Listed equity
Reliance Industries
रिलायंस · રિલાયંસ
₹1302.00▲₹0.45(+0.03%)
EOD close · 3 Jul 2026
breakdowndistribution -35
Both signals point the same way: the trend is weak (19% off its 52-week high) and delivery buyers are absent. Sellers are in control.
52W low ₹1253.6552W high ₹1611.20
Now at 14% of its 52-week range
Long-term returns
1Y
-14.1%
3Y
-0.3%
5Y
+22.5%
10Y
+440.9%
Phase indicator
breakdown-19.2% from 52w high
Below 200-day MA — long-term trend negative.
1M
-0.7%
3M
-3.5%
1Y
-14.1%
Delivery conviction
distributionscore -35
Delivery vs 20-day avg0.61x
Lifetime story
Reliance Industries is up 5184.1% from its lifetime low of ₹24.64 on 14 Mar 2000. ₹10,000 invested then would be worth ₹5,28,409 today (16.3% CAGR over 26.3 years). Lifetime high of ₹1611.20 was set on 5 Jan 2026 (currently -19.2% below).
Fundamentals
Standalone vs consolidated — most retail products show only one. Consolidated includes subsidiary contribution.
128% premium to industry(Industry P/E 17.7)
| Standalone | Consolidated | |
|---|---|---|
| P/E (TTM)subs material | 40.25 | 21.85 |
| P/Bsubs material | 3.12 | 1.96 |
| Price / Cash flowsubs material | 28.96 | 12.75 |
| Dividend yield | 0.46% | 0.46% |
| Book value / sharesubs material | 418.43 ₹ | 668.04 ₹ |
| EPS (TTM)subs material | 32.40 ₹ | 59.69 ₹ |
Market cap
₹17.65 L Cr
52W high
₹1611.20
5 Jan 2026
52W low
₹1253.65
11 Jun 2026
Returns ladder
1W
-1.1%
1M
-0.7%
3M
-3.5%
6M
-18.1%
YTD
-16.9%
1Y
-14.1%
3Y
-0.3%
5Y
+22.5%
10Y
+440.9%
Since listing
+4073.6%