CRP Risk Management Share Price History and Return 2018 to 2024
CRP Risk Management Limited | |||
Price: ₹10.54 | |||
52 Week Low: ₹7.16 52 Week High: ₹31.82 | |||
Market Capital: N/A | |||
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Show Table of Contents
Table of Contents
- 1: CRP Risk Management Stock Highlights
- 1.1: 52-Week High Low
- 1.2: All Time High
- 2: CRP Risk Management Recent Performance
- 3: CRP Risk Management Stock Price Chart From 2018 to 2024
- 4: CRP Risk Management Stock Price History Table From 2018 to 2024
- 5: Analyzing the Impact of Investing in CRP Risk Management
- 6: CRP Risk Management Returns vs Bank FD Returns
CRP Risk Management Stock Highlights
As of 26 Dec 2024, CRP Risk Management Stock price is ₹10.54 which is ₹21.28 below 52-week high of ₹31.82 and ₹3.38 above 52-week low of ₹7.16
52-Week High Low
- CRP Risk Management 52-Week High is ₹31.82 occurred on 06 Mar 2024
- CRP Risk Management 52-Week Low is ₹7.16 occurred on 30 Jul 2024
All Time High
- The all-time high or the highest price that CRP Risk Management stocks have ever touched was ₹67.30 and this occurred on 26 Dec 2024.
- The highest closing price at which CRP Risk Management stocks have ever closed was ₹59.75 recorded on 26 Dec 2024.
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CRP Risk Management Recent Performance
Over the past 15 trading days, the value of CRP Risk Management's stock has increased by ₹0.66 (+6.68%). On 12 Nov 2024, its one share was worth ₹9.88 and by 26 Dec 2024, the value jumped to ₹10.54. During this period it created a highest high of ₹10.54 and lowest low of ₹9.06.
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CRP Risk Management Stock Price Chart From 2018 to 2024
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CRP Risk Management Stock Price History Table From 2018 to 2024
Year | CRP Risk Management | YOY Chg% | ↑High - ↓Low |
---|---|---|---|
2024 | ₹10.54 | -55.2% | ↑ ₹31.82 ↓ ₹7.16 |
2021 | ₹23.50 | 2.3% | ↑ ₹29.15 ↓ ₹23.50 |
2020 | ₹22.95 | -13.4% | ↑ ₹30.00 ↓ ₹16.00 |
2019 | ₹26.50 | -14.6% | ↑ ₹41.00 ↓ ₹14.25 |
2018 | ₹31.00 | - | ↑ ₹67.30 ↓ ₹26.25 |
Analyzing the Impact of Investing in CRP Risk Management
CRP Risk Management Stock price in the year 2018 was ₹31.00. If you had invested ₹10,000 in CRP Risk Management Stock in 2018, in 6 years, your investment would have reduced to ₹3,399 by the end of 2024. This represents a negative return of -66.0% from 2018 to 2024, with a compound annual growth rate (CAGR) of -16.5%.
CRP Risk Management Returns vs Bank FD Returns
Investment Type | Initial Amount | Final Value | Total Returns |
---|---|---|---|
CRP Risk Management Shares | ₹10,000 | ₹3,400 | -66.0% |
Bank FD (Simple Interest) | ₹10,000 | ₹13,600 | 36.0% |
Bank FD (Compound Interest) | ₹10,000 | ₹14,185.19 | 41.9% |
Disclaimer: The information provided on this page is for educational purposes only and should not be considered as financial advice. Historical performance data and technical analysis cannot guarantee future results. Stock investments are subject to market risks. Please consult with a qualified financial advisor before making any investment decisions.
All stock data shown is sourced from publicly available information and while we strive for accuracy, we cannot guarantee the absolute accuracy of all figures. Users should verify critical information from official sources before making investment decisions.