Skip to main content
CHOICEIN · Financials · 2026-08-21

Choice International Ltd

6.0★ FairSolid +2.4Stage 2 · wk 3In scan: Breakout WatchMARKET: BULL RISING · 2026-08-21
₹808.6
-0.14% today
₹18,014 Cr · Mid cap
About this companyFinancials· Investment Banking & Brokerage
Expand ▾

Choice International Limited, together with its subsidiaries, provides various financial services in India. It operates through Broking & Distribution Services, Advisory Services, and NBFC Services segments. The company offers equity broking; wealth management, such as asset allocation, risk management, investment products, and estate planning; health, life, commercial, and vehicle insurance; solar, business, and vehicle loans, as well as loans against securities; and corporate advisory services, including investment and merchant banking, corporate finance, and IPO readiness services. It also provides business and transaction advisory; taxation; governance, risk, and compliance; corporate services; and research and survey, bid process management, policy formation and advisory, and monitoring and evaluation services. In addition, the company offers direct, indirect, and international taxation services; insurance and mutual fund distribution; and management consulting services, as well as operates Choice FinX trading app. The company was incorporated in 1993 and is based in Mumbai, India.

Visit company website →
P/E (TTM)
61.2
Forward 45.6
Earnings Growth (YoY)
+15.3%
Revenue +21.8%
ROE
+16.2%
Profit margin +20.6%
vs 52W High
-4.9%
₹584 lo₹850.3 hi
4.9% below 52W high — pullback range
How far this stock is from its 52-week high. A pullback of 3–20% while Stage 2 structure holds is typically a better entry than chasing near the high.
Stage Maturity
Week 3
1w13w26w
Week 3 — fresh breakout, verify structure
How long this stock has been in Stage 2. The sweet spot is typically 13–26 weeks — enough time to prove the structure holds, not so long it's extended. Very fresh (wk 1–4) often needs more time to confirm.
vs 200 DMA
8.2%
200 DMA: ₹747.6 · rising
Long-term trend anchor. When stock and Nifty are both above their 200 DMA, the macro backdrop supports continuation.
Rel Volume
0.25x
vs 50-day avg
Low vol (0.5–1x) on pullbacks = resting, not being sold. High vol on breakouts = commitment. Volume spike on down days is a warning sign.
Trend Health
MA20 flat · +0.1% vs MA50 +8.1%
Two-layer momentum read: the glyph shows whether the 20-day MA is rising (↑/↗), flat (→), or rolling over (↓). The ⇈ flag fires when the 20-day MA is pulling away from the 50-day MA — short-term momentum building on top of the longer trend. Best when both glyphs agree.
Sector
Financials
↑ Building
Stage 2%
41.5%
20d Δ
+7.7pp
1M return
+2.1%
3M return
+3.6%
Sector Stage-2 % · last 20 days
This stock ranks #67 of 92 Stage 2 stocks in Financials by RS. Lagging sector peers.
Industry
Investment Banking & Brokerage
↑ Building
Stage 2%
31.8%
20d Δ
+11.4pp
1M return
+1.6%
3M return
+8.1%
Industry Stage-2 % · last 20 days
Ranks #9 of 12 Stage 2 stocks in this industry.
Price + Volume Chart
Loading price chart…
Stage Cycle Timeline2023-05-29 → 2026-08-21
S2 74w
S2 32w
2023-05-292026-08-21
S1S2S3S4Setup score (0–10, dashed line at 5)
S2 11w → S3 4w → S2 74w → S3 10w → S2 32w → S3 6w → S2 3w → S3 5w → S4 13w → S1 8w → S2 3w current
Total tracked: 168 weeks across 11 stage runs.
1M
+0.4%
3M
+19.5%
6M
+5.9%
YTD
-1.1%
1Y
+0.8%
Scan Membership
Breakout Watch
Latest: 2026-08-04
3 appearances in last 60 days. First seen: 2025-04-24.
Stocks that stay in the scan for 13+ weeks are in the highest observed-return cohort — they keep qualifying because the structure remains intact, not by luck. Persistence in the scan is itself a quality signal.
Recent Stage Timeline
2026-08-21S2
Wk 3 · Vol x
2026-08-20S2
Wk 3 · Vol x
2026-08-19S2
Wk 3 · Vol x
2026-08-18S2
Wk 3 · Vol x
2026-08-17S2
Wk 2 · Vol x
2026-08-14S2
Wk 2 · Vol x
2026-08-13S2
Wk 2 · Vol x
2026-08-12S2
Wk 2 · Vol x
2026-08-11S2
Wk 2 · Vol x
2026-08-10S2
Wk 1 · Vol x
2026-08-07S2
Wk 1 · Vol x
2026-08-06S2
Wk 1 · Vol x
Sector Peers — Stage 2All →
TFCILTD
wk 26 · -1.3% from hi
9.6
PRUDENT
wk 12 · -1.4% from hi
8.4
KTKBANK
wk 23 · -2.0% from hi
8.3
ESAFSFB
wk 9 · 0.0% from hi
7.6
MUFIN
wk 13 · -0.0% from hi
7.5
Moving averages & range
50 DMA
₹786.9
200 DMA
₹747.6
52W High
₹850.3
52W Low
₹584
5D Low
₹800.5
Resistance levels (recent highs)
20d High
₹844.8
60d High
₹844.8
120d High
₹844.8
250d High
₹850.3
Next resistance
+4.5%
to 20d High

All analytics based on EOD data. Data as of 2026-08-21. Past data patterns are not indicative of future results. This page is a data analytics tool only.