Motilal Oswal Share Price Target 2025 To 2030: Motilal Oswal Financial Services Ltd, founded in 1987, has established itself as one of the leading financial services providers in India. Known for its research-driven approach, the company offers a wide range of services including wealth management, investment banking, asset management, and broking. Motilal Oswal is renowned for providing high-quality investment advice to both retail and institutional clients, establishing a strong presence in the Indian financial market.
Motilal Oswal Share Price Market Overview 2025
Financial Metric |
Value |
Open Price |
₹962.00 |
High Price |
₹971.70 |
Low Price |
₹917.05 |
Previous Close |
₹962.05 |
Volume |
4,810,536 |
Value (Lacs) |
₹44,709.12 |
VWAP (Volume Weighted Avg Price) |
₹941.06 |
Upper Circuit (UC) Limit |
₹1,154.45 |
Lower Circuit (LC) Limit |
₹769.65 |
P/E Ratio |
20.13 |
Dividend Yield |
0.42% |
52-Week High |
₹988.10 |
52-Week Low |
₹225.51 |
Market Capitalization (Mkt Cap) |
₹55.71K Cr. |
Face Value |
₹1.00 |
This table provides a snapshot of the key metrics that impact the performance and valuation of Motilal Oswal Financial Services Ltd.
Motilal Oswal’s Competitors in the Financial Services Industry
Motilal Oswal competes with several major players in the financial services sector. Below are the top competitors and their market capitalizations:
- HDFC Securities Ltd
- Market Capitalization: ~$10 billion
- A leading brokerage and financial services provider in India.
- ICICI Securities Ltd
- Market Capitalization: ~$1.6 billion
- Offers broking, wealth management, investment banking, and advisory services.
- Angel One Ltd (formerly Angel Broking)
- Market Capitalization: ~$1.8 billion
- Provides online broking, investment advisory, and wealth management.
- Edelweiss Financial Services Ltd
- Market Capitalization: ~$500 million
- A diversified financial services company offering wealth management and investment banking.
- Sharekhan by BNP Paribas
- Market Capitalization: Not publicly listed
- One of India’s largest retail brokerage firms.
Motilal Oswal Share Price Target for 2025 to 2030
Year |
Share Price Target (INR) |
2025 |
₹2,170 |
2026 |
₹3,225 |
2027 |
₹4,356 |
2028 |
₹5,678 |
2029 |
₹6,970 |
2030 |
₹8,340 |
Key Factors Influencing Motilal Oswal’s Share Price Target for 2025
Several factors could positively or negatively affect Motilal Oswal’s share price in 2025:
1. Volatility in Stock Markets
- Motilal Oswal’s performance is closely tied to market conditions. Any prolonged downturn in the stock market could reduce trading volumes and asset management revenues, negatively impacting its share price.
2. Competition in Digital Platforms
- The rise of fintech companies and digital platforms has intensified competition in the wealth management and broking space. Motilal Oswal must continue innovating and adapting to stay ahead.
3. Regulatory and Compliance Risks
- The financial services sector is heavily regulated. Any changes in policies, such as restrictions on brokerage fees or new investment advisory regulations, could have a negative impact on Motilal Oswal’s operations and, consequently, its share price.
Motilal Oswal Share Price Target for 2030: Long-term Outlook
By 2030, Motilal Oswal is expected to experience strong growth, with a projected target price of ₹8,340. However, several challenges could arise that might affect the company’s growth trajectory:
1. Long-term Market Cycles and Economic Slowdowns
- Stock markets often go through periods of growth and contraction. Any prolonged economic slowdown could reduce investor activity, affecting Motilal Oswal’s profitability and share price.
2. Technological Disruption and Innovation
- The rapid growth of fintech solutions such as robo-advisors, blockchain, and AI-driven platforms is revolutionizing the financial services space. Failure to integrate these innovations could hinder Motilal Oswal’s growth prospects.
3. Regulatory Changes and Compliance Costs
- Changes in financial services regulations, data security laws, or tax structures could increase compliance costs. Such changes may affect the company’s profitability and, in turn, its share price.
Motilal Oswal Financial Services Ltd Shareholding Pattern
Understanding the shareholding pattern of Motilal Oswal can offer insights into the company’s investor base and control structure:
Category |
Percentage (%) |
Promoters |
69.04% |
Foreign Institutional Investors (FII) |
6.46% |
Domestic Institutional Investors (DII) |
6.07% |
Public |
18.43% |
Promoter control is a significant factor, which could influence the company’s strategic decisions and stability in the market.
Motilal Oswal Financial Services Ltd Financial Performance
Motilal Oswal has shown strong financial performance, with significant growth in revenue and net profit. Here’s a snapshot of their key financials:
Financial Metric |
2025 (INR) |
Y/Y Change (%) |
Revenue |
₹60.69 billion |
+69.26% |
Operating Expenses |
₹19.19 billion |
+30.72% |
Net Income |
₹24.41 billion |
+162.00% |
Net Profit Margin |
40.22% |
+54.75% |
Earnings per Share (EPS) |
₹40.73 |
+159.99% |
Effective Tax Rate |
19.34% |
– |
Conclusion: Should You Invest in Motilal Oswal Financial Services Ltd?
Motilal Oswal Financial Services Ltd is a strong player in India’s financial services industry, offering diverse services ranging from wealth management to broking and asset management. With its solid market position, continuous innovation, and strong financial performance, Motilal Oswal is well-positioned for future growth.
However, potential investors should consider factors such as market volatility, increasing competition, and regulatory changes that could impact the company’s future prospects. If you are a long-term investor looking for exposure to the financial services sector, Motilal Oswal may be a good option, but it’s essential to stay updated on market conditions.