Jio Financial Services Share Price Target & Forecast 2025–2030: The current price of Jio Financial Services (JIOFIN) on the NSE stands at ₹222.25. According to expert analysis and technical indicators, the price is expected to rise by 49.27%, potentially reaching ₹331.75 per share by the end of 2025. The current sentiment surrounding the stock is bearish, with the Fear & Greed Index showing a score of 49.61, indicating a fearful market sentiment. Jio Financial Services is currently trading below both the 50-day and 200-day simple moving averages, with an RSI of 45.58, indicating a neutral stance in terms of momentum.
Jio Financial Services Share Details
Parameter | Value |
Current Price | ₹222.25 |
52 Week High | ₹394.70 |
52 Week Low | ₹198.65 |
Fear & Greed Index | 49.61 (Fear) |
Sentiment | Bearish |
Volatility | 2.91% |
50-Day SMA | ₹244.40 |
200-Day SMA | ₹312.54 |
14-Day RSI | 45.58 |
Jio Financial Services Share Price Target & Forecast 2025, 2026, 2027, 2028, 2029 To 2030
Jio Financial Services Share Price Target & Forecast 2025 ₹250.00, 2026 ₹330.80, 2027 ₹418.10, 2028 ₹515.25, 2029 ₹624.35 To 2030 ₹750.00. Jio Financial Services Ltd is an Indian financial services company, based in Mumbai.
- CEO: Hitesh Kumar Sethia
- Founded: 22 July 1999
- Founder: Mukesh Ambani
- Headquarters: India, Mumbai
- Number of employees: 584 (2025)
- Subsidiaries: Jio Finance Limited, Jio Payments Bank ·
Jio Financial Services Share Price Forecast Summary 2025–2030
The table below summarizes the annual price targets for Jio Financial Services over the forecast period.
Year | Price Target (₹) | Percent Increase |
2025 | ₹250.00 | 12.49% |
2026 | ₹330.80 | 48.84% |
2027 | ₹418.10 | 88.12% |
2028 | ₹515.25 | 131.83% |
2029 | ₹624.35 | 180.92% |
2030 | ₹750.00 | 237.46% |
Category: SHARE PRICE
Jio Financial Services Share Price Target for 2025
Price Range for 2025:
- Minimum Price:₹208.50
- Maximum Price:₹331.75
- Average Price:₹250.00 (an increase of 12.49% from the current price)
Price Forecast by Months for 2025:
Month | Price Target (₹) |
January 2025 | 241.65 |
February 2025 | 208.60 |
March 2025 | 212.40 |
April 2025 | 215.20 |
May 2025 | 208.50 |
June 2025 | 224.50 |
July 2025 | 238.10 |
August 2025 | 263.75 |
September 2025 | 259.30 |
October 2025 | 279.30 |
November 2025 | 311.75 |
December 2025 | 331.75 |
Forecast Analysis: In 2025, the Jio Financial Services stock is expected to see fluctuations between ₹208.50 and ₹331.75, with an average price of ₹250.00. The stock’s value may dip initially but is expected to pick up momentum towards the end of the year.
Jio Financial Services Share Price Target for 2026
Price Range for 2026:
- Minimum Price:₹282.40
- Maximum Price:₹419.85
- Average Price:₹330.80 (an increase of 48.84% from 2025)
Price Forecast by Months for 2026:
Month | Price Target (₹) |
January 2026 | 315.60 |
February 2026 | 283.80 |
March 2026 | 282.40 |
April 2026 | 294.10 |
May 2026 | 286.85 |
June 2026 | 306.40 |
July 2026 | 323.20 |
August 2026 | 349.10 |
September 2026 | 344.35 |
October 2026 | 365.25 |
November 2026 | 398.50 |
December 2026 | 419.85 |
Forecast Analysis: In 2026, Jio Financial Services is expected to reach an average price of ₹330.80, marking a significant rise from 2025. The stock is likely to see steady growth, with a substantial increase in price throughout the year.
Jio Financial Services Share Price Target for 2027
Price Range for 2027:
- Minimum Price:₹366.50
- Maximum Price:₹514.75
- Average Price:₹418.10 (an increase of 88.12% from 2026)
Price Forecast by Months for 2027:
Month | Price Target (₹) |
January 2027 | 402.80 |
February 2027 | 368.90 |
March 2027 | 366.50 |
April 2027 | 378.60 |
May 2027 | 370.75 |
June 2027 | 390.30 |
July 2027 | 408.55 |
August 2027 | 437.10 |
September 2027 | 433.50 |
October 2027 | 454.75 |
November 2027 | 490.30 |
December 2027 | 514.75 |
Forecast Analysis: By 2027, Jio Financial Services is projected to see significant growth, with an estimated average price of ₹418.10. The stock is expected to show substantial upward movement, driven by strong financial performance and market sentiment.
Jio Financial Services Share Price Target for 2028
Price Range for 2028:
- Minimum Price:₹460.55
- Maximum Price:₹617.85
- Average Price:₹515.25 (an increase of 131.83% from 2027)
Price Forecast by Months for 2028:
Month | Price Target (₹) |
January 2028 | 499.80 |
February 2028 | 463.15 |
March 2028 | 460.55 |
April 2028 | 474.80 |
May 2028 | 466.50 |
June 2028 | 485.90 |
July 2028 | 505.10 |
August 2028 | 534.75 |
September 2028 | 530.20 |
October 2028 | 554.45 |
November 2028 | 589.90 |
December 2028 | 617.85 |
Forecast Analysis: In 2028, Jio Financial Services could reach an average price of ₹515.25, showing remarkable growth as the stock is expect to climb significantly over the course of the year, especially towards the end.
Jio Financial Services Share Price Target for 2029
Price Range for 2029:
- Minimum Price:₹565.10
- Maximum Price:₹739.60
- Average Price:₹624.35 (an increase of 180.92% from 2028)
Price Forecast by Months for 2029:
Month | Price Target (₹) |
January 2029 | 604.50 |
February 2029 | 567.30 |
March 2029 | 565.10 |
April 2029 | 579.85 |
May 2029 | 572.25 |
June 2029 | 591.60 |
July 2029 | 611.85 |
August 2029 | 644.90 |
September 2029 | 640.10 |
October 2029 | 666.85 |
November 2029 | 708.10 |
December 2029 | 739.60 |
Forecast Analysis: In 2029, Jio Financial Services is expect to experience a surge in value, with the average price reaching ₹624.35. This marks an exceptional growth rate, underpinned by favorable market conditions and robust financial performance.
Jio Financial Services Share Price Target for 2030
Price Range for 2030:
- Minimum Price:₹687.00
- Maximum Price:₹850.75
- Average Price:₹750.00 (an increase of 237.46% from 2029)
Price Forecast by Months for 2030:
Month | Price Target (₹) |
January 2030 | 725.40 |
February 2030 | 689.30 |
March 2030 | 687.00 |
April 2030 | 702.85 |
May 2030 | 696.75 |
June 2030 | 717.90 |
July 2030 | 739.75 |
August 2030 | 775.40 |
September 2030 | 770.80 |
October 2030 | 803.10 |
November 2030 | 837.50 |
December 2030 | 850.75 |
Forecast Analysis: Looking towards 2030, Jio Financial Services is expect to reach a peak average price of ₹750.00, reflecting a strong 237.46% increase from the previous year. The stock is anticipated to experience continued upward momentum, driven by positive market sentiment and solid corporate growth.
Analyst Recommendations and Price Forecast
Analyst Recommendations:
Buy | 0.00% |
Hold | 100.00% |
Sell | 0.00% |
Overall Recommendation | Hold |
One-Year Price Forecast:
Current Share Price | ₹222.25 |
Minimum Forecast | ₹286.00 |
Maximum Forecast | ₹347.00 |
Average Forecast | ₹316.50 |
Annual Revenue Forecast:
2024 | ₹20.00B |
2025 | ₹24.40B |
2026 | ₹32.30B |
Earnings Per Share (EPS) Forecast:
2024 | ₹2.50 |
2025 | ₹3.00 |
2026 | ₹4.00 |
Technical Analysis Summary
Currently, Jio Financial Services is in a bearish trend, based on various technical indicators, with more bearish signals than bullish. The stock’s 50-day and 200-day moving averages are indicating a downward trajectory. However, some indicators suggest a potential recovery in the near future.
Moving Averages (SMA & EMA):
Name | Value | Action |
SMA (10) | 215.60 | Buy |
SMA (20) | 221.20 | Buy |
SMA (30) | 228.09 | Sell |
SMA (50) | 244.40 | Sell |
SMA (100) | 282.73 | Sell |
SMA (200) | 312.54 | Sell |
Oscillators (RSI, MACD, etc.):
Name | Value | Action |
RSI (14) | 45.58 | Neutral |
MACD Level (12, 26) | -7.18 | Buy |
Stochastic %K (14, 3, 3) | 58.26 | Neutral |
Momentum (10) | 0.90 | Buy |
What is Jio Financial Services doing?
Its digital-first model aims to ensure the holistic financial well-being of Indian citizens. Through the JioFinance app, JFSL provides a range of services including loans, savings accounts, UPI bill payments, recharges, digital insurance, financial tracking and management tools and more.
Who is CEO of Jio Financial?
Hitesh Kumar Sethia (15 Nov 2023–)
Can I take a loan from Jio Financial Services?
Jio Finance offers Home Loans, Loans Against Property (LAP), and Loans on Mutual Funds (LoMF) with attractive interest rates and easy EMIs. While our home loans make homeownership a reality, you can meet all your other financial needs—from vacations and destination weddings to education and more—with LoMF and LAP.
Our price forecasting model for analyzing Share targets employs a detailed, data-driven approach to determine monthly price projections. This methodology integrates classic analytical tools, including long-term pivot point analysis, historical performance metrics, and volatility assessment. Below, we outline the key components and processes that constitute our forecasting framework. It is essential to recognize that these price estimates are purely mathematical and should not be considered financial advice. Stock markets are highly dynamic, influenced by multiple unpredictable factors that no single model can comprehensively capture.
Long-Term Pivot Point Analysis
At the core of our methodology lies long-term pivot point analysis, complemented by Fibonacci series calculations. These pivot points help determine critical support and resistance levels, providing a structured framework for anticipating potential price movements.
Pivot = Previous Close Resistance_n = Pivot + (Range × F_n) Support_n = Pivot - (Range × F_n)
Where:
- F_n represents Fibonacci multipliers (e.g., 0.382, 0.618, 1.000).
- Range is the difference between the highest and lowest prices over a specific period.
Historical Performance Analysis
A stock's historical performance plays a vital role in predicting its future behavior. Our model conducts an extensive analysis of past data to determine average returns over various timeframes, capturing both short-term fluctuations and long-term trends.
Average Return = (1/N) Σ R_i
Where:
- N is the number of periods (e.g., months or quarters).
- R_i represents the return in the i-th period.
Volatility Assessment
Market volatility is a crucial factor in assessing risk and uncertainty associated with stock price movements. Our methodology incorporates a comprehensive evaluation of stock volatility, measured by the standard deviation of historical returns.
σ = √[(1/(N-1)) Σ (R_i - μ)^2]
Where:
- μ is the mean return.
- R_i is the return in the i-th period.
- N is the total number of returns.
Integrated Predictive Modeling
Our forecasting model integrates pivot point analysis, historical performance, and volatility assessments through advanced predictive techniques, ensuring data-driven and adaptable price projections.
- Calibration Based on Historical Performance: Utilizing past average returns and volatility metrics to align future price targets with the stock’s established patterns.
- Mathematical Optimization: Applying techniques such as the Least Squares Method (LSM) to optimize projections, reducing errors and enhancing forecast precision.
- Dynamic Adjustment: Incorporating real-time market data to refine predictions, ensuring forecasts remain relevant and up-to-date.
Target Price Calibration
The final step in our methodology is the precise calibration of monthly price targets, ensuring they align with analytical insights and market conditions.
Target Price_next month = Current Price × (1 + Adjusted Growth Rate)
Where:
- Adjusted Growth Rate is derived from historical average returns and volatility, refined through our integrated predictive modeling approach.
This ensures that price targets account for both growth potential and associated risks, providing balanced and actionable forecasts.