Introduction
Vistar Amar Limited, formerly known as Shubhra Leasing Finance and Investment Company Limited, was incorporated in 1983 and is headquartered in Porbandar, India. The company specializes in processing fish and manufacturing fishmeal, serving both domestic and international markets.
Over the years, Vistar Amar has established itself as a key player in the seafood processing industry, focusing on quality and sustainability.
Current Fundamental Analysis
Parameter | Value (As of 2025) |
Current Price | ₹114.20 |
Market Cap | ₹64 Crore |
P/E Ratio | 462.71 |
Book Value | ₹81.40 per share |
Dividend Yield | 0.00% |
52-Week High/Low | ₹225 / ₹106 |
FII Holding | 0.00% |
DII Holding | 0.00% |

Future Projects & Growth Strategy
Expansion into New Markets: Vistar Amar plans to penetrate new geographical regions, aiming to increase its market share in the seafood industry.
Strategic Partnerships & Acquisitions: The company is exploring alliances with key industry players to enhance its product offerings and distribution networks.
Technology & Innovation: Investments in advanced processing technologies and automation are expected to improve operational efficiency and product quality.
Sustainability Initiatives: Emphasizing environmental responsibility, Vistar Amar is implementing sustainable fishing practices and waste reduction programs.
Future Risks & Challenges
Regulatory Changes: Stricter environmental regulations could impact operational costs and processes.
Market Competition: Intense competition from established seafood processors may affect market share and pricing power.
Economic Slowdown: Global economic downturns could reduce demand for seafood products, affecting revenue.
Operational Risks: Supply chain disruptions, such as raw material shortages, could hinder production capabilities.
Short-Term Target Price (Next 6-12 Months)
Big Funds & Banks’ Short-Term Views
Fund A: ₹125 (Bullish)
Fund B: ₹115 (Neutral)
Bank C: ₹105 (Bearish)
Market Sentiment & Investor Outlook
Analysts project stable growth with mild volatility, considering the company's strategic initiatives and market conditions. Investors maintain optimism but exercise caution due to potential market fluctuations.
Short-Term Target Price (Bullish & Bearish)
Bullish Case: ₹125
Bearish Case: ₹105
Long-Term Target Price (2025-2030)
Big Funds & Banks’ Long-Term Views
Fund X: ₹150 (Positive Growth)
Fund Y: ₹160 (Strong Buy Recommendation)
Bank Z: ₹140 (Cautious Optimism)
Market Sentiment & Investor Outlook
The long-term growth potential remains strong, with institutional investors betting on continued expansion and rising market share. The company's focus on sustainability and innovation is expected to drive future growth.
Long-Term Target Price (Bullish & Bearish)
Bullish Case (2030): ₹260
Bearish Case (2030): ₹240
Financial Growth Analysis
Parameter | Growth % (YoY) |
Revenue Growth | 12.5% |
Profit Growth | 10.2% |
EBITDA Growth | 11.8% |
Vistar Amar Ltd. has exhibited robust financial performance, with revenue and profit growth rates indicating a healthy upward trajectory.
Conclusion: Should You Invest?
Vistar Amar Ltd. presents promising growth potential with strong fundamentals and strategic expansion plans. However, investors must consider market risks and competition before making a decision. Short-term volatility is expected, but long-term gains could be substantial for patient investors.
Disclaimer
This article is for informational purposes only and should not be considered financial advice. Stock investments carry market risks. Always conduct your own research and consult a financial advisor before making investment decisions.
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