Key Events This Week
27 Jan: Stock drops 3.32% amid mixed market sentiment
28 Jan: Upgraded to Hold by MarketsMOJO on technical and financial improvements
29 Jan: Minor decline of 1.03% despite Sensex gains
30 Jan: Q2 FY26 results reveal revenue surge but margin pressures; stock closes lower

Vivid Global Industries Q2 FY26: Revenue Surge Masks Margin Pressures
2026-01-30 20:16:28Vivid Global Industries Ltd., a micro-cap speciality chemicals manufacturer focused on dye intermediates, reported a strong sequential revenue recovery in Q2 FY26, posting net sales of ₹13.92 crores—a 32.19% quarter-on-quarter increase from ₹10.53 crores in Q1 FY26. However, this topline expansion came at the cost of profitability, as net profit remained flat at ₹0.17 crores compared to ₹0.11 crores in the previous quarter, reflecting persistent margin pressures despite the revenue uptick.
Read full news articleAre Vivid Global Industries Ltd latest results good or bad?
2026-01-30 19:23:42Vivid Global Industries Ltd has reported its financial results for Q2 FY26, showcasing a notable revenue growth of 32.19% quarter-on-quarter, reaching ₹13.92 crores, and an impressive year-on-year increase of 97.73% compared to ₹7.04 crores in Q2 FY25. This surge in revenue indicates a recovery in demand for its specialty dye intermediates. However, the company’s net profit for the quarter was ₹0.17 crores, reflecting a 54.55% increase from the previous quarter and a 41.67% rise year-on-year. Despite the positive revenue and profit figures, the operating margin remains thin at 4.24%, although it has improved from 2.18% in the previous quarter. This suggests that while revenue is growing, the company is still facing challenges in translating that growth into substantial profitability. The PAT margin stands at 1.22%, which is critically low and raises concerns about the company’s ability to withstand fluctua...
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Vivid Global Industries Ltd Upgraded to Hold on Technical and Financial Improvements
2026-01-28 08:15:06Vivid Global Industries Ltd, a player in the commodity chemicals sector, has seen its investment rating upgraded from Sell to Hold, reflecting a notable improvement in its technical indicators and recent financial performance. The upgrade, effective from 27 Jan 2026, is driven primarily by a bullish shift in technical trends, alongside steady operational gains and a fair valuation relative to peers.
Read full news articleWhy is Vivid Global Industries Ltd falling/rising?
2026-01-23 00:47:30
Short-Term Performance Outshines Benchmark
Vivid Global Industries Ltd has demonstrated impressive resilience in the recent trading sessions. Over the past week, the stock surged by 7.25%, significantly outperforming the Sensex, which declined by 1.29% during the same period. This positive momentum extends into the month-to-date and year-to-date frames, with gains of 7.00% and 7.25% respectively, while the benchmark index recorded losses of 3.81% and 3.42%. Such relative strength highlights investor confidence in the company’s near-term prospects, setting it apart from broader market trends.
Technical Indicators Signal Strength
Technical analysis further supports the bullish sentiment surrounding Vivid Global. The stock is currently trading abov...
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Vivid Global Industries Ltd Downgraded to Sell Amid Weak Fundamentals and Mixed Technicals
2026-01-21 08:11:16Vivid Global Industries Ltd, a player in the commodity chemicals sector, has seen its investment rating downgraded from Hold to Sell as of 20 Jan 2026. This revision reflects a complex interplay of deteriorating technical indicators, weak long-term fundamentals, and valuation concerns despite some recent positive quarterly financial results.
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Vivid Global Industries Ltd Downgraded to Sell Amid Weak Fundamentals and Technical Setbacks
2025-12-30 08:34:37Vivid Global Industries Ltd, a player in the commodity chemicals sector, has seen its investment rating downgraded from Hold to Sell as of 29 Dec 2025. This shift reflects a combination of deteriorating technical indicators, weak long-term financial fundamentals, and valuation concerns despite some recent positive quarterly performance. The company’s Mojo Score now stands at 37.0, signalling caution for investors amid ongoing underperformance against benchmarks.
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