Stock Price Movement and Market Context
On 28 Nov 2025, Money Masters Leasing & Finance touched its lowest price in the last 52 weeks at Rs.0.9, a sharp contrast to its 52-week high of Rs.10.75. This represents a substantial reduction in market value, with the stock trading below all key moving averages including the 5-day, 20-day, 50-day, 100-day, and 200-day averages. The day’s change registered a decline of 1.09%, aligning with the broader sector’s performance.
Meanwhile, the broader market showed resilience, with the Sensex opening flat and then gaining 0.11% to trade at 85,815.80 points. The Sensex remains close to its 52-week high of 86,055.86, supported by mega-cap stocks and trading above its 50-day and 200-day moving averages. This divergence highlights the challenges faced by Money Masters Leasing & Finance relative to the overall market and its sector peers.
Financial Performance Overview
Over the past year, Money Masters Leasing & Finance’s stock has recorded a return of -90.78%, contrasting with the Sensex’s positive 8.62% return during the same period. The company’s net sales have shown a negative annual growth rate of 4.20%, indicating a contraction in revenue streams. Quarterly results for September 2025 reveal flat performance with PBDIT at Rs. -0.04 crore and PBT less other income at Rs. -0.05 crore. Earnings per share for the quarter stood at Rs. -0.00, reflecting minimal profitability.
The company’s return on equity (ROE) is reported at 2.2%, which, while modest, is accompanied by a price-to-book value of 0.6. This valuation metric suggests the stock is trading at a discount relative to its book value and compared to historical valuations of its peers within the Non Banking Financial Company (NBFC) sector.
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Sector and Shareholding Details
Money Masters Leasing & Finance operates within the Non Banking Financial Company (NBFC) sector, a segment that has experienced varied performance across different players. The company’s majority shareholders are non-institutional, which may influence trading dynamics and liquidity considerations.
Despite the subdued financial indicators, the stock’s valuation metrics remain attractive relative to its sector peers. The PEG ratio stands at 0.8, reflecting the relationship between price, earnings, and growth, though profits have remained flat over the past year.
Technical Indicators and Market Position
The stock’s position below all major moving averages signals a bearish technical trend. This contrasts with the Sensex’s bullish stance, supported by its 50-day moving average trading above the 200-day moving average. The divergence between Money Masters Leasing & Finance and the broader market underscores the stock’s current challenges in regaining momentum.
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Summary of Key Metrics
To summarise, Money Masters Leasing & Finance’s stock price has declined sharply over the last year, culminating in a fresh 52-week low of Rs.0.9. The company’s financial results indicate limited growth in net sales and persistent losses at the operating and pre-tax levels. The valuation metrics suggest the stock is trading at a discount relative to book value and sector averages, while technical indicators point to continued downward pressure.
The broader market environment remains positive, with the Sensex near its 52-week high and supported by strong mega-cap performance. This contrast highlights the specific challenges faced by Money Masters Leasing & Finance within the NBFC sector.
Outlook Considerations
While the stock’s current position reflects a period of subdued performance, the company’s valuation metrics and sector context provide a comprehensive view of its standing. Investors and market participants may continue to monitor the stock’s price action and financial disclosures for further developments.
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