEG Ratio
PEG TTM is much higher than 1
1.4
RSI
RSI is mid-range
67.9
MFI
MFI strongly Overbought
91.3

Vikalp Securities Ltd shareholding Pattern

Promoter
47.7%
Public
52.3%
Promoter
47.7%
Public
52.3%
Promoter
47.7%
Public
52.3%
Promoter
47.7%
Public
52.3%
Promoter
47.7%
Public
52.3%
Promoter
47.7%
Public
52.3%

Vikalp Securities Ltd Technical Analysis

Moving Averages Analysis
Moving Averages Analysis
Current Price
Bullish Moving Averages
14
Bearish Moving Averages
2
5Day EMA
55.30
10Day EMA
53.50
12Day EMA
52.80
20Day EMA
50.70
26Day EMA
49.50
50Day EMA
45.10
100Day EMA
37.90
200Day EMA
29.00
5Day SMA
56.40
10Day SMA
53.60
20Day SMA
49.10
30Day SMA
48.10
50Day SMA
45.60
100Day SMA
36.50
150Day SMA
28.70
200Day SMA
24.40
Delivery & Volume
Resistance & Support
55.83
Pivot
Resistance
First Resistance
55.83
Second Resistance
55.83
Third Resistance
55.83
Support
First Support
55.83
Second support
55.83
Third Support
55.83
Relative Strength Index
67.86
Money Flow Index
91.28
MACD
3.36
MACD Signal
2.68
Average True Range
2.36
Average Directional Index
38.26
Rate of Change (21)
24.09
Rate of Change (125)
371.94
Peer comparison
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Vikalp Securities Ltd.
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Vikalp Securities Ltd Company background

Founded in: 1986
Managing director: Arun Kejriwal
Vikalp Securities Limited was originally incorporated on February 28, 1986 under the name of Vikalp Consultants Pvt. Ltd. The Company name was changed to Vikalp Securities Limited effective from 23 November, 1994. The Company is engaged into trading in shares and investment business and surplus fund are invested in providing loans on interest. The Company came with its first Initial Public Offer in year 1995.The Company deployed surplus funds for the time being in securities as investment and granted loans for the purpose of gain. The business in which Company deals is based on the market performance of the securities. As the share market is flourishing day by day due to increase in the investing activities in the market, the Company seek opportunity in the share trading business, which must be beneficial for the growth of the Company in the long run.In 202223, the Company bore risk associated with the volatility of the prices of shares which depends upon its performance in the overall market, and this given as most prior concern of the Company, it always endeavors to follow market trend and risks and benefits attached to it before investing the precious funds in share market, to minimize the risk and maximize the returns.
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