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Williamson Magor & Co. (Small Cap - Next Multibagger) Share Target 2024, 2025 To 2039

Williamson Magor & Co. Limited

Company Logo Price: ₹39.61
52 Week Low: ₹30.15
52 Week High: ₹46.00
Market Capital: 39.99 Crore (Smallcap)
Financial Services -> Credit Services
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To predict the Williamson Magor & Co.'s future market prices, we harnessed 2 dynamic approaches:

Approach 1: Technical Analysis Paired With Price Action
Approach 2: Machine Learning By Studying Historical Prices

Approach 1: Technical Analysis Paired With Price Action

Williamson Magor & Co. Share Price Target For 2024

The line chart displays the monthly closing prices of Williamson Magor & Co. with a black line. The green line shows three potential target prices for 2024, while the red line indicates three potential Stop Loss levels.

For detailed target and stop loss values for Williamson Magor & Co. shares in 2024, see the table below.

Williamson Magor & Co. Share Price Target Table For 2024

Level Value Analysis
2024 Target 3 41.79 (+5.5%) Price Action: Apr 2014 Low
2024 Target 2 41.28 (+4.21%) Price Action: 11 Oct 2024 High
2024 Target 1 40.8 (+3%) Price Action: 04 Jul 2024 High
Current Price 39.61 Williamson Magor & Co.'s share price as of 26 Dec 2024
Stop Loss 1 39.15 (-1.17%) Price Action: 02 May 2024 Low
Stop Loss 2 38.75 (-2.18%) Price Action: Aug 2007 Low
Stop Loss 3 38.35 (-3.19%) Price Action: 19 Sep 2024 High

Short-Term Technical Outlook

Current Technical Position: Williamson Magor & Co. is showing bullish momentum with price above both 25-day and 50-day moving averages.

Key Technical Level: The 25-day moving average at ₹38.16 serves as the nearest technical reference point.

Historical Returns: 3-month: +7.81% | 6-month: +4.9% | 1-year: +13.33%

Williamson Magor & Co. Share Price Target For 2025

The line chart displays the monthly closing prices of Williamson Magor & Co. with a black line. The green line shows three potential target prices for 2025, while the red line indicates three potential Stop Loss levels.

For detailed target and stop loss values for Williamson Magor & Co. shares in 2025, see the table below.

Williamson Magor & Co. Share Price Target Table For 2025

Level Value Analysis
2025 Target 3 53.95 (+36.2%) Fibonacci Extension Level 123.60%
2025 Target 2 52.63 (+32.86%) Price Action: Chart
2025 Target 1 52.11 (+31.55%) Fibonacci Extension Level 64.90%
Current Price 39.61 Williamson Magor & Co.'s share price as of 26 Dec 2024
Stop Loss 1 36.75 (-7.23%) Price Action: 05 Jan 2024 High
Stop Loss 2 36.35 (-8.24%) Price Action: 26 Dec 2023 High
Stop Loss 3 35.95 (-9.25%) Price Action: 23 Jan 2024 High

Long-Term Technical Outlook

52-Week Range Analysis: Williamson Magor & Co. is currently trading at 59.7% of its 52-week range (₹30.15 - ₹46).

Long-Term Trend Analysis: The stock is maintaining a bullish long-term trend, trading above both 150-day and 250-day moving averages.

Long-Term Performance: 1-year: +13.33% | 3-year: +58.19% | 5-year: +216.88%

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Approach 2: Machine Learning By Studying Historical Prices

Williamson Magor & Co. Share Price Target Chart and Table From 2024, 2025, 2026 to 2039

Year Target 1 Target 1 YoY Chg % Target 2
Current Price ₹39.61
2024 ₹44.22 +11.63% ₹44.88
2025 ₹38.62 -12.66% ₹43.31
2026 ₹35.17 -8.93% ₹45.28
2027 ₹43.08 +22.49% ₹46.34
2028 ₹41.84 -2.87% ₹47.40
2029 ₹48.46 +15.82% ₹49.19
2030 ₹42.25 -12.81% ₹47.45
2031 ₹38.41 -9.08% ₹49.52
2032 ₹46.98 +22.31% ₹50.58
2033 ₹45.56 -3.02% ₹51.64
2034 ₹52.70 +15.67% ₹53.49
2035 ₹45.88 -12.94% ₹51.59
2036 ₹41.66 -9.19% ₹53.76
2037 ₹50.88 +22.13% ₹54.82
2038 ₹49.28 -3.14% ₹55.88
2039 ₹55.06 +11.72% ₹55.89

Note: Target 1 and Target 2 represent price levels that the stock is most likely to achieve during the respective year, based on machine learning algorithms analyzing historical price patterns and market behavior. These predictions are generated through comprehensive analysis of the stock's historical data using advanced ML models.

Williamson Magor & Co. Brief Company Overview

Williamson Magor & Company Limited: Unraveling India's Investment Legacy Founded in 1868, Williamson Magor & Company Limited stands as a stalwart investment firm in India. Headquartered in Kolkata, this venerable company has etched a remarkable presence in the country's... financial landscape. Williamson Magor's diverse portfolio encompasses various investment avenues, including lending activities. The company's commitment to prudential investment practices has garnered it a reputation for integrity and expertise. Investment Services: Williamson Magor offers a comprehensive suite of investment products tailored to varied investor profiles. Lending Activities: The company extends loans to institutional and corporate borrowers, leveraging its strong financial standing. Williamson Magor's longevity and unwavering dedication to its clientele have solidified its position as a trusted partner in the Indian investment arena.

Williamson Magor & Co. Financial Performance

Metric Value Description
Market Capital 39.99 Crore Market valuation of Williamson Magor & Co.'s shares.
Revenue (TTM) -31.7 Crore Total revenue generated by Williamson Magor & Co. over the past twelve months.
Net Income (TTM) -28.46 Crore Net Profit or Loss after all the expenses over the past twelve months.
Operating Margin -2,032.21% Income from operations as a percentage of revenue, before taxes and interest.
Profit Margin -355.4% Net income as a percentage of revenue, after all expenses.
Revenue Growth
(Quarterly)
-95.7% Change in revenue compared to the previous quarter.
Debt-to-Equity
(D/E) Ratio
-6.15 Company's total debt divided by total shareholder equity.
Total Debt 570.86 Crore Sum of Williamson Magor & Co.'s current & long-term financial obligations.
Total Cash 94.93 Lakh Total amount of liquid funds available to Williamson Magor & Co..
Beta 1.08 Beta is greater than 1 indicating that the Williamson Magor & Co.'s price is more volatile than the market.

Is Williamson Magor & Co. A Good Buy For Long Term?

Williamson Magor & Co., with a revenue decline of -95.7% compared to the previous quarter, is not a good buy for long-term investment. The company's deteriorating financial health, indicated by a substantial net loss of -28.46 Crore and a high debt-to-equity ratio, is a major concern. While the stock has shown positive returns in the short term, caution is warranted due to its negative profit margin of -355.4% and poor revenue generation.

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.