Paramount Communications Ltd, a leading player in the cable and wire industry, has been steadily gaining attention due to its technological advancements and wide sectoral demand. The company supplies its products across power, telecom, infrastructure, and railways. With a strong legacy and increasing focus on modernization, Paramount is positioning itself as a potential mid-cap growth stock.
In this article, we will explore Paramount Communications' share price targets from 2025 to 2030, including its business overview, stock performance, and key investment highlights.
Detail | Value |
---|---|
Open | ₹56.16 |
Previous Close | ₹57.16 |
Day's High | ₹57.50 |
Day's Low | ₹55.30 |
VWAP | ₹56.32 |
52-Week High | ₹100.63 |
52-Week Low | ₹44.10 |
All-Time High | ₹116.85 |
All-Time Low | ₹1.05 |
Market Capitalization | ₹1,711 Cr |
Beta | 1.62 |
Face Value | ₹2 |
Book Value per Share | ₹22.13 |
Volume | 10.61 lakh |
20D Avg Volume | 9.27 lakh |
20D Avg Delivery (%) | 52.76% |
Founded several decades ago, Paramount Communications Ltd is known for its extensive product range in cables and wires used in power transmission, telecommunications, railways, defense, and more. The company operates with an innovative and sustainable approach while catering to both domestic and global clients.
Offers power, telecom, and railway signaling cables.
Supplies to government infrastructure projects and private sectors.
Focus on Make in India and indigenously developed solutions.
High Beta of 1.62 indicates strong price movement — suitable for high-risk, high-return investors.
Investor Type | Holding (%) |
---|---|
Promoters | 49.06% |
Retail & Others | 50.47% |
Foreign Institutions | 0.38% |
Other Domestic Institutions | 0.08% |
The large retail holding shows growing retail investor interest, while the near-equal promoter stake reflects strong promoter confidence in the company’s future.
Year | Minimum Target (₹) | Maximum Target (₹) |
---|---|---|
2025 | ₹60 | ₹70 |
2026 | ₹72 | ₹85 |
2027 | ₹88 | ₹105 |
2028 | ₹110 | ₹125 |
2029 | ₹128 | ₹140 |
2030 | ₹145 | ₹160 |
These targets are based on the company’s historical price action, technical resistance levels, industry demand, and potential earnings growth.
By 2025, Paramount is expected to benefit from strong demand in the infrastructure and power sectors.
Why?
Rising investments in railway electrification and smart grid projects.
Increased volume activity and delivery percentage indicate accumulation.
Investment Advice: Accumulate on dips. Consider short- to medium-term positional investments.
2026 could mark a phase of expansion and export growth.
Why?
Government’s increased focus on self-reliance and Make in India projects.
Strengthening telecom and defense cable demand.
Investment Advice: Long-term SIPs recommended; avoid profit booking too early.
With innovation and high beta-driven moves, the stock could show accelerated growth in 2027.
Why?
Rising operational revenue from infrastructure contracts.
Likely partnerships or joint ventures.
Investment Advice: Maintain core holding; volatility will offer multiple buying opportunities.
By 2028, the company may explore inorganic growth or capacity expansion.
Why?
Growth in export orders.
Improved EPS and balance sheet strength.
Investment Advice: Great time to accumulate and reinvest dividends (if declared).
Robust growth outlook driven by sectoral reforms and demand.
Why?
Steady improvement in ROCE and PAT margins.
Institutional entry possible due to strong earnings performance.
Investment Advice: Ideal to hold for long-term wealth creation.
2030 could be a breakout year for Paramount if it achieves top-line expansion and a strong global presence.
Why?
Crossover to mid-cap category based on market cap projections.
Wider adoption of fiber and power cable infrastructure globally.
Investment Advice: Consider this stock for core portfolio allocation over the next 5–7 years.
Yes, Paramount Communications Ltd is suitable for long-term investors looking for growth in the infrastructure, telecom, and power sectors. With strong promoter backing and growing retail participation, the stock shows potential for long-term wealth creation.
Positioned in key government-backed sectors like power and defense.
High historical returns from its all-time low (₹1.05) to current levels.
Good liquidity and trading volume.
Promoter confidence and improving financial ratios.
High beta means stock is volatile — suitable for risk-tolerant investors.
Dependent on public sector contracts; delays may affect revenue.
Raw material price fluctuation (especially metals and polymers).
Always consult a certified financial advisor before making investment decisions.
Paramount Communications Ltd is a high-growth, high-risk opportunity in the electrical infrastructure space. Currently trading near ₹57.16, it holds potential to reach ₹160 by 2030 if it maintains its growth trajectory and expands into global markets. Its strong fundamentals, diversified demand base, and focus on innovation make it an exciting stock for aggressive long-term investors.
Stay updated with quarterly results, especially during infrastructure budget announcements and sectoral reforms.
1. What is the current share price of Paramount Communications?
As of July 30, 2025, it is ₹57.16.
2. Is Paramount Communications a good investment for 2025?
Yes, provided you have a medium- to long-term investment horizon.
3. What is the 52-week high and low of Paramount Communications?
The 52-week high is ₹100.63 and the 52-week low is ₹44.10.
4. What sectors does Paramount serve?
Power, telecom, infrastructure, defense, and railways.
5. What is the all-time high of the stock?
₹116.85
6. Is this stock suitable for SIP-style investing?
Yes, due to its high beta, SIPs can help manage entry volatility.
7. How much does the promoter hold in the company?
49.06% as of March 2025.
8. What makes Paramount Communications stock attractive?
Sector tailwinds, promoter trust, and technical upside potential.
Disclaimer: This blog is for informational purposes only. Investors are advised to do their own research and consult financial experts before making any investment decisions.