Choice International Ltd is a well-known financial services group offering wealth management, stockbroking, investment banking, and advisory solutions across India. With a strong client network, diversified financial products, and continuous digital transformation in the finance ecosystem, the company has grown rapidly in recent years. This growth momentum along with expanding market participation has generated strong investor interest.
In this article, we analyse the future share price target of Choice International Ltd from 2025 to 2030, supported by business outlook, valuation trends, and shareholding structure.
| Detail | Value |
|---|---|
| Open | ₹812.50 |
| Previous Close | ₹813.30 |
| Volume | 1,144,687 |
| Value (Lacs) | 9,231.33 |
| VWAP | ₹811.89 |
| Beta | 1.08 |
| Market Cap (Rs. Cr.) | 16,853 |
| Day High | ₹824.00 |
| Day Low | ₹798.70 |
| UC Limit | ₹975.95 |
| LC Limit | ₹650.65 |
| 52 Week High | ₹841.00 |
| 52 Week Low | ₹438.45 |
| Face Value | ₹10 |
| All-Time High | ₹841.00 |
| All-Time Low | ₹74.25 |
| 20D Avg Volume | 395,543 |
| 20D Avg Delivery (%) | 33.57 |
| Book Value Per Share | ₹49.61 |
Trading near its 52-week high level reflects strong momentum and market confidence. A significant rise from its all-time low shows a solid multi-year growth trajectory.
Choice International Ltd operates in segments like equity trading, mutual fund distribution, insurance advisory, NBFC lending, and investment advisory. With increasing awareness of financial investments, more retail participation in equity markets, and digital onboarding of investors at scale, the company stands well-positioned for the future.
A diversified financial services portfolio across retail and institutional clients
Strong brokerage network and digital investing platforms
Rising user participation in equity & mutual funds boosting revenue
Consistent growth supported by long-term financial adoption in India
Market penetration expanding through fintech-based solutions
| Investor Category | Holding (%) |
|---|---|
| Promoters | 55.70% |
| Retail & Others | 31.19% |
| Foreign Institutions | 12.83% |
| Mutual Funds | 0.25% |
| Other Domestic Institutions | 0.03% |
A high promoter holding suggests strong business confidence, while foreign investor participation indicates institutional trust in long-term growth.
| Year | Minimum Target (₹) | Maximum Target (₹) |
|---|---|
| 2025 | 910 | 995 |
| 2026 | 1,005 | 1,145 |
| 2027 | 1,160 | 1,310 |
| 2028 | 1,315 | 1,495 |
| 2029 | 1,485 | 1,685 |
| 2030 | 1,690 | 1,920 |
Increasing retail investment participation and strong brokerage income could drive earnings. With market interest intact, the share may continue its upward trend.
Digital growth in demat accounts and financial product distribution may enhance long-term profitability. The adoption of fintech platforms could further boost valuation.
Increasing assets under management (AUM) and growth in advisory services may push stock valuation to a new level. Expansion in wealth management could scale revenues.
More investors entering equity markets and improved operational performance may accelerate price appreciation. The company may strengthen its financial ecosystem offerings.
If Choice International successfully expands product coverage across insurance, loan distribution, and NBFC verticals, the stock could see notable upward movement.
By 2030, the company may become a major diversified financial services brand with strong national presence. Regulatory growth and financial literacy may contribute to long-term wealth creation.
With rapid fintech adoption, rising retail participation in investments, and expanding financial markets, the company holds promising long-term potential. High promoter holding and foreign investment support future growth expectations. However, investors should monitor regulatory changes, revenue diversification, and market volatility before investing.
Choice International Ltd has emerged as a high-growth financial services player with a strong market footprint and expanding digital ecosystem. With increasing financial inclusion and investment activity in India, the share may reach ₹1,690–₹1,920 by 2030. Long-term investors focusing on wealth management and fintech growth trends may consider this stock as a potential multi-year opportunity.
1. What is the expected share price target of Choice International in 2025?
The estimated target for 2025 is ₹910–₹995.
2. What is the 52-week high of Choice International?
₹841.00.
3. How much promoter holding does Choice International have?
Promoters hold 55.70%.
4. What is the projected price of Choice International in 2030?
Targets range between ₹1,690 and ₹1,920.
5. Is Choice International good for long-term investment?
With sector growth and digital expansion, it may offer long-term wealth-building potential.
Disclaimer: This article is for informational purposes only. Investors should conduct their own research or seek professional advice before investing.
