Axis Securitiesが予測した25年度の第2四半期に,4.5%のニフティ50の収益成長と6%のEBITDAの増加. 4.5% Nifty 50 revenue growth and 6% EBITDA increase forecasted by Axis Securities for Q2 FY25.
Axis Securitiesは,25年第2四半期に,Nifty 50指数の収益が4.5%増加し,EBITDAが6%増加し,税後の利益 (PAT) が4.1%増加すると予測しています. Axis Securities forecasts a 4.5% revenue growth for the Nifty 50 index in Q2 FY25, with EBITDA rising 6% and profit after tax (PAT) increasing 4.1%. 石油・ガス,金属などの周期的なセクターを除外すると,成長はより強く,収益,EBITDA,PATはそれぞれ6.7%,11.3%および10.2%と予測されています. Excluding cyclical sectors like Oil & Gas and Metals, growth is expected to be stronger, with revenue, EBITDA, and PAT projected at 6.7%, 11.3%, and 10.2%, respectively. 雨の好調,高いGSTの徴収,貨物輸送の増加といった要因が,マクロ経済見通しに寄与しています. Factors such as favorable rainfall, strong GST collections, and increased cargo traffic are contributing to a positive macroeconomic outlook.