Switch to
View more

Westlife Development Ltd

WESTLIFE
Consumer DiscretionaryRestaurants & Cafes
SmallcapWith a market cap of ₹9,274 cr, stock is ranked 352
Low RiskStock is 1.81x as volatile as Nifty
596.3013.45 (-2.21%)

Price Chart

High
Low
Returns
1D
1W
1M
1Y
5Y
Max
SIP
Loading...
1D
1W
1M
1Y
5Y
Max
SIP
Investment Checklist
BasicPro
Go pro! Unlock deeper insights
Consumer DiscretionaryRestaurants & Cafes
SmallcapWith a market cap of ₹9,274 cr, stock is ranked 352
Low RiskStock is 1.81x as volatile as Nifty

Key MetricsEdit

PE RatioPE Ratio
-5,553.84
PB RatioPB Ratio
19.27
Dividend YieldDiv. Yield
Sector PESector PE
135.67
Sector PBSector PB
5.92
Sector Div YldSctr Div Yld
0.57%

Forecast & RatingsDetailed Forecast 

88%

Analysts have suggested that investors can buy this stock

Price

Price Upside

Pro Only

Earnings

Earnings Growth

Pro Only

Revenue

Rev. Growth

Pro Only

See Detailed Forecast

Company Profile

Westlife Development is engaged in letting out of property and trading in goods

Financial TrendFinancial statements 

20192020202120221.421.561.031.600.02-0.01-0.10-0.00
Revenue
Profit
Loss
All values in ₹ Thousand cr.
See financial statements

Holdings TrendDetailed holdings 

Total Promoter Holding
Increasing promoter holding is considered good and reflects management’s positive view about the future outlook

In last 6 months, promoter holding in the company has almost stayed constant

Low Pledged Promoter Holding
Lower pledged promoter holdings is considered better

Pledged promoter holdings is insignificant

Increased Mutual Fund Holding
Increasing Mutual Fund holdings are generally considered good, as it reflects that fund managers are becoming more bullish about the stock

In last 3 months, mutual fund holding of the company has increased by 1.01%

See detailed holdings