Track Manorama Industries Ltd.'s current share price, historical price chart, 52-week high/low, and performance across different time periods.
1 Week returns: -0.74 %
Low
1,555.0
High
1,641.7
1 Month returns: 4.21 %
Low
1,501.1
High
1,676.7
1 Year returns: -0.08 %
Low
1,060.6
High
1,774.0
3 Year CAGR: 64.40 %
Low
301.6
High
1,774.0
5 Year CAGR: –
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 Manorama Industries Ltd. covering revenue, net profit, ROE, and EBITDA for a quick view of financial health over time.
Manorama Industries Ltd. Shareholding Pattern
Quarterly breakdown of Manorama Industries 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 Manorama Industries Ltd. shares as reported to NSE and BSE.
Frequently Asked Questions
What is the current share price of Manorama Industries Ltd.?
The current share price of Manorama Industries Ltd. is ₹ 1,591.50 as of 17 Jul 2026.
What is the market capitalisation of Manorama Industries Ltd.?
The market capitalisation of Manorama Industries Ltd. stands at ₹ 10,045.90 Cr.
What is the PE ratio of Manorama Industries Ltd.?
The Price-to-Earnings (PE) ratio of Manorama Industries Ltd. is 46.74 as of the latest trailing twelve months data.
What is the ROE and ROCE of Manorama Industries Ltd.?
Manorama Industries Ltd. has a Return on Equity (ROE) of 37.98% and a Return on Capital Employed (ROCE) of 33.07% as per the latest financial reports.
What is the 52-week high and low of Manorama Industries Ltd.?
The 52-week high of Manorama Industries Ltd. is - and the 52-week low is -.
What is the dividend yield of Manorama Industries Ltd.?
The dividend yield of Manorama Industries Ltd. is 0.04% based on the current market price.
What is the FII and DII holding in Manorama Industries Ltd.?
Foreign Institutional Investors (FII) hold 3.22%, Domestic Institutional Investors (DII) hold 2.27% and retail/public investors hold 38.13% of Manorama Industries Ltd. shares.
What sector does Manorama Industries Ltd. belong to?
Manorama Industries Ltd. operates in the Fast Moving Consumer Goods sector.
What is the beta of Manorama Industries Ltd.?
The beta of Manorama Industries Ltd. is 1.31, indicating its price volatility relative to the broader market. Over the past 1 year, Manorama Industries Ltd. has delivered an absolute return of 6.63%.
What is the RSI of Manorama Industries Ltd.?
The 14-day Relative Strength Index (RSI) of Manorama Industries Ltd. is 54.44, placing it in the neutral zone. An RSI above 70 is considered overbought and below 30 is considered oversold.
Company Profile
Overview of Manorama Industries Ltd. covering business description, industry classification, key management, financial ratios, and listed exchange details.
Manorama Industries Limited is an India-based company, which is engaged in manufacturing specialty fats and butters and exotic products. The Company is engaged in manufacturing, processing and exporting specialty fats, such as shea butter, sal butter, shea fat, sal fat, shea oil, sal oil, shea stearin, sal stearin, mango butter, mango fat, mango oil, mango stearin, kokum butter, kokum oil, de-oiled cakes, mowrah fat and several value-added tailors made products that form the ingredients of cocoa butter equivalents. It manufactures, processes and exports exotic butter extracted from shea seeds, sal seeds, mango kernels, mowrah seeds, kokum seeds, and chiuri seeds for usage in cosmetics as specialty fats, chocolate and confectionary industries. Its products have applications in various food industries, such as biscuits, food processing and retail, plant-based food, technical products, and animal nutrition. Its products also have applications in the various personal care industries.
Manorama Industries Limited is an India-based company, which is engaged in manufacturing specialty fats and butters and exotic products. The Company is engaged in manufacturing, processing and exporting specialty fats, such as shea butter, sal butter, shea fat, sal fat, shea oil, sal oil, shea stear...
Key personnel
Mr. Deepak Sharma
Compliance Officer, Company Secretary
Mr. Yogendra Puri Goswami
Vice President - Sales
Mr. Sten Andreas Appel
Vice President (New & Existing Projects)
Mr. Raj Shekhar
Vice President
Dr. Krishnadath (Krish) Bhaggan
Vice President - Research & Development Product Development
OFFICE NO. 701, 7TH FLOOR, BONANZA BUILDING, SAHAR PLAZA COMPLEX ANDHERI KURLA ROAD, ANDHERI EAST, , 400059, India
Stock Analysis
Fundamental analysis overview of Manorama Industries Ltd. covering key investment insights, growth drivers, risk factors, and potential red flags.
Views
Red Flags
Positive
Strong price momentum
Price Momentum score of 81.3 indicates that the stock has strong price momentum. Research has shown that stocks with higher momentum continue to outperform in the near term
What is Price Momentum score?
81.3 / 100
Analysts have been raising forward EPS estimates
Analyst EPS estimate (consensus) for forward EPS has increased by 1.91% in the last 3 months, indicating earnings momentum
What is Earnings upgrade (3M)?
Not enough data
High and improving ROE
The company reported strong ROE of 37.98% for 12-month ended 31 Mar 2026 and ROE improved by 1042 bps from 1 year ago
What is ROE (FY)?
High and improving operating margin
The company reported strong operating margin of 23.83% for 12-month ended 31 Mar 2026 and operating margin improved by 251 bps from 1 year ago
What is Operating profit margin?
Strong revenue growth and above median growth of industry
The company delivered strong revenue growth of 77.3% for 12-month ended 31 Mar 2026 and the growth was 48.58 percentage points higher than median growth of industry
What is Sales growth (1Y)?
Median: 28.72
Value 77.3
-84.25556.26
Strong EPS growth and above median growth of industry
The company delivered strong EPS growth of 96.08% for 12-month ended 31 Mar 2026 and the growth was 93.73 percentage points higher than median growth of industry
What is EPS growth (1Y)?
Low and declining Debt to Equity
The company has low Debt to Equity of 0.53 as on 31 Mar 2026 and Debt to Equity decreased by 0.52 in the last 1 year
What is Debt to Equity?
Company's earnings are of high quality
Earnings quality score of 70.8 indicates that the company's earnings are of high quality. Earnings quality is measured using combination of earnings persistence, probability of manipulation and earnings to cash conversion
What is Earnings quality score?
70.8 / 100
Consistently pays dividend
The company has not missed dividend payments once in the last 3 financial years
What is Dividend streak?
Negative
Expensive and at a premium to industry median P/E
PE TTM of 46.74 indicates that the stock is expensive on a standalone basis and is at a 108.75% premium to industry median P/E
What is P/E Ratio?
Median: 22.39
Value 46.74
8.81638.09
Low dividend yield
The company has a low dividend yield of 0.04%
What is Dividend yield?
Neutral
Not enough talking points with neutral stance
No red flags found!
No significant red flags found in the stock.
Holdings and Presence
Indices and prominent investors with a stake in this stock.