Tata Investment Corporation Ltd Analysis

Company Introduction

Founding Year: 1939

Headquarters Location: Mumbai, India

Core Business Summary: Tata Investment Corporation is a non-banking financial company that invests in a diversified portfolio of listed and unlisted equity shares.

Overview

Tata Investment Corporation Ltd (TATAINVEST)

Current Price
₹ 9,209
PE Ratio
142.32
EPS
65
Market Cap
₹ 46,616 Cr

Company Overview

Industry Sector: Financial Services

Financials

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Revenue 247 270 158 177 144 163 254 277 385 304
YoY % +9.3% -41.5% +12.0% -18.6% +13.2% +55.8% +9.1% +39.0% -21.0%
EBITDA 229 237 139 147 103 145 230 247 353 268
YoY % +3.5% -41.4% +5.8% -29.9% +40.8% +58.6% +7.4% +42.9% -24.1%
Net Profit 194 200 131 134 90 155 214 252 385 312
YoY % +3.1% -34.5% +2.3% -32.8% +72.2% +38.1% +17.8% +52.8% -19.0%
EPS 35.28 36.37 23.79 26.44 17.89 30.43 42.34 49.78 76.09 61.68
YoY % +3.1% -34.6% +11.1% -32.3% +70.1% +39.1% +17.6% +52.9% -18.9%

Growth Drivers

Historical Growth Drivers: Dividend income, long-term investments in growth stocks

Future Growth Drivers: Adoption of digital technologies, expansion into new investment products, strategic partnerships

Examples: Investment in Tata Group companies, such as Tata Consultancy Services and Tata Motors

Market Position

Competitive Position: Established player in the Indian investment industry

Estimated Market Share: 5-7%

Technological Moat: Strong research and analysis capabilities, experienced management team

Strengths

  • 2.5-3.5%
  • Diversified portfolio of over 50 stocks
  • Tata Group
  • 15-20%

Weaknesses

  • Changes in Indian financial regulations
  • Fluctuations in the Indian stock market
  • Increasing competition from other investment companies
  • High concentration of investments in a few sectors

Valuations

Valuations for TATAINVEST

Formula Bull Base Bear Margin of Safety
Ben Graham ₹ 1,159 ₹ 1,159 ₹ 427 -694.5%
Peter Lynch ₹ 617 -1,393.0%
PEG Ratio: 13.03

Rule of thumb (Lynch):
PEG ≈ 1 → Fairly valued
PEG < 1 → Undervalued (growth cheap relative to earnings)
PEG > 1.5 → Overvalued

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Outlook

Opportunities: Growing demand for investment products, expansion into new sectors

Risks: Regulatory changes, market volatility, competition

Horizon: 3-5 years

Expected Growth: 8-12% CAGR

Stock Price Performance

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Price 478.00 637.45 770.05 849.80 641.00 1,034.45 1,417.50 1,773.10 6,556.10 6,232.10
YoY % +33.4% +20.8% +10.4% -24.6% +61.4% +37.0% +25.1% +269.8% -4.9%
* The price is shown as of 01 April each year.

Stock 3 Year Rolling CAGR

Metric 2018 2019 2020 2021 2022 2023 2024 2025 Average
Revenue -13.84% -13.13% -3.05% -2.71% 20.83% 19.33% 14.87% 3.15% 3.18%
EBITDA -15.33% -14.72% -9.51% -0.46% 30.71% 19.43% 15.35% 2.76% 3.53%
Net Profit -12.27% -12.50% -11.76% 4.97% 33.47% 17.59% 21.62% 7.38% 6.06%
EPS -12.31% -10.08% -9.06% 4.80% 33.26% 17.83% 21.58% 7.41% 6.68%
Price 17.23% 10.06% -5.93% 6.77% 30.28% 19.68% 66.61% 52.04% 24.59%

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