Home/Stocks/Capri Global Capital Ltd.
NSE: CGCL · Banking & Finance

Capri Global Capital Ltd.

257.98 5.38%
Open
245.00
High
263.56
Low
244.10
Prev close
244.80
Volume
2,96,80,127

Market closed · data as of 28 Aug 2026 · source NSE via Alphave. Open the live chart →

What Capri Global Capital does

Capri Global Capital is a non-bank lender focused on MSME secured lending (small-ticket loans against property), affordable housing finance (via Capri Global Housing), gold loans (a rapidly scaled newer vertical), and construction finance, plus a fee business distributing car loans for banks. Branch expansion in north/west India and the gold-loan rollout drive AUM growth; asset quality in small-ticket secured lending is the key monitorable.

A mid-sized NBFC in MSME and affordable housing credit with an emerging gold-loan franchise.

Listing and classification

NSE symbol
CGCL
ISIN
INE180C01042
Sector
Banking & Finance
Sub-sector
Financial Services
Market-cap tier
Small Cap
Market-cap rank
#1061

Capri Global Capital Ltd. is a constituent of NIFTY 500, NIFTY SMALLCAP 100, NIFTY SMALLCAP 250. See where it sits on the market heatmap →

Financial ratios, as filed

Consolidated annual figures taken from Capri Global Capital Ltd.'s own filed statements — not estimates, and not restated by us. The most recent period shown is FY26 (year ended 31 Mar 2026).

Per-share figures are not restated. Shares outstanding changed from 82.51 crore to 96.22 crore in FY26, consistent with a bonus issue or stock split. Each year's EPS and book value below are as that year was filed, on that year's share count — so the per-share line falls across FY26 even where profit did not. Compare the absolute figures (EBITDA, free cash flow, total debt) and the margins across that boundary, not the per-share ones.

Capri Global Capital Ltd. — key consolidated ratios by financial year
MetricFY26FY25FY24
EPS (basic, ₹)10.155.803.39
Book value / share (₹)74.8752.1646.51
Return on equity13.2%11.1%7.3%
Operating margin62.9%58.6%51.9%
Net margin20.1%14.7%12.1%
EBITDA₹3,086 Cr₹2,005 Cr₹1,288 Cr
Free cash flow₹-8,787 Cr₹-4,361 Cr₹-3,764 Cr
Interest coverage1.71.51.4
Shares outstanding96,21,50,00082,51,20,00082,49,40,000

Open the full income statement, balance sheet and cash flow for CGCL

Shareholding pattern

As disclosed for the quarter ended 30 Jun 2026.

Promoter & group
59.92%
FII / FPI
8.21%
DII
18.42%
Public
40.08%

Institutional ownership changes quarter to quarter. See daily FII and DII flows across the market →

Peers in Financial Services

Companies Alphave classifies in the same sub-sector, closest by market capitalisation.

What this page will not tell you

Whether to buy it
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A forecast of next quarter
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Intraday precision
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