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CONCOR

Container Corporation of India Limited (CONCOR) Stock Analysis

Container Corporation of India Limited is an Indian public-sector logistics company for rail containers. It moves EXIM and domestic cargo between ports, ICDs, and hinterland on Indian Railways. Trade volumes and rail logistics efficiency drive its business. The company is listed on Indian stock exchanges and is headquartered in India.

Industrials › Railroads
₹442.00
+0.00% 1W  |  -19.80% 52W
Market Cap
33.7k CR
P/E Ratio
27
52W High
₹557
52W Low
₹421.4
Div. Yield
1.98%
Beta
0.2
50 DMA
₹494.1
200 DMA
₹488.9
Profit Margin
13.7%
Inst. Own.
42.4%
Trendline Analysis
⚠️ BREAKDOWN₹539.8₹512.1₹484.4₹456.7₹42913 Apr26 May08 Jul26 Aug09 Oct1.4Cr
Fundamentals
Profit & Loss
MetricJun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales1,9232,1952,2112,3252,1032,2882,2082,2882,1542,3552,3082,2632,160
Expenses1,5271,6481,6931,8271,6621,7061,7431,8471,7211,7791,7931,8361,715
Operating Profit396546517498442582465441433576514427444
OPM %21%25%23%21%21%25%21%19%20%24%22%19%21%
Other Income8110592939496961299588928986
Interest16171920191918171719202120
Depreciation14215315916516916685160162147154153150
Profit before tax319482431406347493457392349498433342360
Tax %24%25%24%26%25%25%26%27%26%26%24%24%24%
Net Profit245368331318259366367300267380335264269
EPS in Rs3.224.824.344.163.394.804.813.943.504.974.383.453.50
Growth — CAGR
Metric3Y5Y10Y
Revenue CAGR4.0%7.0%4.0%
Profit CAGR2.0%17.0%3.0%
Shareholding Pattern
Promoters54.80%
FIIs7.85%
DIIs29.85%
Public7.49%
CONCOR
Holdings Analysis
Key strengths & risk signals
62
Overall
60
Fundamental
65
Technical
Risks (4)
OVERVALUED! PEG of 14.21 means expensive relative to growth rate.
WEAK POSITION! Current price (442.0) is below both moving averages.
WEAK YEAR! Stock declined 19.8% in the last year.
WEAK! Trading at 15.2% of 52W range - near yearly lows.
Strengths (4)
PERFECT RECORD! Revenue has grown consistently every year. Exceptional business stability.
BULLISH TREND! 50-day average (494.1) is above 200-day average (488.9) - positive signal.
BULLISH SENTIMENT! In last 30 days: 9 up days, 21 down days. Avg volume on up days: 1,641,542 vs down days: 1,094,240. Ratio: 1.5x
LOW VOLATILITY! Beta of 0.20 - stable stock, less market risk.
Fundamental & Technical Analysis
62Overall
60Fundamental
65Technical
Fundamental Breakdown
Growth Quality
10/30
Revenue CAGR: 4.1% (SLOW, 5/15). Profit CAGR: 1.9% (SLOW, 5/15).
Profit Margin
5/10
DECENT EFFICIENCY! 13.7% profit margin - acceptable profitability.
PEG Valuation
0/10
OVERVALUED! PEG of 14.21 means expensive relative to growth rate.
Dividend Yield
5/10
LOW DIVIDEND! 1.98% yield - minimal income contribution.
Debt to Equity
10/10
VERY LOW DEBT! D/E of 0.00 - excellent financial health.
Public Holding
20/20
VERY LESS PUBLIC HOLDING! 3.02% public ownership - strong promoter/institutional control.
Stability Index
10/10
PERFECT RECORD! Revenue has grown consistently every year. Exceptional business stability.
Technical Breakdown
Moving Averages
10/10
BULLISH TREND! 50-day average (494.1) is above 200-day average (488.9) - positive signal.
Price Position
2/10
WEAK POSITION! Current price (442.0) is below both moving averages.
Trend Pattern
10/20
BREAKDOWN! Stock has broken below support levels - weakness present.
52W Performance
2/10
WEAK YEAR! Stock declined 19.8% in the last year.
Volume Sentiment
30/30
BULLISH SENTIMENT! In last 30 days: 9 up days, 21 down days. Avg volume on up days: 1,641,542 vs down days: 1,094,240. Ratio: 1.5x
RSI
4/5
APPROACHING OVERSOLD! RSI at 34.9 - watch for reversal.
52W Range
1/5
WEAK! Trading at 15.2% of 52W range - near yearly lows.
Momentum
1/5
NEGATIVE MOMENTUM! Price declined across timeframes - down 0.0% (1 week), 13.3% (1 month), 4.7% (3 months).
Beta
5/5
LOW VOLATILITY! Beta of 0.20 - stable stock, less market risk.
CONCOR
Concall / Investor Presentation
Earnings call transcripts & AI summaries
QuarterConcallSummary
Q1FY272026-08-03Concall PDF
Q3FY262026-02-05Concall PDF
Q2FY262025-11-19Concall PDF

Peer Comparison

Industrials · Railroads · 8 stocks
Industry peers
StockPriceP/EProfit MarginRevenue CAGR 5YProfit CAGR 5Y52W ChangeStock StrengthTrendlineYoY ProfitQoQ ProfitYoY RevenueQoQ Revenue
CONCOR₹442.002713.7%4.1%1.9%-19.8%62 BREAKDOWN+0.1%+1.6%+0.3%-4.6%
TITAGARH₹777.2055.66.1%4.7%-1.9%-13.6%51 BREAKDOWN-327.7%-2.6%+12.6%-12.6%
JWL₹214.40575.3%12.1%12.3%-35.3%59 BREAKDOWN-13.5%-1.7%+46.0%-14.0%
TEXRAIL₹111.0020.85.1%25.1%95.7%-17.0%70 BREAKDOWN+66.7%-13.3%-16.9%-35.2%
QUADFUTURE₹511.20–-23.4%-0.3%–+30.6%60 BREAKDOWN-32.6%-927.3%+41.5%-28.3%
MEGASOFT₹190.007.980.8%––+161.2%53 CONSOLIDATING DOWN-104.2%-99.6%––
3MINDIA₹30,170.0058.810.9%8.7%5.0%+4.2%59 CONSOLIDATING DOWN+31.2%+8.3%+19.0%+1.7%
GODREJIND₹985.4028.24.8%9.8%8.4%-7.1%63 BREAKDOWN-18.6%-36.0%+22.2%-29.2%
Data from TradeAlone · Updated daily