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PB Ratio of Boi Asset Management Company Ltd (merged)

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BOI Asset Management Company Ltd (Merged)

NSE: BOIAMC

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Company Fundamentals for BOI Asset Management Company Ltd (Merged)

Market Price of BOI Asset Management Company Ltd (Merged)

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Monitoring BOI Asset Management Company Ltd (Merged) share price can help you stay informed about potential market shifts and opportunities. *All values are in Rupees.

SWOT Analysis

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BlinkX Score for BOI Asset Management Company Ltd (Merged)

Asset Value vs Market Value of BOI Asset Management Company Ltd (Merged)

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* All values are in ₹ crores

Key Valuation Metric of BOI Asset Management Company Ltd (Merged)

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Historical Market Cap of BOI Asset Management Company Ltd (Merged)

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* All values are in crore

Historical Revenue, EBITDA and Net Profit of BOI Asset Management Company Ltd (Merged)

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* All values are in crore

Dividend Payout Over Time

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Concalls

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FAQs for PB Ratio of null

What is the PB ratio of BOI Asset Management Company Ltd (Merged)?

The current PB ratio of BOI Asset Management Company Ltd (Merged) is 0.0. The Price-to-Book value (P/B) ratio compares a company's current share price to its book value per share. It helps assess whether a stock is overvalued or undervalued relative to its net asset value.

What is the ideal PB ratio to buy BOI Asset Management Company Ltd (Merged) stocks?

An ideal PB ratio varies by industry; however, a PB ratio below 1.0 may indicate a good buying opportunity for BOI Asset Management Company Ltd (Merged). Some investors and financial analysts may also consider any value under 3.0 as a good PB ratio.

How is the PB Ratio of BOI Asset Management Company Ltd (Merged) calculated?

The PB ratio of BOI Asset Management Company Ltd (Merged) is calculated by dividing the current share price by the book value per share. The book value per share is determined by dividing the company’s total net assets (assets minus liabilities) by the number of outstanding shares. This ratio helps evaluate how the market values the company's assets.

What does a high PB Ratio mean for BOI Asset Management Company Ltd (Merged)?

A high PB ratio suggests that BOI Asset Management Company Ltd (Merged)’s stock may be overvalued relative to its book value or that investors expect high growth.

What does a low PB Ratio indicate for BOI Asset Management Company Ltd (Merged)?

A low PB ratio of BOI Asset Management Company Ltd (Merged) may indicate that the stock is undervalued or it is facing financial difficulties.

Can BOI Asset Management Company Ltd (Merged) PB Ratio change over time?

Yes, the PB ratio of BOI Asset Management Company Ltd (Merged) can change over time due to fluctuations in the company’s stock price and changes in its book value.
Disclaimer: This information provided above is for informational purposes only and does not constitute investment advice. We use third-party data and recommend conducting thorough research and consulting a certified financial advisor before making investment decisions. We do not endorse specific stocks. Make decisions based on your own research and professional guidance.
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