₹71.15
-0.07% today
· 30d +2.82%
as of 2026-09-04
Price · Daily Candles
“Promoters up stake as SIGIND Q4 profits dip, yet annual revenue grows 14.22%.”
SIGIND's promoter holding increased by 0.11% QoQ to 73.41% as of June 2026, even as the company's Q4 net profit saw a 7.57% YoY decline to ₹7.0 Cr. Despite this quarterly dip, annual revenue grew by 14.22% to ₹1347.0 Cr, signaling a mixed performance with underlying long-term growth trends.
BULL CASE
+Promoter shareholding increased by 0.11% QoQ, reaching 73.41% in June 2026.
+Annual revenue for FY26 grew by 14.22% YoY to ₹1347.0 Cr.
+The stock has seen significant short-term price appreciation, with 1-week returns of 28.77% and 1-month returns of 47.01%.
+SIGIND's PE TTM of 12.65 is significantly lower than some sector peers like SRF (35.89) and TIINDIA (48.02), suggesting potential value.
+The ML sales growth rank for 1-year rolling 4-year is neutral at 0.54.
BEAR CASE
−Q4 FY26 net profit declined by 7.57% YoY to ₹7.0 Cr, despite revenue growth.
−Q4 FY26 operating profit also fell by 8.97% YoY to ₹28.0 Cr.
−The company's RSI(14) is at 82.82, indicating strong bearish signal in the short term.
−ML predictions for FCF growth show weak ranks, with FCF 1-year stable 7-year at 0.0.
−The stock is trading 9.29% off its 52-week high of ₹74.95.
⟳ What Changed
₹ Latest Earnings · Q ending 2026-06-30
REVENUE
₹306 Cr
+17.92% YoY
NET PROFIT
₹8 Cr
+1072.08% YoY
OPM
9.36%
-0.33pp YoY
EPS
₹2.61
PE 12.65
Intrinsic value · DCF: N/A — Company is currently free-cash-flow negative (-5.9% of mktcap). DCF assumes a going concern generating positive cash flow; a meaningful intrinsic value can only be computed once FCF turns positive. Use the Strategy Fit and ML sections instead.
◇ Sector Position
SIGIND's PE TTM of 12.65 is considerably lower than many peers like SRF (35.89 PE) and TIINDIA (48.02 PE), while its ROCE is not provided to compare against peers like SRF (19.53% ROCE) and TIINDIA (20.8% ROCE).
PEERPEROCE %
SIGIND12.65—
+ 2 more peers — sign in to view
ML Forward Growth Predictions 🔒
66
SCORE / 100
Overall
6-axis composite of the sections below.
Performance
STRONG
90
Valuation
CHEAP
75
Growth
STEADY
61
Profitability
DECENT
55
Technicals
NEUTRAL
63
Risk
MODERATE
50
Key Stats
TTM PE
12.65
P/B
0.85
52W HIGH
₹74.99
OFF HIGH
-5.12%
DIV YIELD
0.71%
MKT CAP
₹207 Cr
◉ Active Signals
MACDNeutral-0.7365
RSI(14)Bullish61.07
⧉ Strategy Fit 🔒