Listed equity
Manorama Industries
वीआईपी क्लोदिंग · મેક્સ્વેલ ઇન્ડ
₹24.60▼₹0.65(-2.57%)
EOD close · 3 Jul 2026
breakdownneutral -6Quiet accumulation · 3d
Below 200-day MA — long-term trend negative.
52W low ₹14.5052W high ₹44.28
Now at 34% of its 52-week range
Long-term returns
1Y
-38.7%
3Y
-48.6%
5Y
+52.8%
10Y
-63.5%
Phase indicator
breakdown-44.4% from 52w high
Below 200-day MA — long-term trend negative.
1M
-5.0%
3M
+22.1%
1Y
-38.7%
Delivery conviction
neutralscore -6
Delivery vs 20-day avg1.00x
Quiet accumulation active for 3 consecutive days. See full screener
Lifetime story
Manorama Industries is up 627.8% from its lifetime low of ₹3.38 on 26 Mar 2020. ₹10,000 invested then would be worth ₹72,781 today (37.2% CAGR over 6.3 years). Lifetime high of ₹101.50 was set on 8 Jan 2018 (currently -75.8% below).
Fundamentals
Standalone vs consolidated — most retail products show only one. Consolidated includes subsidiary contribution.
57% cheaper than industry(Industry P/E 52.8)
| Standalone | Consolidated | |
|---|---|---|
| P/E (TTM)subs material | 22.57 | 0.00 |
| P/B | 1.15 | — |
| Price / Cash flowsubs material | 17.83 | 0.00 |
| Dividend yield | — | — |
| Book value / share | 21.57 ₹ | — |
| EPS (TTM)subs material | 1.09 ₹ | 0.00 ₹ |
Market cap
₹221.72 Cr
52W high
₹44.28
14 Jul 2025
52W low
₹14.50
30 Mar 2026
Returns ladder
1W
-2.2%
1M
-5.0%
3M
+22.1%
6M
-22.0%
YTD
-22.0%
1Y
-38.7%
3Y
-48.6%
5Y
+52.8%
10Y
-63.5%
Since listing
+165.4%