Aviva Industries

  • Market Cap: Micro Cap
  • Industry: Trading
  • ISIN: INE461H01011
  • NSEID:
  • BSEID: 512109
INR
65.28
0.00 (0.00%)
BSENSE

Jun 11, 03:30 PM

BSE+NSE Vol: 1.01 k

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryPrice Point
High/Low

1Day

52 Week

Valuation
Technical
Day's Volume

CASH

1.01 k (23.11%) Volume

Shareholding (Mar 2026)

FII

0.00%

Held by 0 FIIs

DII

0.00%

Held by 0 DIIs

Promoter

3.99%

Which are the latest news on Aviva Industries?

11-Jun-2026

How big is Aviva Industries?

11-Jun-2026

As of 10th June, Aviva Industries Ltd has a market capitalization of 212.00 Cr, with recent net sales of 81.78 Cr and a net profit of 1.88 Cr. Shareholder's funds are 3.03 Cr and total assets are 4.13 Cr as of March 2025.

As of 10th June, Aviva Industries Ltd has a market capitalization of 212.00 Cr, classifying it as a Micro Cap company.<BR><BR>In the latest four quarters, Aviva Industries reported Net Sales of 81.78 Cr and a Net Profit of 1.88 Cr.<BR><BR>The latest annual period for the balance sheet is March 2025, with Shareholder's Funds amounting to 3.03 Cr and Total Assets at 4.13 Cr.

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Who are in the management team of Aviva Industries?

11-Jun-2026

The management team of Aviva Industries consists of Bhavinbhai S Patel (Chairman & Managing Director), Shetna B Patel (Director), and Chetan Gandhi (Independent Director).

The management team of Aviva Industries includes the following individuals:<BR><BR>1. **Bhavinbhai S Patel** - Chairman & Managing Director<BR>2. **Shetna B Patel** - Director<BR>3. **Chetan Gandhi** - Independent Director<BR><BR>If you have any more questions about Aviva Industries or its management, feel free to ask!

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Who are the peers of the Aviva Industries?

11-Jun-2026

Aviva Industries' peers include Lloyds Enterprises, MMTC, PTC India, Elitecon International, and others. Aviva has the highest 1-year return at 35.46%, while management risk and growth vary among peers, with Lloyds and Elitecon showing excellent performance.

Peers: The peers of Aviva Industries are Lloyds Enterpris, MMTC, PTC India, Elitecon Inter., Optiemus Infra, Gratex Industrie, Brawn Biotech, Omni Ax's, and Padmanabh Inds.<BR><BR>Quality Snapshot: Excellent management risk is observed at Lloyds Enterpris and Elitecon Inter., while Average management risk is found at MMTC, PTC India, and the rest. Below Average management risk is noted at Aviva Industries, Optiemus Infra, Gratex Industrie, Brawn Biotech, Padmanabh Inds., and the rest. Growth is Excellent at Lloyds Enterpris and Elitecon Inter., Good at Aviva Industries and Optiemus Infra, while Below Average growth is seen at MMTC, PTC India, Gratex Industrie, Brawn Biotech, and the rest. Average growth is noted at Padmanabh Inds. Capital Structure is Excellent at Lloyds Enterpris and Elitecon Inter., Good at Gratex Industrie, Average at PTC India, Aviva Industries, and Optiemus Infra, while Below Average is seen at MMTC, Brawn Biotech, and Padmanabh Inds.<BR><BR>Return Snapshot: The peer with the highest 1-year return is Aviva Industries at 35.46%, while the lowest is Elitecon Inter. at -42.02%. Aviva Industries' 1-year return is significantly higher than all its peers. Additionally, the peers with negative six-month returns include Elitecon Inter., Optiemus Infra, and Brawn Biotech.

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Why is Aviva Industries Ltd falling/rising?

10-Jun-2026

As of 10-Jun, Aviva Industries Ltd's stock price is stable at 65.28, with a strong upward trend indicated by a 21.05% year-to-date increase and a 38.16% rise over the past year, significantly outperforming the Sensex. The stock is close to its 52-week high and shows bullish signals across various moving averages, reflecting growing investor interest.

As of 10-Jun, Aviva Industries Ltd's stock price is currently stable at 65.28, showing no change (0.00%). However, the stock has demonstrated a strong upward trend over various periods, which indicates a rising momentum. Over the past week, the stock has increased by 5.14%, while the benchmark Sensex has declined by 0.49%. In the last month, Aviva Industries has risen by 2.54%, contrasting with a 4.33% drop in the Sensex.<BR><BR>Year-to-date, the stock has surged by 21.05%, significantly outperforming the Sensex, which has fallen by 13.19%. Over the past year, Aviva Industries has achieved a remarkable increase of 38.16%, while the Sensex has decreased by 10.21%. Additionally, the stock has shown an impressive 540.00% rise over the past five years compared to a 41.46% increase in the Sensex.<BR><BR>The stock is also close to its 52-week high, being only 0.54% away from the peak of Rs 65.63. Today's performance indicates that it has outperformed its sector by 0.93%. Furthermore, there has been a notable increase in investor participation, with delivery volume on June 9 rising by 321.94% against the five-day average. This suggests a growing interest in the stock, contributing to its positive price movement.<BR><BR>Moreover, Aviva Industries is trading above its moving averages across various time frames, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, which typically signals a bullish trend. Despite some erratic trading, with the stock not trading on two days out of the last 20, the overall indicators point towards a rising stock price for Aviva Industries Ltd.

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What does Aviva Industries do?

10-Jun-2026

Aviva Industries Ltd is an India-based micro-cap company that manufactures and trades electrical goods and services. As of March 2026, it reported net sales of 65 Cr and a net profit of 1 Cr.

Overview:<BR>Aviva Industries Ltd is an India-based company engaged in manufacturing and trading electrical goods and services, operating within the trading industry and classified as a micro-cap.<BR><BR>History:<BR>Aviva Industries Ltd was incorporated in 1984 and was formerly known as Ankush Synthetics Limited before changing its name in November 2005. The latest quarterly results report net sales and profit for the period ending March 2026.<BR><BR>Financial Snapshot:<BR>Most recent Net Sales: 65 Cr (Quarterly Results - Mar 2026) <BR>Most recent Net Profit: 1 Cr (Quarterly Results - Mar 2026) <BR>Market-cap value: INR 212 Cr (Micro Cap)<BR><BR>Key Metrics:<BR>P/E: 108.00 <BR>Industry P/E: 21 <BR>Dividend Yield: 0.00% <BR>Debt-Equity: 0.25 <BR>Return on Equity: 65.08% <BR>Price-to-Book: 70.09 <BR><BR>Contact Details:<BR>Address: 4th Floor Jaya Talkies S V Rd, Borivalli West Mumbai Maharashtra : 400092 <BR>Tel: 91-79-26856815 <BR>Email: aviva.amd@gmail.com <BR>Website: http://www.avivaindustries.com

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Should I buy, sell or hold Aviva Industries Ltd?

16-May-2026

Are Aviva Industries Ltd latest results good or bad?

15-May-2026

Aviva Industries Ltd's latest results show a significant turnaround with a net profit increase and a dramatic rise in revenue; however, concerns about compressed profit margins and a sharp decline in promoter shareholding suggest a cautious outlook for sustainability. Investors should consider these factors before making decisions.

Aviva Industries Ltd's latest results present a mixed picture. On one hand, the company reported a significant turnaround in its financial performance for Q4 FY26, with net profit rising to ₹0.93 crore from a loss of ₹0.02 crore in the same quarter last year, marking a remarkable year-on-year growth of 4,750%. Additionally, revenue surged by an astonishing 216,500% year-on-year, reaching ₹64.98 crore, which reflects a strong revival after years of operational dormancy.<BR><BR>However, despite these impressive headline figures, there are several underlying concerns. The profit margin has significantly compressed, falling from 6.46% in Q3 FY26 to just 1.43% in Q4 FY26, indicating that the rapid revenue growth may not be sustainable and could be driven by aggressive pricing or low-margin products. Furthermore, the company's historical performance has been characterized by extended periods of inactivity, raising questions about the sustainability of this recent growth.<BR><BR>Another alarming aspect is the drastic reduction in promoter shareholding, which plummeted from 65.30% to just 3.99% in a single quarter. This dramatic exit by insiders during a period of reported profitability raises red flags regarding their confidence in the company's future prospects.<BR><BR>In summary, while the latest results show a remarkable recovery in revenue and profitability, the concerns surrounding margin compression, promoter confidence, and the sustainability of this growth suggest that the overall outlook is cautious. Investors should weigh these factors carefully before making any decisions.

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When is the next results date for Aviva Industries Ltd?

08-May-2026

The next results date for Aviva Industries Ltd is 14 May 2026.

The next results date for Aviva Industries Ltd is scheduled for 14 May 2026.

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How has been the historical performance of Aviva Industries?

13-Aug-2025

Aviva Industries has shown no profit over the last six years, with total reserves and shareholder's funds declining significantly, leading to a book value per share of zero by March 2024. The company's financial health is deteriorating, with stable share capital and slight increases in long-term borrowings amidst decreasing total assets and liabilities.

Answer:<BR>The historical performance of Aviva Industries shows a consistent trend of minimal activity, with no profit before tax reported over the last six years. The company's share capital has remained stable at Rs 1.50 crore since March 2019. Total reserves have decreased from Rs 2.94 crore in March 2021 to Rs 1.61 crore in March 2023 and 2024. Shareholder's funds have also declined from Rs 4.44 crore in March 2021 to Rs 3.11 crore in March 2023 and 2024. Long-term borrowings have slightly increased from Rs 0.19 crore in March 2021 to Rs 0.76 crore in March 2022, remaining constant through March 2024. Total liabilities have shown a slight decrease from Rs 4.83 crore in March 2021 to Rs 4.21 crore in March 2024. The total assets have similarly decreased from Rs 4.83 crore in March 2021 to Rs 4.21 crore in March 2024, with non-current assets remaining at zero since March 2021. The book value per share has significantly dropped from Rs 29.64 in March 2021 to Rs 0 in March 2024, indicating a complete erosion of equity value.<BR><BR>Breakdown:<BR>Aviva Industries has demonstrated a lack of financial growth over the years, with no profits recorded in any of the last six fiscal years. The company's share capital has remained unchanged, while total reserves have seen a significant decline, reflecting a decrease in retained earnings. Shareholder's funds have also diminished, indicating a reduction in the net worth of the company. Long-term borrowings have increased slightly but have remained stable in recent years, suggesting a cautious approach to leveraging. Total liabilities have decreased, mirroring the decline in total assets, which have not seen any non-current asset investments since March 2021. The drastic fall in book value per share to zero in March 2024 highlights the company's deteriorating financial health and lack of shareholder value.

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Is Aviva Industries overvalued or undervalued?

09-Jun-2025

As of November 12, 2024, Aviva Industries is considered "risky" and overvalued, with poor financial ratios including a PE ratio of -6.81 and a low ROE of -0.97%, despite a recent stock performance that outpaced the Sensex.

As of 12 November 2024, Aviva Industries has moved from a grade of "does not qualify" to "risky." The company is currently assessed as overvalued. Key ratios include a PE ratio of -6.81, an EV to EBITDA of -7.55, and a Price to Book Value of 2.19. Compared to its peers, Aviva's valuation metrics are significantly lower; for instance, MMTC has a PE ratio of 119.39 and an EV to EBITDA of -70.04, while PTC India, deemed very attractive, has a PE of 9.02 and an EV to EBITDA of 4.14.<BR><BR>Despite a recent stock performance that outpaced the Sensex with a 10.34% return over the past week compared to the Sensex's 1.40%, the underlying financial ratios suggest that Aviva Industries is not positioned favorably in the market. The negative earnings ratios and low return on equity (ROE) of -0.97% further reinforce the conclusion of overvaluation.

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What is the technical trend for Aviva Industries?

09-Jun-2025

As of May 26, 2025, Aviva Industries is in a bullish trend supported by strong MACD and Bollinger Bands indicators, although the weekly RSI shows short-term weakness and mixed signals from KST.

As of 26 May 2025, the technical trend for Aviva Industries has changed from mildly bullish to bullish. The current stance is bullish with strong indicators supporting this view. The MACD is bullish on both the weekly and monthly time frames, while Bollinger Bands also indicate a bullish trend in both time frames. Daily moving averages are bullish, reinforcing the positive momentum. However, the weekly RSI is bearish, suggesting some short-term weakness, and the KST is bullish on the weekly but mildly bearish on the monthly, indicating mixed signals. Overall, the strength of the bullish trend is supported by the OBV, which is bullish on both weekly and monthly charts, and Dow Theory shows a mildly bullish stance on both time frames.

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Who are the top shareholders of the Aviva Industries?

06-Jun-2025

The top shareholders of Aviva Industries are Bharvin Sureshbhai Patel with 65.3%, followed by Tarang Devendrakumar Shah at 3.74%, and individual investors holding a combined 27.58%. There are no mutual funds or foreign institutional investors in the company.

The top shareholders of Aviva Industries include Bharvin Sureshbhai Patel, who holds the largest share at 65.3%. The next significant public shareholder is Tarang Devendrakumar Shah, with a holding of 3.74%. Additionally, individual investors collectively hold 27.58% of the company's shares. There are no mutual funds or foreign institutional investors currently holding shares in the company.

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Has Aviva Industries declared dividend?

06-Jun-2025

No Dividend History Available

iScoreScore
Click here to find our call on this stock
Strong Sell
Sell
Hold
Buy
Strong Buy

Dashboard

1

Poor Management Efficiency with a low ROCE of 0.62%

  • The company has been able to generate a Return on Capital Employed (avg) of 0.62% signifying low profitability per unit of total capital (equity and debt)
2

Healthy long term growth as Net Sales has grown by an annual rate of 141.80%

 
3

Positive results in Mar 26

4

With ROCE of -0.3, it has a Very Expensive valuation with a 56.4 Enterprise value to Capital Employed

5

Promoter holding has decreased this quarter and now hold 3.99% of the company

 
stock-summaryMojo Parameters

Mojo Parameters

Loading Valuation Snapshot...

Stock DNA

stock-summary
Industry

Trading

stock-summary
Market cap

INR 212 Cr (Micro Cap)

stock-summary
P/E

108.00

stock-summary
Industry P/E

15

stock-summary
Dividend Yield

0.00%

stock-summary
Debt Equity

0.25

stock-summary
Return on Equity

65.08%

stock-summary
Price to Book

70.09

Revenue and Profits:
Net Sales:
65 Cr
(Quarterly Results - Mar 2026)
Net Profit:
1 Cr
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
Dividend Yield (0%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
5.53%
0%
5.53%
6 Months
18.43%
0%
18.43%
1 Year
35.46%
0%
35.46%
2 Years
172.34%
0%
172.34%
3 Years
0%
0%
0.0%
4 Years
116.16%
0%
116.16%
5 Years
552.8%
0%
552.8%

Aviva Industries for the last several years.

Risk Adjusted Returns v/s stock-summary
Returns Beta
Icon
Beta has not been calculated since enough price history is not available
stock-summaryNews & Corporate Actions

News

Aviva Industries Ltd’s Mixed Week: -0.93% Price, +0.50% Sensex Tell the Story

Announcements stock-summary

Compliances-Reg.24(A)-Annual Secretarial Compliance

30-May-2026 | Source : BSE

Annual Secretarial Compliance Report for the financial year ended March 31 2026.

Board Meeting Outcome for Appointment Of Mrs. Deepa Garg (DIN: 10740685) As A Non-Executive Independent Director Of The Company.

29-May-2026 | Source : BSE

Appointment of Mrs. Deepa Garg (DIN: 10740685) as a Non-Executive Independent Director of the Company.

Intimation Regarding Change Of Corporate Identification Number (CIN) Of The Company

23-May-2026 | Source : BSE

Intimation regarding change of Corporate Identification Number (CIN) of the Company.

Corporate Actions stock-summary

stock-summary
BOARD MEETING

No Upcoming Board Meetings

stock-summary
DIVIDEND

No Dividend history available

stock-summary
SPLITS

No Splits history available

stock-summary
BONUS

No Bonus history available

stock-summary
RIGHTS

No Rights history available

stock-summaryKey Factors

Quality key factors stock-summary

Factor
Value
Sales Growth (5y)
141.80%
EBIT Growth (5y)
28.91%
EBIT to Interest (avg)
0.54
Debt to EBITDA (avg)
Net Debt is too low
Net Debt to Equity (avg)
0.25
Sales to Capital Employed (avg)
0.15
Tax Ratio
26.22%
Dividend Payout Ratio
0
Pledged Shares
0
Institutional Holding
0
ROCE (avg)
-1.12%
ROE (avg)
2.26%

Valuation key factors

Factor
Value
P/E Ratio
108
Industry P/E
15
Price to Book Value
70.09
EV to EBIT
82.52
EV to EBITDA
82.52
EV to Capital Employed
56.43
EV to Sales
2.60
PEG Ratio
NA
Dividend Yield
NA
ROCE (Latest)
-0.27%
ROE (Latest)
65.08%

Technicals key factors

Indicator
Weekly
Monthly
MACD
Mildly Bearish
Bullish
RSI
No Signal
Bearish
Bollinger Bands
Bullish
Bullish
Moving Averages
Bullish (Daily)
KST
Mildly Bearish
Bullish
Dow Theory
Mildly Bullish
Mildly Bullish
OBV
Mildly Bullish
No Trend
stock-summary Technical Indicator Scale: Bearish, Mildly Bearish, Sideways, Mildly Bullish, Bullish  Turned 
stock-summaryShareholding
Shareholding Snapshot : Mar 2026stock-summary
Shareholding Compare (%holding) stock-summary
Majority shareholders

Non Institution

Pledged Promoter Holdings

None

Mutual Funds

Held by 0 Schemes

FIIs

Held by 0 FIIs

Promoter with highest holding

Bharvin Sureshbhai Patel (3.99%)

Highest Public shareholder

Rathod Papubhai Babubhai (6.61%)

Individual Investors Holdings

95.58%

stock-summaryFinancial
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Quarterly Results Snapshot (Standalone) - Mar'26 - YoYstock-summary

Mar'26
Mar'25
Change(%)
Net Sales
64.98
0.03
2,16,500.00%
Operating Profit (PBDIT) excl Other Income
1.29
-0.02
6,550.00%
Interest
0.00
0.00
Exceptional Items
0.00
0.00
Standalone Net Profit
0.93
-0.02
4,750.00%
Operating Profit Margin (Excl OI)
1.99%
-66.67%
68.66%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in quarter ended Mar 2026 is 2,16,500.00% vs -62.50% in Mar 2025

Direction Arrows
Standalone Net Profit

YoY Growth in quarter ended Mar 2026 is 4,750.00% vs 0.00% in Mar 2025

Half Yearly Results Snapshot (Standalone) - Sep'24stock-summary

Sep'24
Sep'23
Change(%)
Net Sales
0.00
0.50
-100.00%
Operating Profit (PBDIT) excl Other Income
-0.04
0.01
-500.00%
Interest
0.00
0.00
Exceptional Items
0.00
0.00
Standalone Net Profit
-0.04
0.01
-500.00%
Operating Profit Margin (Excl OI)
0.00%
2.00%
-2.00%
Values in Rs Cr.
Direction Arrows
Net Sales

Growth in half year ended Sep 2024 is -100.00% vs 78.57% in Sep 2023

Direction Arrows
Standalone Net Profit

Growth in half year ended Sep 2024 is -500.00% vs 0.00% in Sep 2023

Nine Monthly Results Snapshot (Standalone) - Dec'24stock-summary

Dec'24
Dec'23
Change(%)
Net Sales
0.00
0.50
-100.00%
Operating Profit (PBDIT) excl Other Income
-0.09
-0.01
-800.00%
Interest
0.00
0.00
Exceptional Items
0.00
0.00
Standalone Net Profit
-0.09
-0.01
-800.00%
Operating Profit Margin (Excl OI)
0.00%
-2.00%
2.00%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in nine months ended Dec 2024 is -100.00% vs -16.67% in Dec 2023

Direction Arrows
Standalone Net Profit

YoY Growth in nine months ended Dec 2024 is -800.00% vs -200.00% in Dec 2023

Annual Results Snapshot (Standalone) - Mar'26stock-summary

Mar'26
Mar'25
Change(%)
Net Sales
81.77
0.03
2,72,466.67%
Operating Profit (PBDIT) excl Other Income
2.57
-0.09
2,955.56%
Interest
0.00
0.00
Exceptional Items
0.00
0.00
Standalone Net Profit
1.88
-0.09
2,188.89%
Operating Profit Margin (Excl OI)
3.14%
-300.00%
303.14%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in year ended Mar 2026 is 2,72,466.67% vs -94.83% in Mar 2025

Direction Arrows
Standalone Net Profit

YoY Growth in year ended Mar 2026 is 2,188.89% vs -200.00% in Mar 2025

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About Aviva Industries Ltd stock-summary
stock-summary
Aviva Industries Ltd
Micro Cap
Trading
Aviva Industries Ltd is an India-based Company. The Company is engaged in manufacturing and trading in electrical goods and services. It manufactures denim and spins cotton yarns. Aviva Industries Limited was incorporated in 1984 and is based in Mumbai, India.The company was formerly known as Ankush Synthetics Limited and changed its name to Aviva Industries Limited in November 2005.
Company Coordinates stock-summary
Company Details
4th Floor Jaya Talkies S V Rd, Borivalli West Mumbai Maharashtra : 400092
stock-summary
Tel: 91-79-26856815
stock-summary
aviva.amd@gmail.com
Registrar Details