DYNAMIC PORTFOLIO MANAGEMENT & Share Price

DYNAMIC PORTFOLIO MANAGEMENT & Share Price

BSE: 530779
|
NBFC
|
S Cap
₹ 14.25
+0.00 (0.00%)
1D
Last updated 03 Sep, 2026, 10:34 IST

DYNAMIC PORTFOLIO MANAGEMENT & Share Price Today

As of 3 Sep 2026, DYNAMIC PORTFOLIO MANAGEMENT & share price is ₹14.25. The stock opened at ₹14.96, compared to its previous close of ₹14.25. During today's trading session, DYNAMIC PORTFOLIO MANAGEMENT & share price moved in the range of ₹14.25 to ₹14.96, with an average price of ₹14.61 for the day. Looking at its last 52-week, the stock has touched a low of ₹12.91 and a high of ₹33.58.


₹14.25
0.00% up today
₹14.96
1D LOW
1D HIGH

DYNAMIC PORTFOLIO MANAGEMENT & Returns Calculator


Circuit
L
H
₹13.54
₹14.96
52-week
L
H
₹12.91
₹33.58

About DYNAMIC PORTFOLIO MANAGEMENT &

DYNAMIC PORTFOLIO MANAGEMENT & Share Price
ISIN
INE118C01018
Sector Market Cap
₹ 16.66 Cr

Dynamic Portfolio Management & Services Limited is an India-based non-deposit-taking Non-Banking Financial Company (NBFC-ND), primarily in financial services. The Company is engaged in providing loans and other financing activities. It offers loans and advances to companies, firms, and Limited Liability Partnerships, among others. It also engaged in dealing in the investment activity, loan syndication to high-net-worth clients and corporate entities. The Company has a diversified lending portfolio across different sectors. The sector comprises commercial banks, insurance companies, NBFCs, housing finance companies, co-operatives, pension funds, mutual funds and other smaller financial entities.

DYNAMIC PORTFOLIO MANAGEMENT & Financial Highlights

  • Revenue: DYNAMIC PORTFOLIO MANAGEMENT & reported revenue of ₹0.81 crore in FY26 vs ₹0.78 crore in FY25. It showed an increase of 3.85% on a yearly basis.
  • Operating Profit: DYNAMIC PORTFOLIO MANAGEMENT & reported an operating profit of ₹0.56 crore in FY26 vs ₹0.17 crore in FY25. It showed an increase of 229.41% on a year-on-year basis.
  • Net Profit: DYNAMIC PORTFOLIO MANAGEMENT & reported a net profit of ₹0.50 crore in FY26 vs ₹0.12 crore in FY25. It showed an increase of 316.67% on a yearly basis.

DYNAMIC PORTFOLIO MANAGEMENT & Quarterly Result Highlights

  • DYNAMIC PORTFOLIO MANAGEMENT & reported revenue of ₹0.38 crore in Jun 2026, compared with ₹0.23 crore in Mar 2026, representing an increase of 65.22% on a quarter-on-quarter (QoQ) basis.
  • DYNAMIC PORTFOLIO MANAGEMENT & reported an operating profit of ₹0.23 crore in Jun 2026, compared with ₹0.38 crore in Mar 2026, representing a decrease of 39.47% on a quarter-on-quarter (QoQ) basis.
  • DYNAMIC PORTFOLIO MANAGEMENT & reported a profit of ₹0.16 crore in Jun 2026, compared with ₹0.37 crore in Mar 2026, reflecting a decrease of 56.76% on a QoQ basis.
  • The earnings per share (EPS) of DYNAMIC PORTFOLIO MANAGEMENT & stood at ₹0.11 during Jun 2026.
Know more
Promoters
0.00%
FII
0.00%
Other DII
0.00%
Retail and other
100.00%
Mutual funds
0.00%
Foreign institutions - FII
FII shareholding by period
Sep 20250.00%
Dec 20250.00%
Mar 20260.00%
Jun 20260.00%
Mkt Cap Cr
16.66

P/E
30.32

P/B
1.31

ROE
4.37%

D/E
0.20

ROCE
4.62%

Div. Yield
0.00%

EPS(TTM)
0.43
Turnover
0.06

EV/EBITDA
25.49

Net Margin
0.00%

Op. Margin
0.00%

ROA
3.39%

Quick Ratio
0.00

Curr. Ratio
0.85
Based on fundamentals, this stock's
Step 1 of 5
Performance
Very Poor
Dynamic Portfol has not beaten FD return of 7%
Step 1 of 5
Valuation
Overvalued
Dynamic Portfol appears overvalued compared to its peers
Peer Comparison
Peer comparison — key ratios
NameMkt Cap CrP/EP/BROED/EROCEBook ValueDiv. YieldTurnoverEPS(TTM)
Bajaj Finance6,58,083.0031.885.7716.68%3.139.91%165.630.57%0.1728.65
Bajaj Finserv3,18,810.0015.454.0912.58%0.0010.69%63.550.08%0.308.96
Shriram Finance2,46,322.0021.762.3315.21%3.8210.99%447.610.82%0.1553.15
TATA CAPITAL LIMITED1,54,874.0028.263.4710.57%4.157.98%89.070.16%0.127.77
JIO FIN SERVICES LTD1,56,494.0075.721.141.17%0.001.71%50.370.24%0.041.07
Cholamandalam In & Fin Co1,55,440.0027.035.0717.18%6.948.84%358.140.11%0.1361.83
ICICI PRUDENTIAL AMC LTD1,46,970.0042.1735.2379.42%0.00103.71%84.393.44%1.2067.03
Bajaj Holdings & Invs1,26,230.0013.721.6911.15%0.0011.67%2,453.731.76%0.11423.00
Muthoot Finance1,17,849.0010.292.9028.01%3.8313.50%970.761.02%0.15252.43
SBI FUNDS MANAGEMENT LTD0.0037.7119.4943.02%0.0056.50%28.9714.09%0.6615.08

DYNAMIC PORTFOLIO MANAGEMENT & Financials

Full statement

Income Statement · Standalone

Income Statement · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue--------
Other Income₹0.00₹0.00₹0.01₹0.00
Total Revenue₹0.78₹1.06₹1.12₹0.92
Total Expenses₹0.62₹1.05₹1.76₹0.80
Profit Before Tax₹0.17₹0.01-₹0.63₹0.13
Tax₹0.04₹0.00₹0.05₹0.00
Profit After Tax₹0.12₹0.01-₹0.68₹0.13
EPS - Basic₹0.11₹0.01-₹0.58₹0.11
EPS - Diluted₹0.11₹0.01-₹0.58₹0.11

Cash Flow · Standalone

Cash Flow · Standalone — all values in INR Crore
ParticularsMar 2024Mar 2023Mar 2022Mar 2021
Profit before tax₹0.01-₹0.63₹0.13₹0.22
Income before WC changes₹0.30₹0.17₹0.25₹0.22
Change in Assets-₹0.01-₹0.08₹0.06₹0.04
Change in Liabilities₹0.28₹0.13₹0.04-₹0.04
Change in WC₹0.28₹0.05₹0.10₹0.00
Cash flow from Operations₹0.50₹0.17₹0.28₹0.17
Cash flow from Investing₹5.71-₹4.91₹0.24₹1.22
Cash flow from Financing-₹7.19₹5.75-₹0.65-₹1.65
Total Cash Flow-₹0.97₹1.01-₹0.13-₹0.27
Cash (Start of the year)₹1.04₹0.03₹0.16₹0.43
Cash (End of the year)₹0.06₹1.04₹0.03₹0.16

Balance Sheet · Standalone

Balance Sheet · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹12.71₹12.69₹18.33₹13.42
Current Assets₹1.16₹1.13₹2.09₹1.01
Total Assets₹13.87₹13.82₹20.43₹14.42
Current Liabilities₹1.91₹1.98₹8.60₹0.23
Net Current Asset-₹0.75-₹0.86-₹6.51₹0.78
Non-Current Liabilities₹0.00₹0.00₹0.00₹1.69
Equity Capital₹11.96₹11.83₹11.82₹12.50
Total Equity & Liabilities₹13.87₹13.82₹20.43₹14.42
* All values are in INR Crore
Qty
Bid
600
14.96
137
14.25
0
0
0
0
0
0
Ask
Qty
0
0
0
0
0
0
0
0
0
0
Bid Total: 737
Ask Total: 0
Buy orders: 100%
Sell orders: 0%
Bearish
2
Neutral
6
Bullish
0
Slightly Bearish
by SEBI experts
Expert Pick
EXPPICK
Stop-loss
Entry price
Target
Indicator
Value
Verdict

RSI (14)
41.98
Neutral

ATR (14)
0.92
Neutral

STOCH(9,6)
46.21
Neutral

STOCH RSI (14)
60.11
Neutral

ADX(9)
21.87
Bearish

UO(9)
47.5
Neutral

ROC(12)
-7.83
Bearish

WillR(14)
-66.42
Neutral
Period
Simple value
Exponential vaue

5D
14
14.17

10D
14.53
14.51

20D
15.26
15.15

50D
17.41
17.15

100D
20.65
19.18
Volume trend — traded volume by day
3 Sep0L
2 Sep0L
31 Aug0L
27 Aug0L
Average0L
Compare against other stocks
DYNAMIC PORTFOLIO MANAGEMENT & Share Price
DYNAMIC PORTFOLIO MANAGEMENT &
NBFC
Add Stock
Add Another

DYNAMIC PORTFOLIO MANAGEMENT & Share Price FAQs