Dashboard
Low ability to service debt as the company has a high Debt to EBITDA ratio of 20.53 times
- Low ability to service debt as the company has a high Debt to EBITDA ratio of 20.53 times
- The company has reported losses. Due to this company has reported negative ROE
Flat results in Jun 25
Risky - Negative Operating Profits
Below par performance in long term as well as near term
Total Returns (Price + Dividend) 
Inotiv, Inc. for the last several years.
Risk Adjusted Returns v/s 
News
Is Inotiv, Inc. technically bullish or bearish?
As of 8 September 2025, the technical trend for Inotiv, Inc. has changed from mildly bearish to bearish. The current technical stance is bearish, with key indicators supporting this view including a bearish MACD on the weekly timeframe, bearish moving averages on the daily timeframe, and a bearish signal from Bollinger Bands on both weekly and monthly timeframes. Additionally, the Dow Theory indicates a mildly bearish stance on the weekly and monthly levels. In terms of performance, Inotiv has significantly underperformed compared to the S&P 500 across multiple periods, with a year-to-date return of -64.98% versus the S&P 500's 12.22%, and a 3-year return of -93.17% compared to the S&P 500's 70.41%....
Read MoreIs Inotiv, Inc. overvalued or undervalued?
As of 10 February 2022, the valuation grade for Inotiv, Inc. has moved from fair to risky, indicating a deterioration in its financial standing. The company is currently overvalued, as evidenced by its Price to Book Value of 0.59, an EV to Sales ratio of 1.00, and a troubling ROE of -57.12%. In comparison, FONAR Corp., which is rated fair, has a P/E ratio of 8.9956 and an EV to EBITDA of 2.7084, highlighting the significant disparity in valuation metrics among peers. Inotiv's performance has been notably poor, with a year-to-date return of -64.98% compared to the S&P 500's gain of 12.22%, and a staggering 3-year return of -93.17% against the S&P 500's 70.41%. This stark contrast reinforces the notion that Inotiv is not only struggling in terms of valuation but also underperforming significantly relative to broader market benchmarks....
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Corporate Actions 
Quality key factors 
Valuation key factors
Technicals key factors
Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 18 Schemes (12.46%)
Held by 27 Foreign Institutions (2.89%)
Quarterly Results Snapshot (Consolidated) - Jun'25 - QoQ
QoQ Growth in quarter ended Jun 2025 is 5.15% vs 3.67% in Mar 2025
QoQ Growth in quarter ended Jun 2025 is -18.12% vs 46.01% in Mar 2025
Annual Results Snapshot (Consolidated) - Sep'24
YoY Growth in year ended Sep 2024 is -14.27% vs 4.51% in Sep 2023
YoY Growth in year ended Sep 2024 is -3.81% vs 68.90% in Sep 2023






