
High Scoring Large Cap stocks have outperformed low scoring stocks by 90% over last 4 years
Past Returns: Outperforming stock! In past three years, the stock has provided 25.4% return compared to 8.8% by NIFTY 50.
Buy Backs: Company has bought back it's stock in the past which is a good thing.
Dividend: Dividend paying stock. Dividend yield of 3.65%.
Balance Sheet: Reasonably good balance sheet.
Momentum: Stock is suffering a negative price momentum. Stock is down -8.7% in last 30 days.
Technicals: SharesGuru indicator is Bearish.
Size: It is a small market cap company and can be volatile.
Valuation | |
|---|---|
| Market Cap | 715.6 Cr |
| Price/Earnings (Trailing) | 14.66 |
| Price/Sales (Trailing) | 0.32 |
| EV/EBITDA | 5.38 |
| Price/Free Cashflow | 12.79 |
| MarketCap/EBT | 9.78 |
| Enterprise Value | 928.84 Cr |
Fundamentals | |
|---|---|
| Revenue (TTM) | 2.22 kCr |
| Rev. Growth (Yr) | 16.2% |
| Earnings (TTM) | 57.72 Cr |
| Earnings Growth (Yr) | 835% |
Profitability | |
|---|---|
| Operating Margin | 3% |
| EBT Margin | 3% |
| Return on Equity | 12.83% |
| Return on Assets | 4.43% |
| Free Cashflow Yield | 7.82% |
Growth & Returns | |
|---|---|
| Price Change 1W | -3.6% |
| Price Change 1M | -8.7% |
| Price Change 6M | -32.1% |
| Price Change 1Y | 3.2% |
| 3Y Cumulative Return | 25.4% |
| 5Y Cumulative Return | 5.3% |
| 7Y Cumulative Return | 3.9% |
| 10Y Cumulative Return | 6.5% |
Cash Flow & Liquidity | |
|---|---|
| Cash Flow from Investing (TTM) | 9.25 Cr |
| Cash Flow from Operations (TTM) | 6.87 Cr |
| Cash Flow from Financing (TTM) | -15.2 Cr |
| Cash & Equivalents | 53.83 L |
| Free Cash Flow (TTM) | 72.95 Cr |
| Free Cash Flow/Share (TTM) | 7.29 |
Balance Sheet | |
|---|---|
| Total Assets | 1.3 kCr |
| Total Liabilities | 851.65 Cr |
| Shareholder Equity | 449.91 Cr |
| Current Assets | 782.18 Cr |
| Current Liabilities | 612.95 Cr |
| Net PPE | 270.32 Cr |
| Inventory | 259.43 Cr |
| Goodwill | 46.05 L |
Capital Structure & Leverage | |
|---|---|
| Debt Ratio | 0.16 |
| Debt/Equity | 0.48 |
| Interest Coverage | 0.99 |
| Interest/Cashflow Ops | 1.21 |
Dividend & Shareholder Returns | |
|---|---|
| Dividend/Share (TTM) | 3 |
| Dividend Yield | 3.65% |
| Shares Dilution (1Y) | 0.00% |
| Shares Dilution (3Y) | 0.00% |
Past Returns: Outperforming stock! In past three years, the stock has provided 25.4% return compared to 8.8% by NIFTY 50.
Buy Backs: Company has bought back it's stock in the past which is a good thing.
Dividend: Dividend paying stock. Dividend yield of 3.65%.
Balance Sheet: Reasonably good balance sheet.
Momentum: Stock is suffering a negative price momentum. Stock is down -8.7% in last 30 days.
Technicals: SharesGuru indicator is Bearish.
Size: It is a small market cap company and can be volatile.
Investor Care | |
|---|---|
| Dividend Yield | 3.65% |
| Dividend/Share (TTM) | 3 |
| Shares Dilution (1Y) | 0.00% |
| Earnings/Share (TTM) | 4.88 |
Financial Health | |
|---|---|
| Current Ratio | 1.28 |
| Debt/Equity | 0.48 |
Technical Indicators | |
|---|---|
| RSI (14d) | 37.29 |
| RSI (5d) | 26.75 |
| RSI (21d) | 33.11 |
| MACD Signal | Sell |
| Stochastic Oscillator Signal | Buy |
| SharesGuru Signal | Sell |
| RSI Signal | Hold |
| RSI5 Signal | Buy |
| RSI21 Signal | Hold |
| SMA 5 Signal | Sell |
| SMA 10 Signal | Sell |
| SMA 20 Signal | Sell |
| SMA 50 Signal | Sell |
| SMA 100 Signal | Sell |
Summary of Munjal Auto Industries's latest earnings call, featuring management's outlook on business performance, financial results, and analyst Q&A sessions that highlight key strategic initiatives and market challenges.
Analysis of Munjal Auto Industries's financial performance, highlighting revenue trends, growth patterns, and key metrics through quarterly analysis.
Last Updated: Dec 31, 2025
| Description | Share | Value |
|---|---|---|
| Auto Components | 63.7% | 386.1 Cr |
| Composite Products and Moulds | 36.3% | 219.7 Cr |
| Total | 605.8 Cr |
Understand Munjal Auto Industries ownership landscape with insights into key distribution patterns, offering investors a clear view of stakeholder dynamics.
| Shareholder Name | Holding % |
|---|---|
| THAKURDEVI INVESTMENTS PVT LTD | 74.81% |
Distribution across major stakeholders
Distribution across major institutional holders
Detailed comparison of Munjal Auto Industries against industry peers, highlighting key financial metrics, valuation ratios, and performance indicators to provide competitive context within the sector.
Ticker | Name | Mkt Cap | Revenue | Price %, 1M | Returns, 1Y | P/E | P/S | Rev 1-Yr | Inc 1-Yr |
|---|
Comprehensive comparison against sector averages
MUNJALAU metrics compared to Auto
| Category | MUNJALAU | Auto |
|---|---|---|
| PE | 13.82 | 36.22 |
| PS | 0.30 | 2.05 |
| Growth | 11.3 % | 8.7 % |
Munjal Auto Industries Limited manufactures and sells auto components for motor vehicles in India and internationally. The company operates through Auto Components and Composite Products & Moulds segments. It offers cross bars, exhaust systems, steel and spoke wheel rim, and accessories; and complex assemblies including sheet metal and tabular welded components, BIW parts, B&C pillars, cross car beam, battery tray, control arm, and tie end bars, as well as accelerator, brake, and clutch assemblies. In addition, the company provides fuel tank and BIW assemblies; and sheet metal components, such as mild and stainless steel parts, welded and tri-nickel chrome plated components, liquid painted oven baked and heat resistant painted parts, tubular components, and roll formed parts. Munjal Auto Industries Limited was incorporated in 1985 and is based in Gurugram, India. The company is a subsidiary of Thakurdevi Investments Private Limited.
This is an informational page just to provide a quick 'first look' at the stock. You must do your own deeper research. Know your risk appetite. Consult a SEBI-registered financial advisor before making any investment decisions.
MUNJALAU vs Auto (2021 - 2026)