Official AMFI data
Arthkar

Listed equity

Symphony

सिंफनी · સિંફની

NSE: SYMPHONYBSE: 517385M-cap ₹4.8K Cr9 mutual funds hold this
694.004.75(+0.69%)

EOD close · 3 Jul 2026

breakdownneutral +10

Below 200-day MA — long-term trend negative.

52W low ₹658.8052W high ₹1199.90

Now at 7% of its 52-week range

Long-term returns

1Y
-38.2%
3Y
-21.6%
5Y
-31.8%
10Y
-43.1%

Phase indicator

breakdown-42.2% from 52w high

Below 200-day MA — long-term trend negative.

1M
+0.8%
3M
-4.1%
1Y
-38.2%

Delivery conviction

neutralscore +10
Delivery vs 20-day avg1.16x

Lifetime story

Symphony is up 433650.0% from its lifetime low of 0.16 on 4 Nov 2003. ₹10,000 invested then would be worth 4,33,75,000 today (44.7% CAGR over 22.7 years). Lifetime high of 2212.75 was set on 11 Jan 2018 (currently -68.6% below).

Fundamentals

Standalone vs consolidated — most retail products show only one. Consolidated includes subsidiary contribution.

134% cheaper than industry(Industry P/E 85.8)
StandaloneConsolidated
P/E (TTM)subs material-28.82-34.92
P/B9.218.79
Price / Cash flowsubs material-29.90-40.88
Dividend yield1.29%1.29%
Book value / share75.68 ₹79.32 ₹
EPS (TTM)-24.17 ₹-19.95 ₹
Market cap
₹4.8K Cr
52W high
₹1199.90
17 Jul 2025
52W low
₹658.80
12 Jun 2026

Returns ladder

1W
+2.1%
1M
+0.8%
3M
-4.1%
6M
-23.9%
YTD
-21.0%
1Y
-38.2%
3Y
-21.6%
5Y
-31.8%
10Y
-43.1%
Since listing
+10000.0%