Choice Intl.

  • Market Cap: Small Cap
  • Industry: Holding Company
  • ISIN: INE102B01014
  • NSEID: CHOICEIN
  • BSEID: 531358
INR
687.00
-3.05 (-0.44%)
BSENSE

May 08

BSE+NSE Vol: 13.02 lacs

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryPrice Point
High/Low

1Day

52 Week

Valuation
Technical
Day's Volume

CASH

13.02 lacs (65.24%) Volume

Shareholding (Mar 2026)

FII

11.41%

Held by 87 FIIs

DII

0.00%

Held by 10 DIIs

Promoter

53.65%

how big is Choice Intl.?

06-Jun-2025

As of Jun 06, Choice International Ltd has a market capitalization of 14,007.83 Cr and reported net sales of 910.37 Cr and net profit of 156.54 Cr over the latest four quarters. Shareholder's funds are 631.42 Cr, with total assets of 1,804.96 Cr as of Mar'24.

Market Cap: Choice International Ltd has a market capitalization of 14,007.83 Cr and is classified as a Mid Cap company as of Jun 06.<BR><BR>Recent Quarterly Performance: The sum of Net Sales for the latest 4 quarters, which includes Mar'25, Dec'24, Sep'24, and Jun'24, is 910.37 Cr. The sum of Net Profit for the same period is 156.54 Cr. This data is Consolidated.<BR><BR>Balance Sheet Snapshot: This is Consolidated data for the latest annual period ending Mar'24. The Shareholder's Funds are reported at 631.42 Cr, and the Total Assets amount to 1,804.96 Cr.

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What does Choice Intl. do?

06-Jun-2025

Choice International Ltd is a registered Non-Banking Financial Company (NBFC) focused on addressing financial challenges for individuals, institutions, and governments. As of March 2025, it reported net sales of ₹253 Cr and a net profit of ₹52 Cr, with a market cap of ₹14,004 Cr.

Overview:<BR>Choice International Ltd is a Non-Banking Financial Company (NBFC) operating in the holding company industry within the mid-cap market segment, focused on solving financial problems for individuals, institutions, and governments.<BR><BR>History:<BR>Incorporated on March 12, 1993, Choice International Ltd has maintained its status as a registered NBFC. The latest quarterly results reported net sales and net profit for the period ending March 2025.<BR><BR>Financial Snapshot:<BR>- Net Sales: 253 Cr (Quarterly Results - Mar 2025)<BR>- Net Profit: 52 Cr (Quarterly Results - Mar 2025)<BR>- Market Cap: Rs 14,004 Cr (Mid Cap)<BR><BR>Key Metrics:<BR>- P/E: 89.00<BR>- Industry P/E: 23<BR>- Dividend Yield: 0.00%<BR>- Debt-Equity: 0.45<BR>- Return on Equity: 15.24%<BR>- Price to Book: 13.52<BR><BR>Contact Details:<BR>Address: Shakambari Corporate Park, 156-158 J B Nagar Andheri (E) Mumbai Maharashtra : 400099 <BR>Tel: 91-022-67079999 <BR>Email: info@choiceindia.com <BR>Website: http://www.choiceindia.com

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What is the bonus history of the Choice Intl.?

06-Jun-2025

Choice International Ltd has a history of issuing bonuses, with the most recent being a 1:1 bonus announced for February 20, 2024, following another 1:1 bonus on September 22, 2022, reflecting the company's strategy to enhance shareholder value.

Choice International Ltd has a history of bonus issues. The most recent bonus was announced as a 1:1 bonus issue, with an ex-date of February 20, 2024. Prior to that, the company issued another 1:1 bonus, which had an ex-date of September 22, 2022. This consistent approach to issuing bonuses reflects the company's strategy to enhance shareholder value.

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Has Choice Intl. declared dividend?

06-Jun-2025

Choice International Ltd has declared a dividend of 10% (₹1 per share), but the dividend yield is 0%, indicating no contribution to returns. Despite this, the company has experienced significant price appreciation, with total returns reaching over 5309% in the past five years.

Choice International Ltd has declared a dividend.<BR><BR>Dividend Details:<BR>- Percentage announced: 10%<BR>- Amount per share: 1<BR>- Ex-date: 09 Sep 16<BR><BR>Dividend Yield: 0%<BR><BR>Total Returns by Period:<BR>In the 6-month period, the price return was 27.35%, the dividend return was 0%, resulting in a total return of 27.35%.<BR><BR>For the 1-year period, the price return was 98.37%, the dividend return was 0%, leading to a total return of 98.37%.<BR><BR>Over the 2-year period, the price return was 650.49%, with a dividend return of 0%, culminating in a total return of 650.49%.<BR><BR>In the 3-year period, the price return reached 1531.95%, the dividend return remained at 0%, resulting in a total return of 1531.95%.<BR><BR>During the 4-year period, the price return was 4827.22%, with no dividend return, yielding a total return of 4827.22%.<BR><BR>For the 5-year period, the price return was 5309.3%, and the dividend return was 0%, resulting in a total return of 5309.3%.<BR><BR>Overall, while Choice International Ltd declared a dividend, the dividend yield remains at 0%, indicating that the dividend has not contributed to returns in recent periods. However, the price returns over time have been significantly high, suggesting strong capital appreciation.

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Who are the peers of the Choice Intl.?

03-Jun-2025

Choice Intl.'s peers include Bajaj Finserv, Bajaj Holdings, JSW Holdings, TVS Holdings, ACME Solar Hold., JM Financial, Edelweiss.Fin., Kama Holdings, and Pilani Invest. In terms of performance, Choice Intl. shows excellent growth and a 1-year return of 92.97%, while its management risk is average compared to its peers.

Peers: The peers of Choice Intl. are Bajaj Finserv, Bajaj Holdings, JSW Holdings, TVS Holdings, ACME Solar Hold., JM Financial, Edelweiss.Fin., Kama Holdings, and Pilani Invest.<BR><BR>Quality Snapshot: Excellent management risk is observed at Bajaj Finserv, TVS Holdings, and the rest. Average management risk is found at Bajaj Holdings, JSW Holdings, Choice Intl., JM Financial, Edelweiss.Fin., Kama Holdings, and the rest. Below Average management risk is noted at ACME Solar Hold. and Pilani Invest. In terms of growth, Excellent growth is seen at TVS Holdings, ACME Solar Hold., and Choice Intl., while Average growth is present at Bajaj Holdings, JSW Holdings, Kama Holdings, and the rest. Below Average growth is reported for JM Financial and Edelweiss.Fin. Lastly, Excellent capital structure is held by Bajaj Finserv, Bajaj Holdings, JSW Holdings, Choice Intl., JM Financial, Edelweiss.Fin., Kama Holdings, and the rest, while Below Average capital structure is noted at TVS Holdings and ACME Solar Hold.<BR><BR>Return Snapshot: The peer with the highest 1-year return is JSW Holdings at 239.14%, while the lowest is ACME Solar Hold. with N/A, and Choice Intl.'s 1-year return of 92.97% is significantly higher than that of ACME Solar Hold. Additionally, the peers with negative six-month returns are ACME Solar Hold. and Pilani Invest.

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Is Choice Intl. overvalued or undervalued?

09-Jun-2025

As of January 11, 2022, Choice International is considered very expensive and overvalued, with a PE ratio of 89.73, significantly higher than industry peers, despite its impressive 1-year return of 99.32% compared to the Sensex's 7.58%.

As of 11 January 2022, the valuation grade for Choice International has moved from expensive to very expensive, indicating a significant increase in perceived valuation. The company is currently considered overvalued. Key ratios highlight this position, with a PE ratio of 89.73, an EV to EBITDA of 49.17, and a PEG ratio of 4.21, all of which are substantially higher than industry norms.<BR><BR>In comparison to peers, Choice International's PE ratio is significantly elevated compared to Life Insurance, which has a PE of 12.54, and Bajaj Finserv at 35.83. This stark contrast underscores the overvaluation of Choice International within its sector. Additionally, the company's stock has outperformed the Sensex over various time frames, with a remarkable 1-year return of 99.32% compared to the Sensex's 7.58%, further emphasizing the disconnect between its high valuation and market performance.

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Who are in the management team of Choice Intl.?

16-Jul-2025

As of March 2023, the management team of Choice Intl. includes Chairman Sunil Kumar Patodla, Managing Director Kamal Poddar, Joint Managing Director Suyash Patodia, CEO Arun Poddar, and several independent directors, ensuring a balanced governance structure.

As of March 2023, the management team of Choice Intl. includes the following members:<BR><BR>1. Sunil Kumar Patodla - Chairman (Non-Executive) & Director (Non-Independent)<BR>2. Kamal Poddar - Executive Director & Managing Director<BR>3. Suyash Patodia - Joint Managing Director & Executive Director<BR>4. Arun Poddar - Executive Director & CEO<BR>5. Ajay Kejriwal - Executive Director<BR>6. Ashok Thakur - Independent Non-Executive Director<BR>7. Kanhaiya Lal Berwal - Independent Non-Executive Director<BR>8. Subodh Kumar Agarwal - Independent Non-Executive Director<BR>9. Sandeep Singh - Independent Non-Executive Director<BR>10. Sobhag Mal Jain - Independent Director<BR><BR>This team comprises a mix of executive and independent directors, contributing to the governance and strategic direction of the company.

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Who are the top shareholders of the Choice Intl.?

17-Jul-2025

The top shareholders of Choice International include promoters led by Vinita Sunil Patodia with 12.06%, 79 Foreign Institutional Investors holding 14.13%, and individual investors owning 21.78%, with Madhusudan Murlidhar Kela as the largest public shareholder at 8.93%.

The top shareholders of Choice International include a mix of promoters, institutional investors, and individual shareholders. The majority shareholders are the promoters, with Vinita Sunil Patodia holding the highest stake at 12.06%. Additionally, 79 Foreign Institutional Investors (FIIs) collectively hold 14.13%, while mutual funds account for 0.18% through six schemes. The highest public shareholder is Madhusudan Murlidhar Kela, who holds 8.93%. Individual investors collectively own 21.78% of the company.

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Is Choice Intl. technically bullish or bearish?

30-Sep-2025

As of 29 September 2025, the trend is mildly bullish due to monthly bullish signals, despite some weekly bearish indicators suggesting a cautious outlook with potential for upside if weekly indicators improve.

As of 29 September 2025, the technical trend has changed from bullish to mildly bullish. The current stance is mildly bullish, primarily driven by the monthly bullish signals from MACD, moving averages, and OBV, despite the weekly indicators showing mild bearishness in MACD, KST, and Dow Theory. The RSI on the weekly is bearish, indicating some weakness in momentum. Overall, the mixed signals suggest a cautious bullish outlook with potential for further upside if the weekly indicators improve.

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When is the next results date for Choice Intl.?

13-Oct-2025

The next results date for Choice Intl. is 16 October 2025.

The next results date for Choice Intl. is scheduled for 16 October 2025.

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How has been the historical performance of Choice Intl.?

16-Oct-2025

Choice Intl. has shown significant financial growth, with net sales rising from 126.96 Cr in Mar'20 to 910.38 Cr in Mar'25, and profit after tax increasing from 12.43 Cr to 162.71 Cr. However, cash flow from operating activities declined from a positive 26.00 Cr to a negative 294.00 Cr, indicating potential cash management challenges.

Answer:<BR>The historical performance of Choice Intl. shows significant growth in net sales and profitability over the years, with net sales increasing from 126.96 Cr in Mar'20 to 910.38 Cr in Mar'25. The total operating income followed a similar upward trend, rising from 126.96 Cr in Mar'20 to 910.38 Cr in Mar'25. Operating profit (PBDIT) also saw substantial growth, reaching 295.89 Cr in Mar'25 from 38.97 Cr in Mar'20. Profit before tax increased from 18.20 Cr in Mar'20 to 221.30 Cr in Mar'25, while profit after tax rose from 12.43 Cr to 162.71 Cr in the same period. The company's earnings per share (EPS) improved from 6.21 in Mar'20 to 7.84 in Mar'25, reflecting enhanced shareholder value. <BR><BR>In terms of assets and liabilities, total assets grew from 501.99 Cr in Mar'20 to 2,613.67 Cr in Mar'25, with total liabilities increasing from 501.99 Cr to 2,613.67 Cr during the same period. The company's cash flow from operating activities showed a negative trend, moving from a positive 26.00 Cr in Mar'20 to a negative 294.00 Cr in Mar'25, indicating challenges in cash generation despite strong profit growth. Overall, Choice Intl. has demonstrated robust growth in sales and profits, although cash flow management appears to be an area requiring attention. <BR><BR>Breakdown:<BR>Choice Intl. has exhibited impressive growth in its financial performance over the years. Net sales surged from 126.96 Cr in Mar'20 to 910.38 Cr in Mar'25, while total operating income mirrored this growth, reaching 910.38 Cr in Mar'25. The operating profit (PBDIT) escalated from 38.97 Cr to 295.89 Cr, and profit before tax increased significantly from 18.20 Cr to 221.30 Cr, culminating in a profit after tax rise from 12.43 Cr to 162.71 Cr. The earnings per share (EPS) also improved from 6.21 to 7.84, indicating a positive trend for shareholders. On the balance sheet, total assets expanded from 501.99 Cr to 2,613.67 Cr, with total liabilities reflecting a similar increase. However, cash flow from operating activities deteriorated from a positive 26.00 Cr to a negative 294.00 Cr, suggesting potential cash management issues despite the overall profitability growth.

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Are Choice International Ltd latest results good or bad?

24-Apr-2026

Choice International Ltd's latest Q4 FY26 results show strong growth with a 16.70% increase in net profit and a 21.23% rise in revenue. However, concerns about high stock valuation and a year-to-date decline of 16.04 may lead some investors to view the results cautiously.

Choice International Ltd's latest results for Q4 FY26 reflect a mixed performance. On the positive side, the company reported a consolidated net profit of ₹60.31 crores, which is a 16.70% increase year-on-year. Additionally, revenue grew by 21.23% to ₹306.71 crores, indicating strong sales momentum. The operating margin remains solid at 37.66%, although it did see a slight decline of 39 basis points compared to the previous year.<BR><BR>However, there are some concerns regarding the stock's valuation and recent performance. The stock is trading at a high price-to-earnings ratio of 76 times trailing earnings, which raises questions about sustainability given the significant premium compared to industry peers. Furthermore, the stock has declined 16.04% year-to-date and is currently 18.26% below its 52-week high, suggesting investor caution.<BR><BR>Overall, while the company demonstrates strong operational fundamentals and growth, the high valuation and recent stock performance may lead some investors to view the results with caution.

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Should I buy, sell or hold Choice International Ltd?

24-Apr-2026

Why is Choice International Ltd falling/rising?

08-May-2026

As of 08-May, Choice International Ltd's stock is declining, down 0.44%, following a trend reversal after two days of gains. The stock is trading below key moving averages, indicating potential weakness, while reduced investor participation and a slight decrease in institutional stakes suggest waning confidence despite strong long-term fundamentals.

As of 08-May, Choice International Ltd's stock price is currently falling, with a change of -3.05 (-0.44%). This decline follows a trend reversal after two consecutive days of gains. The stock's performance today is described as inline with the sector, but it is important to note that the stock is trading lower than its 20-day, 100-day, and 200-day moving averages, indicating a potential weakness in the short to medium term.<BR><BR>Additionally, there has been a significant drop in investor participation, with delivery volume on 07 May falling by 40.74% compared to the 5-day average. This decrease in trading activity suggests waning interest among investors, which could contribute to the stock's price decline. Furthermore, institutional investors have reduced their stake in the company by 0.7% over the previous quarter, indicating a lack of confidence from larger investors who typically have more resources to analyze the company's fundamentals.<BR><BR>Despite the company's strong long-term fundamentals, including a 60.33% CAGR growth in operating profits and positive results for the last three consecutive quarters, the stock is perceived as expensive with a Price to Book Value of 9.1. This valuation, combined with a PEG ratio of 2.8, suggests that the stock may be overvalued relative to its earnings growth, which could deter potential buyers and contribute to the current price decline.

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iScoreScore
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Strong Sell
Sell
Hold
Buy
Strong Buy

Dashboard

1

With ROE of 13, it has a Very Expensive valuation with a 9.1 Price to Book Value

  • The stock is trading at a premium compared to its peers' average historical valuations
  • Over the past year, while the stock has generated a return of 10.99%, its profits have risen by 39.1% ; the PEG ratio of the company is 2.8
2

Falling Participation by Institutional Investors

stock-summaryMojo Parameters

Mojo Parameters

Loading Valuation Snapshot...

Stock DNA

stock-summary
Industry

Holding Company

stock-summary
Market cap

INR 15,307 Cr (Small Cap)

stock-summary
P/E

70.00

stock-summary
Industry P/E

22

stock-summary
Dividend Yield

0.00%

stock-summary
Debt Equity

0.54

stock-summary
Return on Equity

13.02%

stock-summary
Price to Book

9.20

Revenue and Profits:
Net Sales:
307 Cr
(Quarterly Results - Mar 2026)
Net Profit:
60 Cr
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
Dividend Yield (0%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
-9.75%
0%
-9.75%
6 Months
-14.36%
0%
-14.36%
1 Year
10.99%
0%
10.99%
2 Years
106.52%
0%
106.52%
3 Years
728.08%
0%
728.08%
4 Years
1615.89%
0%
1615.89%
5 Years
4718.94%
0%
4718.94%

Latest dividend: 1 per share ex-dividend date: Sep-09-2016

Risk Adjusted Returns v/s stock-summary
Returns Beta
Icon
Beta has not been calculated since enough price history is not available
stock-summaryNews & Corporate Actions

News

Announcements stock-summary

Announcement under Regulation 30 (LODR)-Earnings Call Transcript

28-Apr-2026 | Source : BSE

Earnings call Transcript for Q4 and Financial Year Ended 26.

Format of the Initial Disclosure to be made by an entity identified as a Large Corporate : Annexure A

27-Apr-2026 | Source : BSE

Format of Initial Disclosure to be made by an entity identified as a Large Corporate.

Sr. No. Particulars Details
1Name of CompanyChoice International Ltd
2CIN NO.L67190MH1993PLC071117
3 Outstanding borrowing of company as on 31st March / 31st December as applicable (in Rs cr) 13.00
4Highest Credit Rating during the previous FY NA
4aName of the Credit Rating Agency issuing the Credit Rating mentioned in (4)Not Applicable
5Name of Stock Exchange# in which the fine shall be paid in case of shortfall in the required borrowing under the frameworkBSE


We confirm that we are a Large Corporate as per the applicability criteria given under the SEBI circular SEBI/HO/DDHS/CIR/P/2018/144 dated November 26 2018. No



Name of the Company Secretary: Karishma Shah
Designation: Company secretary and compliance Officer
EmailId: karishma.shah@choiceindia.com
Name of the Chief Financial Officer: Manoj Singhania
Designation: Chief Financial Officer
EmailId: manoj.singhania@choiceindia.com

Date: 27/04/2026

Note: In terms para of 3.2(ii) of the circular beginning F.Y 2022 in the event of shortfall in the mandatory borrowing through debt securities a fine of 0.2% of the shortfall shall be levied by Stock Exchanges at the end of the two-year block period. Therefore an entity identified as LC shall provide in its initial disclosure for a financial year the name of Stock Exchange to which it would pay the fine in case of shortfall in the mandatory borrowing through debt markets.

Announcement under Regulation 30 (LODR)-Newspaper Publication

25-Apr-2026 | Source : BSE

Newspaper Publication for the Audited Standlone and Consolidated Financials Results for the Quarter and Financial Year ended March 31 2026.

Corporate Actions stock-summary

stock-summary
BOARD MEETING

No Upcoming Board Meetings

stock-summary
DIVIDEND

Choice International Ltd has declared 10% dividend, ex-date: 09 Sep 16

stock-summary
SPLITS

No Splits history available

stock-summary
BONUS

Choice International Ltd has announced 1:1 bonus issue, ex-date: 20 Feb 24

stock-summary
RIGHTS

Choice International Ltd has announced 1:4 rights issue, ex-date: 19 Jan 22

stock-summaryKey Factors

Quality key factors stock-summary

Factor
Value
Sales Growth (5y)
45.99%
EBIT Growth (5y)
60.33%
Net Debt to Equity (avg)
0.54
Institutional Holding
11.76%
ROE (avg)
14.87%

Valuation key factors

Factor
Value
P/E Ratio
70
Industry P/E
22
Price to Book Value
9.05
EV to EBIT
40.51
EV to EBITDA
38.49
EV to Capital Employed
7.96
EV to Sales
13.76
PEG Ratio
2.82
Dividend Yield
NA
ROCE (Latest)
19.64%
ROE (Latest)
13.02%

Technicals key factors

Indicator
Weekly
Monthly
MACD
Mildly Bullish
Mildly Bearish
RSI
No Signal
No Signal
Bollinger Bands
Mildly Bearish
Bullish
Moving Averages
Mildly Bearish (Daily)
KST
Bearish
Mildly Bearish
Dow Theory
No Trend
No Trend
OBV
Mildly Bearish
No Trend
stock-summary Technical Indicator Scale: Bearish, Mildly Bearish, Sideways, Mildly Bullish, Bullish  Turned 
stock-summaryShareholding
Shareholding Snapshot : Mar 2026stock-summary
Shareholding Compare (%holding) stock-summary
Majority shareholders

Promoters

Pledged Promoter Holdings

11.8968

Mutual Funds

Held by 17 Schemes (0.29%)

FIIs

Held by 87 FIIs (11.41%)

Promoter with highest holding

Vinita Sunil Patodia (11.13%)

Highest Public shareholder

Plutus Wealth Management Llp (8.66%)

Individual Investors Holdings

19.53%

stock-summaryFinancial
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  {
    "link": "annual",
    "btn_text": "All Annual Results",
    "header": "Annual Results Snapshot (Consolidated) - Mar'26",
    "rhs": [
      {
        "prefix": "Net Sales ",
        "suffix": "YoY Growth in year ended Mar 2026 is 22.93% vs 21.27% in Mar 2025",
        "dir": 1
      },
      {
        "prefix": "Consolidated Net Profit ",
        "suffix": "YoY Growth in year ended Mar 2026 is 39.04% vs 21.48% in Mar 2025",
        "dir": 1
      }
    ],
    "table": {
      "header": [
        "Mar'26",
        "Mar'25",
        "Change(%)"
      ],
      "body": [
        {
          "field": "Net Sales",
          "val1": "1,119.13",
          "val2": "910.38",
          "chgp": "22.93%",
          "chgp_class": "positive"
        },
        {
          "field": "Operating Profit (PBDIT) excl Other Income",
          "val1": "400.06",
          "val2": "284.60",
          "chgp": "40.57%",
          "chgp_class": "positive"
        },
        {
          "field": "Interest",
          "val1": "89.09",
          "val2": "66.09",
          "chgp": "34.80%",
          "chgp_class": "negative"
        },
        {
          "field": "Exceptional Items",
          "val1": "0.00",
          "val2": "0.00",
          "chgp": "",
          "chgp_class": "neutral"
        },
        {
          "field": "Consolidate Net Profit",
          "val1": "217.66",
          "val2": "156.54",
          "chgp": "39.04%",
          "chgp_class": "positive"
        },
        {
          "field": "Operating Profit Margin (Excl OI)",
          "val1": "35.75%",
          "val2": "31.26%",
          "chgp": "4.49%",
          "chgp_class": "positive"
        }
      ]
    }
  }
]

Quarterly Results Snapshot (Consolidated) - Mar'26 - QoQstock-summary

Mar'26
Dec'25
Change(%)
Net Sales
306.71
303.36
1.10%
Operating Profit (PBDIT) excl Other Income
115.51
111.77
3.35%
Interest
25.89
21.48
20.53%
Exceptional Items
0.00
0.00
Consolidate Net Profit
60.31
57.13
5.57%
Operating Profit Margin (Excl OI)
37.66%
36.84%
0.82%
Values in Rs Cr.
Direction Arrows
Net Sales

QoQ Growth in quarter ended Mar 2026 is 1.10% vs 10.54% in Dec 2025

Direction Arrows
Consolidated Net Profit

QoQ Growth in quarter ended Mar 2026 is 5.57% vs 3.44% in Dec 2025

Half Yearly Results Snapshot (Consolidated) - Sep'25stock-summary

Sep'25
Sep'24
Change(%)
Net Sales
509.06
448.04
13.62%
Operating Profit (PBDIT) excl Other Income
172.79
128.79
34.16%
Interest
41.73
28.21
47.93%
Exceptional Items
0.00
0.00
Consolidate Net Profit
100.25
75.45
32.87%
Operating Profit Margin (Excl OI)
33.94%
28.75%
5.19%
Values in Rs Cr.
Direction Arrows
Net Sales

Growth in half year ended Sep 2025 is 13.62% vs 36.24% in Sep 2024

Direction Arrows
Consolidated Net Profit

Growth in half year ended Sep 2025 is 32.87% vs 47.42% in Sep 2024

Nine Monthly Results Snapshot (Standalone) - Mar'26stock-summary

Mar'26
Dec'24
Change(%)
Net Sales
20.09
19.18
4.74%
Operating Profit (PBDIT) excl Other Income
6.52
10.25
-36.39%
Interest
1.55
1.76
-11.93%
Exceptional Items
0.00
0.00
Standalone Net Profit
4.40
7.11
-38.12%
Operating Profit Margin (Excl OI)
32.45%
53.44%
-20.99%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in nine months ended Mar 2026 is 4.74% vs 88.59% in Dec 2024

Direction Arrows
Standalone Net Profit

YoY Growth in nine months ended Mar 2026 is -38.12% vs 422.79% in Dec 2024

Annual Results Snapshot (Consolidated) - Mar'26stock-summary

Mar'26
Mar'25
Change(%)
Net Sales
1,119.13
910.38
22.93%
Operating Profit (PBDIT) excl Other Income
400.06
284.60
40.57%
Interest
89.09
66.09
34.80%
Exceptional Items
0.00
0.00
Consolidate Net Profit
217.66
156.54
39.04%
Operating Profit Margin (Excl OI)
35.75%
31.26%
4.49%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in year ended Mar 2026 is 22.93% vs 21.27% in Mar 2025

Direction Arrows
Consolidated Net Profit

YoY Growth in year ended Mar 2026 is 39.04% vs 21.48% in Mar 2025

stock-summaryCompany CV
About Choice International Ltd stock-summary
stock-summary
Choice International Ltd
Small Cap
Holding Company
Choice International Limited, incorporated on March 12, 1993, is a RBI registered "Non-Banking Financial Company" (NBFC). "Choice" Group is a financial institution which finds its legacy in solving financial problems and bridging gaps for individuals, institutions and governments.
Company Coordinates stock-summary
Company Details
Shakambari Corporate Park, 156-158 J B Nagar Andheri (E) Mumbai Maharashtra : 400099
stock-summary
Tel: 91-022-67079999
stock-summary
info@choiceindia.com
Registrar Details
Sharex Dynamic (India) Pvt Ltd , Unit -1, Luthra Ind. Premises , Safed Pool, Andheri-Kurla Road, Andheri (E), Mumbai