Tata Investment Share Price Target 2025, 2026, 2030, 2040, 2050

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Tata Investment Corporation Ltd., the Tata Group’s primary investment firm, long-term invests in stocks, mutual funds, and securities. Due to its diverse financial services, technology, and consumer goods portfolio, investors and analysts closely monitor the business. From 2024 to 2050, market, regulatory, and economic factors will define Tata Investment’s share price targets.

Fundamental Table

Metric Value (Mar 2024)
Market Capitalization ₹35,351 Cr
Current Share Price ₹6,773
High / Low ₹9,757 / ₹2,278
Stock P/E 89.0
Book Value per Share ₹5,923
Dividend Yield 0.42%
Return on Capital Employed (ROCE) 1.67%
Return on Equity (ROE) 1.55%
Face Value ₹10.00
Total Debt to Equity 0.00
Total Assets ₹32,870 Cr
Net Profit (Annual) ₹284 Cr
Cash from Operating Activities ₹215 Cr

Key Metrics Table

Metric Value
PE Ratio (x) 99.28
EPS – TTM (₹) 72.98
Market Cap (₹ Cr.) 36,550.04
PB Ratio (x) 1.15
Dividend Yield (%) 0.39
Sectoral Market Cap Rank 2
52 Week High / Low (₹) 9,756.85 / 2,885.00

Peers and Comparison

Company Market Cap (₹ Cr) PE Ratio Dividend Yield (%) ROE (%)
Tata Investment Corporation Ltd 36,550 99.28 0.39 1.55
HDFC Asset Management Co Ltd 60,000 30.00 1.50 20.00
ICICI Prudential Asset Management 55,000 25.00 1.20 18.00
Aditya Birla Sun Life AMC 45,000 28.50 1.00 15.00

What Is Tata Investment Corporation Ltd Nse: Tatainvest?

Tata Investment Corporation Ltd (NSE: Tatainvest) is a leading Indian investment management organisation that invests in stock, debt, and mutual funds for the long term. Since 1937, it has been part of the Tata Group and operates under Indian NBFC regulations.

Share Price Target Tomorrow

Price Type Change
Maximum +₹126.00
Minimum -₹74.00

Tata Investment Share Price Target 2025

Tata Investment Corporation is a major investor with a wide portfolio in technology, consumer products, and infrastructure. Our portfolio management method uses experienced personnel and modern analytical tools to handle market changes. As it seeks consistent returns for investors, various variables will affect its share price in 2025. In 2025, its share price target would be ₹9121, as per our analysis.


By our prediction, its share price would be between ₹4482 and ₹9121 in 2025.

Year Minimum Price (Rs) Maximum Price (Rs)
2025 4482 9121
Month Minimum Price  (Rs) Maximum Price (Rs)
January 5621 6949
February 5145 6507
March 5590 6821
April 5248 6878
May 5024 6958
June 4785 7120
July 4482 7235
August 4658 7347
September 5147 7597
October 5874 7814
November 6784 8258
December 7358 8528

Share Price Target 2026

A well-established Tata Group investment organisation, Tata Investment Corporation Ltd. makes long-term investments in technology, finance, and consumer products. The smart portfolio management and consistent returns position the organisation for development in 2026. The share price objective is set at ₹9,944, indicating a healthy economic and market outlook. Market performance, economic development, and Tata Investment’s portfolio management affect this aim. Changes in regulatory frameworks and interest rates will also affect investor mood and stock demand. Tata Investment has an optimistic view, although success will rely on a mix of these dynamic elements throughout the year.

Year Minimum Price (₹) Maximum Price (₹)
2026 9,000 9,944
Month Minimum Price (₹) Maximum Price (₹)
January 8500 9,200
February 9,200 9,300
March 9,300 9,400
April 9,400 9,500
May 9,500 9,600
June 9,600 9,700
July 9,700 9,800
August 9,800 9,900
September 9,900 10,000
October 10,000 10,100
November 10,100 10,200
December 10,200 10,300

Tata Investment Share Price Target 2030

Since 1937, the Tata Group’s Tata Investment Corporation Ltd. has been a major investor. The business makes long-term investments in listed and unquoted securities in finance, technology, and consumer products. Tata Investment prioritises strategic portfolio management to provide consistent shareholder returns. By 2030, the share price goal is expected to range from ₹25,456 to ₹26,548, supported by positive market conditions and strong corporate performance.

Year Minimum Price (₹) Maximum Price (₹)
2030 25,456 26,548
Month Minimum Price (₹) Maximum Price (₹)
January 25,700 25,900
February 25,800 26,000
March 25,900 26,100
April 26,000 26,200
May 26,100 26,300
June 26,200 26,400
July 26,300 26,500
August 26,400 26,600
September 26,500 26,700
October 26,600 26,800
November 26,700 26,900
December 26,800 27,000

Share Price Target 2040

Tata Investment Corporation Ltd., a significant Tata Group subsidiary, makes strategic investments in technology, finance, and consumer products. With a focus on long-term wealth development, the firm has consistently delivered outstanding shareholder returns. The share price objective for 2040 is forecast to be between ₹50,000 and ₹55,000, driven by the Indian economy’s development and the company’s strong portfolio management.

Year Minimum Price (₹) Maximum Price (₹)
2040 50,000 55,000
Month Minimum Price (₹) Maximum Price (₹)
January 50,500 51,000
February 51,000 51,500
March 51,500 52,000
April 52,000 52,500
May 52,500 53,000
June 53,000 53,500
July 53,500 54,000
August 54,000 54,500
September 54,500 55,000
October 55,000 55,500
November 55,500 56,000
December 56,000 56,500

Share Price Target 2050

Tata Investment Corporation Ltd., a major Tata Group company, leads strategic investments in technology, finance, and consumer products. The firm is poised for expansion due to its strong history of shareholder returns. By 2050, the share price objective is expected to reach between ₹75,000 and ₹85,000, driven by economic growth and the company’s commitment to wealth development.

Year Minimum Price (₹) Maximum Price (₹)
2050 75,000 85,000
Month Minimum Price (₹) Maximum Price (₹)
January 75,500 76,000
February 76,000 76,500
March 76,500 77,000
April 77,000 77,500
May 77,500 78,000
June 78,000 78,500
July 78,500 79,000
August 79,000 79,500
September 79,500 80,000
October 80,000 80,500
November 80,500 81,000
December 81,000 81,500

Should I Buy Tata Investment Stock?

Year Minimum Price (₹) Maximum Price (₹)
2025 4482 9121
2026 9,000 9,944
2030 25,456 26,548
2040 50,000 55,000
2050 75,000 85,000

Tata Investment Corporation Ltd. may be a good portfolio addition given its record and prospects. The stock trades at ₹6,511 and has a market valuation of about ₹32,943 crore. The company’s earnings have grown 23.5% annually over the previous five years, suggesting high operational efficiency. It has an amazing 89% pre-tax margin but a dismal 1.55% ROE.

The stock is trading at 1.10 times its book value, suggesting it may be undervalued. Tata Investment also pays a regular dividend, appealing to income-focused investors. However, market instability and industry problems are dangers. Tata Investment may be a good choice for a solid, growing investment.

Tata Investment Corporation Ltd Earning Results

Period Total Income (₹ Cr) Total Expenses (₹ Cr) EBIT (₹ Cr) PAT (₹ Cr) Basic EPS (₹)
Jun 2024 140.95 11.00 130.33 112.76 22.29
Mar 2024 55.54 7.65 48.24 35.26 6.97
Dec 2023 30.61 6.28 25.40 24.08 4.76
Sep 2023 113.71 9.91 104.95 113.24 22.38
Jun 2023 122.62 8.69 114.19 111.33 22.00

Expert Forecasts On The Future Of Tata Investment Corporation Ltd.

Period Total Income (₹ Cr) Total Expenses (₹ Cr) EBIT (₹ Cr) PAT (₹ Cr) Basic EPS (₹)
Jun 2024 140.95 11.00 130.33 112.76 22.29
Mar 2024 55.54 7.65 48.24 35.26 6.97
Dec 2023 30.61 6.28 25.40 24.08 4.76
Sep 2023 113.71 9.91 104.95 113.24 22.38
Jun 2023 122.62 8.69 114.19 111.33 22.00

Is Tata Investment Stock Good To Buy? (Bull Case & Bear Case)

Bull Case

  1. Over the previous five years, Tata Investment’s earnings have grown 23.5%, suggesting strong operational performance and management.
  2. Its 89% pre-tax margin shows its capacity to reduce expenses and maximise profits, which attracts investors seeking efficient operations.
  3. At 1.15 price-to-book, the company may be undervalued compared to its assets, implying price increase as the market recognises its actual worth.
  4. Tata Investment attracts income-focused investors seeking sustainable returns and capital appreciation because to its consistent dividend distributions.
  5. Large investors are more confident in Tata Investment’s development potential, since institutional investment has increased.

Bear Case

  1. The stock’s 93.41 P/E ratio suggests overvaluation and price corrections if results disappoint investors.
  2. Current technical analysis displays negative indications, which average 2.5% drops, predicting short-term stock price deterioration.
  3. Economic uncertainty and market volatility might hurt Tata Investment, affecting stock prices and investor sentiment.
  4. Tata Investment shares may lose demand as mutual funds and ETFs develop, impacting its market position and growth prospects.
  5. If significant Tata Investment firms underperform or fail to provide projected profits, investor confidence may drop and stock prices may fall.

Conclusion

Investors seeking a stable financial player can investigate Tata Investment Corporation Ltd. The firm’s profitability and diverse portfolio have made it durable and flexible in many market scenarios. Continuous dividends and 23.79% CAGR show shareholder value. Recent institutional ownership growth shows investor confidence. However, a 93.9 P/E ratio may signal overvaluation, so investors should be cautious. Tata Investment attracts long-term investors with stability and growth.

FAQs

The share price of Tata Investment Corporation is ₹7,257 as of October 21, 2024. Investor sentiment, market conditions, and economic factors impact its price. For precise info, check real-time.

Tata Investment Corporation has a market valuation of around ₹34,683.8 crore. Outstanding share market value shows corporate size and financial sector investment potential.

Tata Investment Corporation’s P/E is 93.9. This high ratio implies growth expectations and overvaluation concerns as investors are willing to pay more per unit of profits.

Tata Investment Corporation gave a 280% stock dividend yielding 0.4%. This yield compares the annual dividend distribution to the stock price, appealing to income-focused investors seeking returns and capital gain.

Promotional ownership of 73.38% of Tata Investment Corporation shares reflects insider confidence. Foreign institutional investors hold 2.26% and domestic institutional investors 0.48%, which may boost corporate stability and governance.

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