Manorama Indust.

INR
1,305.60
-46.2 (-3.42%)
BSENSE

May 15

BSE+NSE Vol: 2.15 lacs

  • 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

2.15 lacs (-54.83%) Volume

Shareholding (Mar 2026)

FII

2.89%

Held by 74 FIIs

DII

3.00%

Held by 3 DIIs

Promoter

54.32%

Who are in the management team of Manorama Indust.?

06-Jun-2025

As of March 2022, the management team of Manorama Indust. includes Vinita Ashish Saraf (Chairperson & Managing Director), Gautam Kumar Pal (Managing Director), and several independent directors, along with whole-time directors Ashok Jain and Shrey Ashish Saraf, overseeing the company's operations and strategy.

As of March 2022, the management team of Manorama Indust. includes the following individuals:<BR><BR>1. Vinita Ashish Saraf - Chairperson & Managing Director<BR>2. Gautam Kumar Pal - Managing Director<BR>3. Ashish Bakliwal - Independent Director<BR>4. Divya Bhootra - Company Secretary & Compliance Officer<BR>5. Shrey Ashish Saraf - Whole-time Director<BR>6. Jose Vailapallil Jospeh - Independent Director<BR>7. Nipun Sumanlal Mehta - Independent Director<BR>8. Mudit Kumar Singh - Independent Director<BR>9. Veni Mocherla - Independent Director<BR>10. Ashok Jain - Whole-time Director<BR><BR>This team is responsible for overseeing the operations and strategic direction of the company.

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What does Manorama Indust. do?

06-Jun-2025

Manorama Industries Ltd is a Mid Cap company in the FMCG sector, incorporated in 2005 and converted to a Public Limited Company in 2018, with net sales of 233 Cr and a net profit of 40 Cr as of March 2025. Key financial metrics include a P/E ratio of 74.00 and a market cap of Rs 8,259 Cr.

Overview: <BR>Manorama Industries Ltd operates in the Fast-Moving Consumer Goods (FMCG) sector and is categorized as a Mid Cap company.<BR><BR>History: <BR>Manorama Industries Limited was originally incorporated as a Private Limited Company in 2005 and later converted to a Public Limited Company in 2018. The most recent quarterly results report net sales and net profit for March 2025.<BR><BR>Financial Snapshot: <BR>Net Sales: 233 Cr (Quarterly Results - Mar 2025) <BR>Net Profit: 40 Cr (Quarterly Results - Mar 2025) <BR>Market Cap: Rs 8,259 Cr (Mid Cap)<BR><BR>Key Metrics: <BR>P/E: 74.00 <BR>Industry P/E: 54 <BR>Dividend Yield: 0.03% <BR>Debt Equity: 0.84 <BR>Return on Equity: 24.26% <BR>Price to Book: 18.03<BR><BR>Contact Details: <BR>Address: Office No 403 4 Th Floor, Midas Kurla Road Andheri East Mumbai Maharashtra : 400059 <BR>Tel: 91-22-67088148 <BR>Email: investors@manoramagroup.co.in <BR>Website: http://www.manoramagroup.co.in

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Has Manorama Indust. declared dividend?

06-Jun-2025

Yes, Manorama Industries Ltd has declared a 20% dividend, amounting to ₹0.4 per share, with an ex-date of August 27, 2024. The company has demonstrated strong price returns over various periods, despite relatively low dividend yields.

Manorama Industries Ltd has declared a 20% dividend.<BR><BR>Dividend Details:<BR>- Percentage announced: 20%<BR>- Amount per share: 0.4<BR>- Ex-date: Aug-27-2024<BR><BR>Dividend Yield: 0.03%.<BR><BR>Total Returns by Period:<BR>In the last 6 months, the price return was 17.12%, with a dividend return of 0%, resulting in a total return of 17.12%.<BR><BR>Over the past year, the price return reached 126.09%, while the dividend return was 0.06%, leading to a total return of 126.15%.<BR><BR>In the 2-year period, the price return was 370.49%, with a dividend return of 0.81%, culminating in a total return of 371.3%.<BR><BR>For the 3-year period, the price return stood at 593.89%, and the dividend return was 1.28%, resulting in a total return of 595.17%.<BR><BR>In the last 4 years, the price return was 494.87%, with a dividend return of 0.91%, leading to a total return of 495.78%.<BR><BR>Finally, over the 5-year period, the price return was an impressive 1773.04%, with a dividend return of 2.72%, resulting in a total return of 1775.76%.<BR><BR>Overall, Manorama Industries Ltd has declared a dividend, and the company has shown significant price returns across various periods, indicating strong performance despite relatively low dividend returns.

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Who are the peers of the Manorama Indust.?

16-Jul-2025

Manorama Indust. peers include Zydus Wellness, Jyothy Labs, CCL Products, Avanti Feeds, Honasa Consumer, Mrs Bectors, Dodla Dairy, Hindustan Foods, VST Industries, and Gopal Snacks. Manorama Indust. leads in 1-year returns at 143.58%, while Jyothy Labs has the lowest at -29.55%.

Peers: The peers of Manorama Indust. are Zydus Wellness, Jyothy Labs, CCL Products, Avanti Feeds, Honasa Consumer, Mrs Bectors, Dodla Dairy, Hindustan Foods, VST Industries, and Gopal Snacks.<BR><BR>Quality Snapshot: Excellent management risk is observed at VST Industries, while Good management risk is found at Jyothy Labs, CCL Products, Avanti Feeds, Dodla Dairy, and Mrs Bectors, and the rest have Average management risk. Growth is Excellent for Manorama Indust. and Hindustan Foods, while Below Average growth is seen in Zydus Wellness, Jyothy Labs, CCL Products, Avanti Feeds, Honasa Consumer, Mrs Bectors, Dodla Dairy, and VST Industries, and the rest. Capital Structure is Excellent for Zydus Wellness, Jyothy Labs, Avanti Feeds, Mrs Bectors, Dodla Dairy, and VST Industries, Average for CCL Products and Manorama Indust., and Below Average for Hindustan Foods, while Honasa Consumer and the rest have Excellent capital structure.<BR><BR>Return Snapshot: Manorama Indust. has the highest 1-year return at 143.58%, while Jyothy Labs has the lowest at -29.55%. Compared to its peers, Manorama Indust. significantly outperforms them in 1-year returns. Additionally, the peers with negative six-month returns include VST Industries and Jyothy Labs.

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Who are the top shareholders of the Manorama Indust.?

17-Jul-2025

The top shareholders of Manorama Industries include Ashish Ramesh Saraf with 42.26%, Ritu Saraf as the highest public shareholder at 7.11%, and individual investors holding 31.6%. Mutual funds own 4.24%, while foreign institutional investors hold 2.81%, with no pledged promoter holdings reported.

The top shareholders of Manorama Indust. include the promoters, with Ashish Ramesh Saraf holding the highest stake at 42.26%. Other significant shareholders are Ritu Saraf, who is the highest public shareholder with 7.11%, and individual investors collectively holding 31.6%. Additionally, the company has mutual funds invested through three schemes, which account for 4.24%, and foreign institutional investors (FIIs) holding 2.81% through 40 different entities. There are no pledged promoter holdings reported.

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How big is Manorama Indust.?

24-Jul-2025

As of 24th July, Manorama Industries Ltd has a market capitalization of 9,449.00 Cr, with recent net sales of 637.43 Cr and net profit of 96.25 Cr over the last three quarters.

As of 24th July, <BR><BR>Market Cap: Manorama Industries Ltd has a market capitalization of 9,449.00 Cr, categorizing it as a Mid Cap company.<BR><BR>Recent Quarterly Performance: The sum of Net Sales for the latest three quarters is 637.43 Cr, while the sum of Net Profit for the same period is 96.25 Cr.<BR><BR>Balance Sheet Snapshot: The reporting period is March 2024, with Shareholder's Funds amounting to 337.01 Cr and Total Assets totaling 736.66 Cr.

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Is Manorama Indust. overvalued or undervalued?

28-Oct-2025

As of October 27, 2025, Manorama Industries is considered overvalued with a PE ratio of 47.39 and high valuation metrics compared to peers, despite a strong past year return of 56.53%.

As of 27 October 2025, the valuation grade for Manorama Industries has moved from very expensive to expensive. The company is currently considered overvalued based on its high valuation ratios. The PE ratio stands at 47.39, the Price to Book Value is 18.19, and the EV to EBITDA ratio is 30.75, all of which are significantly higher than industry norms.<BR><BR>In comparison to its peers, Manorama Industries' valuation appears stretched, especially when contrasted with Modi Naturals, which has a PE ratio of 15.46 and an EV to EBITDA of 11.13, indicating a more attractive valuation. Additionally, CIAN Agro is categorized as very expensive with a PE of 72.51, further highlighting the relative overvaluation of Manorama. Despite a strong return of 56.53% over the past year compared to the Sensex's 6.77%, the company's elevated valuation metrics suggest that it may not be a prudent investment at this time.

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How has been the historical performance of Manorama Indust.?

01-Dec-2025

For the fiscal year ending March 2025, Manorama Indust. reported a total operating income of 770.84 crore and a net profit after tax of 109.79 crore, with a healthy operating profit margin of 24.18%. The company had total liabilities and assets of 983.32 crore, indicating a balanced financial position.

Answer:<BR>The historical performance of Manorama Indust. for the year ending March 2025 shows a total operating income of 770.84 crore, with a net profit after tax of 109.79 crore.<BR><BR>Breakdown:<BR>In the fiscal year ending March 2025, Manorama Indust. reported total operating income of 770.84 crore, which was generated entirely from net sales, as there was no other operating income. The company's total expenditure, excluding depreciation, amounted to 584.44 crore, leading to an operating profit (PBDIT) of 207.40 crore. After accounting for interest expenses of 39.19 crore and depreciation of 22.13 crore, the profit before tax stood at 146.08 crore. Following a tax provision of 36.29 crore, the profit after tax was recorded at 109.79 crore. The company maintained a healthy operating profit margin of 24.18% and a profit after tax margin of 14.24%. On the balance sheet, total liabilities were 983.32 crore, with total assets matching this figure, indicating a balanced position. The cash flow statement revealed a net cash inflow of 2.00 crore, despite negative cash flows from operating and investing activities, highlighting reliance on financing activities for liquidity.

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Is Manorama Indust. technically bullish or bearish?

05-Dec-2025

As of December 4, 2025, Manorama Industries shows a mildly bullish trend driven by daily moving averages and monthly Bollinger Bands, despite some short-term bearish signals from weekly MACD and OBV indicators.

As of 4 December 2025, the technical trend for Manorama Indust. has changed from sideways to mildly bullish. The daily moving averages indicate a mildly bullish stance, while the weekly MACD and KST are both mildly bearish, suggesting some short-term weakness. The Bollinger Bands show a bullish signal on the monthly timeframe, which supports the overall mildly bullish trend. However, the weekly indicators such as MACD and OBV are leaning bearish, indicating mixed signals. Overall, the current technical stance is mildly bullish, driven primarily by daily moving averages and the monthly Bollinger Bands, despite some bearish pressure in the weekly indicators.

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When is the next results date for Manorama Industries Ltd?

07-May-2026

The next results date for Manorama Industries Ltd is 11 May 2026.

The next results date for Manorama Industries Ltd is scheduled for 11 May 2026.

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Are Manorama Industries Ltd latest results good or bad?

12-May-2026

Manorama Industries Ltd's latest results show strong revenue growth of 68.09% to ₹391.34 crores, but a significant net profit decline of 41.22% to ₹42.48 crores and shrinking profit margins raise concerns, leading to a 12.48% drop in stock price. Overall, the results are more concerning than positive.

Manorama Industries Ltd's latest results present a mixed picture, with significant concerns overshadowing its achievements. In the fourth quarter of FY26, the company reported a record high revenue of ₹391.34 crores, reflecting a remarkable year-on-year growth of 68.09%. However, this impressive top-line performance was marred by a substantial decline in net profit, which fell to ₹42.48 crores—a 41.22% decrease compared to the previous quarter.<BR><BR>The company's profitability metrics also showed troubling signs, with the PAT margin contracting sharply to 10.86% from 19.93% in the prior quarter. This 905 basis point erosion raises serious questions about the sustainability of profit margins and cost management. Additionally, the operating margin decreased to 21.62%, down 711 basis points quarter-on-quarter.<BR><BR>The market reacted negatively to these results, with the stock experiencing a significant drop of 12.48% in a single trading session following the announcement. This decline pushed the stock below all key moving averages, indicating technical weakness.<BR><BR>Overall, while Manorama Industries achieved strong revenue growth, the dramatic profit decline and margin compression suggest that the latest results are more concerning than positive. Investors should closely monitor the company's ability to address these operational challenges in the upcoming quarters.

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Should I buy, sell or hold Manorama Industries Ltd?

12-May-2026

Why is Manorama Industries Ltd falling/rising?

17-May-2026

As of 16-May, Manorama Industries Ltd's stock price has declined to Rs 1,301.35, down 3.8%, with a significant drop of 17.47% over the past week. Despite strong long-term growth metrics, recent poor performance and declining investor interest indicate a troubling short-term outlook.

As of 16-May, Manorama Industries Ltd is experiencing a decline in its stock price, currently at Rs 1,301.35, which reflects a decrease of Rs 51.4 or 3.8%. This downward movement is evident in the stock's performance over the past week, where it has fallen by 17.47%, significantly underperforming the Sensex, which decreased by only 2.70%. <BR><BR>The stock has also shown negative returns over various periods, including a 4.01% drop over the past month and an 11.29% decline over the past year. Despite a remarkable increase of 365.78% over three years and 599.27% over five years, the recent trends indicate a troubling short-term outlook.<BR><BR>Today's trading session highlights further concerns, as the stock touched an intraday low of Rs 1,299.2, indicating a significant drop of 3.96%. The weighted average price suggests that more volume was traded closer to this low price, indicating a lack of buyer interest. Additionally, the stock is trading below its 5-day, 20-day, 50-day, 100-day, and 200-day moving averages, which typically signals bearish sentiment among investors.<BR><BR>Investor participation has also declined, with delivery volume on 14 May falling by 61.62% compared to the 5-day average, suggesting reduced confidence in the stock. The broader sector, solvent extraction, has also faced a downturn, falling by 4.75%, which may be contributing to the negative sentiment surrounding Manorama Industries Ltd.<BR><BR>While the company has demonstrated strong long-term growth metrics, such as a high return on capital employed (ROCE) of 19.17% and significant increases in net sales and operating profit, these positive factors are currently overshadowed by the stock's recent performance and market conditions. Thus, the combination of poor short-term returns, declining investor participation, and sector-wide challenges are key reasons for the falling stock price of Manorama Industries Ltd.

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iScoreScore
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Strong Sell
Sell
Hold
Buy
Strong Buy

Dashboard

1

High Management Efficiency with a high ROCE of 19.17%

 
2

Healthy long term growth as Net Sales has grown by an annual rate of 46.29% and Operating profit at 66.54%

 
3

The company has declared Positive results for the last 7 consecutive quarters

4

With ROCE of 38.2, it has a Fair valuation with a 9.2 Enterprise value to Capital Employed

5

Majority shareholders : Promoters

 
stock-summaryMojo Parameters

Mojo Parameters

Loading Valuation Snapshot...

Stock DNA

stock-summary
Industry

FMCG

stock-summary
Market cap

INR 8,042 Cr (Small Cap)

stock-summary
P/E

35.00

stock-summary
Industry P/E

29

stock-summary
Dividend Yield

0.04%

stock-summary
Debt Equity

0.57

stock-summary
Return on Equity

40.85%

stock-summary
Price to Book

14.27

Revenue and Profits:
Net Sales:
391 Cr
(Quarterly Results - Mar 2026)
Net Profit:
52 Cr
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
Dividend Yield (0.04%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
-7.42%
0%
-7.42%
6 Months
-1.78%
0%
-1.78%
1 Year
-11.03%
0.04%
-10.99%
2 Years
135.82%
0.17%
135.99%
3 Years
368.68%
0.98%
369.66%
4 Years
0%
0%
0.0%
5 Years
0%
0%
0.0%

Latest dividend: 0.6 per share ex-dividend date: Aug-21-2025

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

Manorama Industries Drops 17.47%: 4 Key Factors Behind the Sharp Weekly Decline

Key Events This Week

11 May: Stock opens strong at Rs.1,596.30 (+1.23%) despite Sensex decline

12 May: Sharp gap down and intraday low amid rating downgrade and Q4 profit drop

14 May: Technical momentum shifts to mildly bearish with mixed indicator signals

15 May: Week closes at Rs.1,301.35, down 3.80% on the day and 17.47% for the week

Announcements stock-summary

Icon
No announcement available

Corporate Actions stock-summary

stock-summary
BOARD MEETING

No Upcoming Board Meetings

stock-summary
DIVIDEND

Manorama Industries Ltd has declared 30% dividend, ex-date: 21 Aug 25

stock-summary
SPLITS

Manorama Industries Ltd has announced 2:10 stock split, ex-date: 07 Mar 24

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BONUS

No Bonus history available

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RIGHTS

No Rights history available

stock-summaryKey Factors

Quality key factors stock-summary

Factor
Value
Sales Growth (5y)
46.29%
EBIT Growth (5y)
66.54%
EBIT to Interest (avg)
5.42
Debt to EBITDA (avg)
12.07
Net Debt to Equity (avg)
0.57
Sales to Capital Employed (avg)
0.83
Tax Ratio
26.19%
Dividend Payout Ratio
5.94%
Pledged Shares
0
Institutional Holding
5.88%
ROCE (avg)
15.81%
ROE (avg)
20.73%

Valuation key factors

Factor
Value
P/E Ratio
35
Industry P/E
29
Price to Book Value
13.86
EV to EBIT
24.07
EV to EBITDA
22.40
EV to Capital Employed
9.20
EV to Sales
6.07
PEG Ratio
0.31
Dividend Yield
0.05%
ROCE (Latest)
38.22%
ROE (Latest)
40.85%

Technicals key factors

Indicator
Weekly
Monthly
MACD
Bullish
Mildly Bearish
RSI
No Signal
No Signal
Bollinger Bands
Bearish
Mildly Bullish
Moving Averages
Bearish (Daily)
KST
Bullish
Mildly Bearish
Dow Theory
Mildly Bullish
Mildly Bullish
OBV
Bullish
Bullish
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

Promoters

Pledged Promoter Holdings

None

Mutual Funds

Held by 8 Schemes (2.65%)

FIIs

Held by 74 FIIs (2.89%)

Promoter with highest holding

Ashish Ramesh Saraf (46.17%)

Highest Public shareholder

Ritu Saraf (7.1%)

Individual Investors Holdings

33.45%

stock-summaryFinancial
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        }
      ]
    }
  }
]

Quarterly Results Snapshot (Standalone) - Mar'26 - QoQstock-summary

Mar'26
Dec'25
Change(%)
Net Sales
382.30
362.54
5.45%
Operating Profit (PBDIT) excl Other Income
102.86
98.21
4.73%
Interest
9.31
11.26
-17.32%
Exceptional Items
0.00
0.00
Standalone Net Profit
59.52
68.24
-12.78%
Operating Profit Margin (Excl OI)
26.91%
27.09%
-0.18%
Values in Rs Cr.
Direction Arrows
Net Sales

QoQ Growth in quarter ended Mar 2026 is 5.45% vs 12.13% in Dec 2025

Direction Arrows
Standalone Net Profit

QoQ Growth in quarter ended Mar 2026 is -12.78% vs 24.34% in Dec 2025

Half Yearly Results Snapshot (Standalone) - Sep'25stock-summary

Sep'25
Sep'24
Change(%)
Net Sales
612.86
328.83
86.38%
Operating Profit (PBDIT) excl Other Income
166.65
71.97
131.55%
Interest
16.97
16.28
4.24%
Exceptional Items
0.00
0.00
Standalone Net Profit
105.46
40.25
162.01%
Operating Profit Margin (Excl OI)
27.19%
21.89%
5.30%
Values in Rs Cr.
Direction Arrows
Net Sales

Growth in half year ended Sep 2025 is 86.38% vs 43.41% in Sep 2024

Direction Arrows
Standalone Net Profit

Growth in half year ended Sep 2025 is 162.01% vs 99.65% in Sep 2024

Nine Monthly Results Snapshot (Standalone) - Dec'25stock-summary

Dec'25
Dec'24
Change(%)
Net Sales
975.40
538.03
81.29%
Operating Profit (PBDIT) excl Other Income
264.86
127.13
108.34%
Interest
28.23
27.22
3.71%
Exceptional Items
0.00
0.00
Standalone Net Profit
173.70
69.78
148.93%
Operating Profit Margin (Excl OI)
27.15%
23.63%
3.52%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in nine months ended Dec 2025 is 81.29% vs 64.16% in Dec 2024

Direction Arrows
Standalone Net Profit

YoY Growth in nine months ended Dec 2025 is 148.93% vs 152.83% in Dec 2024

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

Mar'26
Mar'25
Change(%)
Net Sales
1,357.70
770.84
76.13%
Operating Profit (PBDIT) excl Other Income
367.72
191.05
92.47%
Interest
37.55
39.16
-4.11%
Exceptional Items
0.00
0.00
Standalone Net Profit
233.22
112.05
108.14%
Operating Profit Margin (Excl OI)
27.08%
24.78%
2.30%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in year ended Mar 2026 is 76.13% vs 68.64% in Mar 2025

Direction Arrows
Standalone Net Profit

YoY Growth in year ended Mar 2026 is 108.14% vs 179.36% in Mar 2025

stock-summaryCompany CV
About Manorama Industries Ltd stock-summary
stock-summary
Manorama Industries Ltd
Small Cap
FMCG
Manorama Industries Limited was originally incorporated as a Private Limited Company with the name "Manorama Industries Private Limited" at Raipur, Chhattisgarh on August 9, 2005. Subsequently the status of Company converted into Public Limited Company and the name of the Company was changed to "Manorama Industries Limited" on March 23, 2018.
Company Coordinates stock-summary
Company Details
Office No 403 4 Th Floor, Midas Kurla Road Andheri East Mumbai Maharashtra : 400059
stock-summary
Tel: 91-22-67088148
stock-summary
investors@manoramagroup.co.in
Registrar Details
Link Intime India Pvt Ltd, C-13 Pannalal Silk Compound, L B S Marg, Bhandup , Mumbai