Capri Global Capital Ltd (CGCL) — Announcement | 1 September 2026

· BSE 🔴 High Importance Neutral
By StockFin Research Team AI-Assisted Analysis Source: BSE/NSE Filings
📢 Key Event
CGCL unveiled growth strategy and US$ bond plans for retail finance expansion
🔄 What Changed
AUM grew from ₹52,019 million in FY25 to ₹71,212 million in FY26Q1
🔮 What's Next
US$ bond issuance planned for onward lending in compliance with RBI regulations
💡 Investor Takeaway
CGCL is scaling retail finance in underserved markets with strong returns and plans to tap global debt markets for funding.

Capri Global Capital Ltd (CGCL) presented its investor deck on September 1, 2026, showcasing robust growth in AUM to ₹71,212 million in Q1 FY26, strong asset quality with 1.9% gross NPAs, and high RoAA of 22.8-26.6% across diversified retail finance segments. The presentation highlighted technological innovation, geographic expansion into 38+ states, and plans to raise capital via US$ bonds for onward lending, targeting underserved Tier 2/3/4 markets. It emphasized institutional backing with 83% institutional borrowings and compliance with RBI/ECB norms for fund utilization.

📄 View Original Announcement (PDF)

About Capri Global Capital Ltd (CGCL)

Financial Services · Finance · Listed on BSE

Market Cap: ₹24,664.82 Cr P/E: 21.9 ROE: 26.2% ROCE: 17.2% Div Yield: 0.08%

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Source: Stock Announcements. Analysis by StockFin.ai. For informational purposes only — not investment advice.

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