Track Sundrop Brands Ltd.'s current share price, historical price chart, 52-week high/low, and performance across different time periods.
1 Week returns: 1.45 %
Low
637.5
High
665.5
1 Month returns: -3.12 %
Low
637.5
High
718.7
1 Year returns: -21.21 %
Low
555.5
High
897.6
3 Year CAGR: -7.41 %
Low
555.5
High
1,152.0
5 Year CAGR: -7.41 %
Low
555.5
High
1,152.0
Note: Prices may be delayed by a few minutes. For historical calculations, prices are adjusted for splits, bonus and rights issue. Percentage change shown is absolute irrespective of the period.
Multi-year trends for Sundrop Brands Ltd. covering revenue, net profit, ROE, and EBITDA for a quick view of financial health over time.
Sundrop Brands Ltd. Shareholding Pattern
Quarterly breakdown of Sundrop Brands Ltd. ownership including promoter, FII, DII, mutual fund, and public holdings as disclosed to NSE/BSE.
Bulk, Block and Insider Trades
Recent bulk deals, block deals, and insider trading activity in Sundrop Brands Ltd. shares as reported to NSE and BSE.
Frequently Asked Questions
What is the current share price of Sundrop Brands Ltd.?
The current share price of Sundrop Brands Ltd. is ₹ 658.95 as of 25 Aug 2026.
What is the market capitalisation of Sundrop Brands Ltd.?
The market capitalisation of Sundrop Brands Ltd. stands at ₹ 2,484.04 Cr.
What is the PE ratio of Sundrop Brands Ltd.?
The Price-to-Earnings (PE) ratio of Sundrop Brands Ltd. is 123.40 as of the latest trailing twelve months data.
What is the ROE and ROCE of Sundrop Brands Ltd.?
Sundrop Brands Ltd. has a Return on Equity (ROE) of 1.38% and a Return on Capital Employed (ROCE) of 1.89% as per the latest financial reports.
What is the 52-week high and low of Sundrop Brands Ltd.?
The 52-week high of Sundrop Brands Ltd. is - and the 52-week low is -.
What is the dividend yield of Sundrop Brands Ltd.?
The dividend yield of Sundrop Brands Ltd. is 0.00% based on the current market price.
What is the FII and DII holding in Sundrop Brands Ltd.?
Foreign Institutional Investors (FII) hold 0.20%, Domestic Institutional Investors (DII) hold 5.16% and retail/public investors hold 23.63% of Sundrop Brands Ltd. shares.
What sector does Sundrop Brands Ltd. belong to?
Sundrop Brands Ltd. operates in the Fast Moving Consumer Goods sector.
What is the beta of Sundrop Brands Ltd.?
The beta of Sundrop Brands Ltd. is 0.55, indicating its price volatility relative to the broader market. Over the past 1 year, Sundrop Brands Ltd. has delivered an absolute return of -23.99%.
What is the RSI of Sundrop Brands Ltd.?
The 14-day Relative Strength Index (RSI) of Sundrop Brands Ltd. is 50.39, placing it in the neutral zone. An RSI above 70 is considered overbought and below 30 is considered oversold.
Stock Analysis
Fundamental analysis overview of Sundrop Brands Ltd. covering key investment insights, growth drivers, risk factors, and potential red flags.
Views
Red Flags
Positive
Strong revenue growth and above median growth of industry
The company delivered strong revenue growth of 72.38% for 12-month ended 30 Jun 2026 and the growth was 56.99 percentage points higher than median growth of industry
What is Sales growth (1Y)?
Median: 15.39
Value 72.38
-48.222556.65
Low Debt to Equity, not much change from last year
The company has low Debt to Equity of 0.01 as on 30 Jun 2026 and Debt to Equity remained same in the last 1 year
What is Debt to Equity?
Company is net cash
The company is net cash i.e., cash and cash equivalents exceed total debt indicating a healthy balance sheet
What is Net Debt ?
Negative
Expensive and at a premium to industry median P/E
PE TTM of 123.4 indicates that the stock is expensive on a standalone basis and is at a 564.16% premium to industry median P/E
What is P/E Ratio?
Median: 18.58
Value 123.4
0.06401.54
Low but stable operating margin
The company reported low operating margin of 1.79% for 12-month ended 30 Jun 2026 and operating margin improved marginally by 134 bps from 1 year ago
What is Operating profit margin?
Low dividend yield
The company has a low dividend yield of 0.0%
What is Dividend yield?
Neutral
Low ROE but improving trend
The company reported low ROE of 1.38% for 12-month ended 30 Jun 2026 but ROE improved by 1272 bps from 1 year ago
What is ROE (FY)?
Company's earnings are of moderate quality
Earnings quality score of 64.2 indicates that the company's earnings are of moderate quality. Earnings quality is measured using combination of earnings persistence, probability of manipulation and earnings to cash conversion
What is Earnings quality score?
64.2 / 100
No red flags found!
No significant red flags found in the stock.
Net Revenue FY
Profit After Tax FY
ROE FY
EBITDA FY
Mar 2020
Jun 2020
Sep 2020
Dec 2020
Mar 2021
Jun 2021
Sep 2021
Dec 2021
Mar 2022
Jun 2022
Sep 2022
Dec 2022
Mar 2023
Jun 2023
Sep 2023
Dec 2023
Mar 2024
Jun 2024
Sep 2024
Dec 2024
Mar 2025
Jun 2025
Sep 2025
Dec 2025
Mar 2026
Jun 2026
Total Promoter
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.78
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
33.92
33.92
33.92
38.91
38.91
43.90
Indian Promoter
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Foreign Promoter
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.78
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
51.77
33.92
33.92
33.92
38.91
38.91
43.90
Institutions
11.78
11.46
11.35
10.60
10.68
10.32
10.72
11.12
12.25
12.33
16.76
17.54
17.87
18.32
18.62
19.16
19.18
8.63
8.74
9.19
5.70
5.72
5.86
5.73
5.79
5.99
Mutual Funds / UTI
2.93
2.93
2.93
2.90
3.06
2.72
3.11
3.48
4.59
4.66
5.14
5.67
6.03
6.44
6.77
7.28
7.33
7.31
7.31
7.31
4.73
4.73
4.73
4.73
4.92
5.16
FI/Bank/Insurance
0.27
0.06
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Govt
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
FII
8.58
8.48
8.42
7.70
7.61
7.60
7.60
7.63
7.66
7.67
7.84
7.92
7.88
7.89
7.85
7.89
7.85
0.70
0.79
1.26
0.57
0.56
0.55
0.40
0.23
0.20
Other Institutions
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
3.78
3.95
3.95
3.99
3.99
3.99
3.99
0.62
0.63
0.62
0.40
0.43
0.58
0.60
0.63
0.63
Non-Institution
36.45
36.77
36.87
37.63
37.55
37.92
37.51
37.11
35.97
35.89
31.46
30.68
30.36
29.91
29.61
29.07
29.04
39.60
39.48
39.04
60.38
60.37
60.22
55.36
55.31
50.12
Bodies Corporate
-
-
-
-
-
-
-
-
-
-
4.63
4.32
4.35
4.42
4.40
4.35
5.09
6.96
7.12
7.29
25.51
25.57
25.67
25.70
27.00
26.49
Others (incl. Retail)
No. of shareholders
36.45
14,752
36.77
15,176
36.87
15,735
37.63
15,076
37.55
15,351
37.92
17,272
37.51
16,458
37.11
15,890
35.97
15,827
35.89
15,868
26.83
15,775
26.36
15,009
26.01
18,144
25.49
14,576
25.21
14,108
24.72
13,971
23.95
14,785
32.64
16,530
32.36
16,026
31.75
15,692
34.87
15,606
34.80
15,187
34.55
15,024
29.66
14,830
28.31
14,702
23.63
14,553
Name
Month
Transaction
Holding % pre transaction
Average price
Qty.
Transaction value
CAG-TECH MAURITIUS LIMITED
Promoter
December-2025
Off Market (Acquisition)
27th Dec 2025
33.92 %
₹ 715.00
18.81 lac
₹ 134.50 cr
Cag-Tech Mauritius Limited
Promoter
March-2025
Market Purchase (Acquisition)
29th Mar 2025
33.47 %
₹ 797.07
1.69 lac
₹ 13.45 cr
Cag-Tech Mauritius Limited
Promoter
March-2025
Market Purchase (Acquisition)
29th Mar 2025
33.47 %
₹ 797.07
1.69 lac
₹ 13.45 cr
null Portfolio Holdings
Promoter Group
March-2025
Market Sale (Disposal)
27th Mar 2025
0.44 %
₹ 797.09
1.65 lac
₹ 13.11 cr
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
27th Mar 2025
0.41 %
₹ 806.21
10.09 k
₹ 81.38 lac
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
25th Mar 2025
0.34 %
₹ 806.13
25.00 k
₹ 2.02 cr
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
19th Mar 2025
0.29 %
₹ 806.42
20.62 k
₹ 1.66 cr
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
13th Mar 2025
0.24 %
₹ 804.96
19.63 k
₹ 1.58 cr
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
6th Mar 2025
0.21 %
₹ 800.62
8.85 k
₹ 70.87 lac
null Portfolio Holdings
Promoter Group
March-2025
Market Purchase (Acquisition)
3rd Mar 2025
0.15 %
₹ 804.20
25.64 k
₹ 2.06 cr
…
Holdings and Presence
Indices and prominent investors with a stake in this stock.
Overview of Sundrop Brands Ltd. covering business description, industry classification, key management, financial ratios, and listed exchange details.
Sundrop Brands Limited is an India-based company, which is engaged in the business of manufacturing, marketing and selling a range of food products and edible oils. The Companys product categories are ready to cook snacks, ready to eat snacks, spreads & dips, breakfast cereals and chocolate confectionery. Its ready to cook category includes ACT II Instant Popcorn, ACT II Microwave Popcorn, DIET Popcorn, Sweet Corn, and Kits and Sauces. Its ready to eat category includes ACT II Ready to Eat Popcorn, Extruded Snacks, Nachos, Chips Nuts, and ACT II Gift Box. Its cereal snacks category includes Popz Centre Fills, Popz Shells, Nutrify, and Sundrop Masala Oats. The Companys chocolate confectionery category includes Duo Coconut, Duo Peanut and Duo Gift Box. Its spreads category includes Peanut Butter, Peanut Spreads, Choco Spreads and Spreads Out of Home. Its staples category includes Edible Oils, Sundrop Heart Plain Oats and Sundrop Heart Almonds.
Sundrop Brands Limited is an India-based company, which is engaged in the business of manufacturing, marketing and selling a range of food products and edible oils. The Companys product categories are ready to cook snacks, ready to eat snacks, spreads & dips, breakfast cereals and chocolate confecti...