₹3772.0
-0.19% today
· 30d -0.29%
as of 2026-09-04
Price · Daily Candles
“Sansera Engineering rides high on strong quarterly profit, stock near 52-week peak.”
Sansera Engineering clocks a 24.15% YoY net profit growth to ₹69 Cr in Q4 2025, with revenue up 24.71% YoY to ₹908 Cr. The stock is trading at ₹2868.7, within 2.76% of its 52-week high, yet its high PE of 55.38 and moderate ROCE of 14.0% signal a stretched valuation.
BULL CASE
+Q4 2025 net profit soared 24.15% YoY to ₹69 Cr, alongside a 24.71% YoY revenue increase to ₹908 Cr.
+Operating profit for Q4 2025 jumped 30.31% YoY to ₹174 Cr, with OPM improving by 0.77 percentage points.
+The company recorded a robust 137.34% return over the past year, trading near its 52-week high of ₹2950.
+Annual net profit for FY26 grew 50.71% YoY to ₹327 Cr, with revenue up 15.95% YoY to ₹3498 Cr.
+Sales growth (rolling 4-year basis) boasts a 'strong' rank of 0.63 in ML predictions.
BEAR CASE
−Sansera's TTM PE of 55.38 is significantly higher than the sector median, placing its valuation as 'STRETCHED' (score 20).
−ROCETTM stands at 14.0%, notably lower than peers like SCHAEFFLER (31.31%) and UNOMINDA (27.27%).
−FIIs and DIIs both reduced their stake QoQ, with FIIs decreasing by 0.57% and DIIs by 0.92%.
−ML predictions for FCF growth show 'weak' ranks, particularly for rolling 4-year (-0.3755) and stable 7-year (-0.2176) outlooks.
−Despite 'bullish' MACD, the 'strong' bearish RSI(14) at 72.02 indicates potential overbought conditions.
⟳ What Changed
₹ Latest Earnings · Q ending 2026-06-30
REVENUE
₹1021 Cr
+33.27% YoY
NET PROFIT
₹87 Cr
+38.71% YoY
OPM
20.25%
+1.77pp YoY
EPS
₹13.89
PE 55.38
Intrinsic value · DCF: N/A — ML model predicts severe Δ FCF compression (h1=-36.6%, h2=-35.6%, h3=-34.2% of mktcap), driving projected FCF negative by year 3 despite healthy current FCF. Treating as forecast outlier rather than reporting a misleading ₹0 valuation. Use the Strategy Fit and ML sections instead.
◇ Sector Position
Sansera Engineering, with a PE of 55.38 and a ROCE of 14.0%, trades at a premium compared to peers like BOSCHLTD (PE 38.11, ROCE 21.47%), but offers significantly lower returns on capital than SCHAEFFLER (ROCE 31.31%).
PEERPEROCE %
SANSERA55.3814.0
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ML Forward Growth Predictions 🔒
64
SCORE / 100
Overall
6-axis composite of the sections below.
Performance
STRONG
100
Valuation
STRETCHED
20
Growth
STRONG
79
Profitability
DECENT
68
Technicals
STRONG
70
Risk
MODERATE
50
Key Stats
TTM PE
55.38
P/B
6.21
52W HIGH
₹4084.9
OFF HIGH
-7.66%
DIV YIELD
0.11%
MKT CAP
₹23603 Cr
◉ Active Signals
MACDNeutral-37.2199
RSI(14)Neutral51.68
Street Consensus
10 analysts₹2732.4
mean target
Low ₹2217.0Now ₹3772.0High ₹3250.0
⧉ Strategy Fit 🔒