Indian Toners & Developers Ltd.

Chemicals · Chemicals & Petrochemicals

BSE: 523586
₹46.93
▲ 0.09 (0.19%)
Sept. 30, 2026 · BSE · bse_bhavcopy
Quality
65/100
Moderate
Valuation
100/100
Undervalued
Momentum
40/100
Neutral

QVM read Cheap on its own multiples Quality Moderate, Valuation Undervalued, Momentum Neutral

Tradinity's own scoring, not a copy of any third party's -- see the Key Metrics section for the real ratios behind each number.

Key Metrics

Market Capitalization
₹49 Cr
PE (TTM)
2.1
Industry median 24.4 (189 companies)
Price to Book
0.2
PEG (TTM)
0.4
Institutions holding %
Data unavailable.
Piotroski Score
Data unavailable.
Relative return vs Nifty50, qtr %
Data unavailable.
Relative return vs Sector, qtr %
-82.2
Free Cash Flow
₹28 Cr
as of March 31, 2026
Industry median ₹-0 Cr (238 companies)
EPS Growth (YoY)
-84.48%
as of June 30, 2026
Industry median 39.08% (220 companies)
Net Profit Growth (TTM)
5.57%
as of June 30, 2026
Industry median 13.45% (212 companies)
Operating Revenue Growth (TTM)
4.07%
as of June 30, 2026
Industry median 7.93% (209 companies)
Profit Growth (YoY)
-22.24%
as of June 30, 2026
Industry median 23.11% (213 companies)
Revenue Growth (YoY)
-7.41%
as of June 30, 2026
Industry median 17.49% (205 companies)
Current Ratio
312.67
as of March 31, 2026
Industry median 1.87 (237 companies)
Debt to Equity
0.00
as of March 31, 2026
Industry median 0.16 (224 companies)
Interest Coverage
211.01
as of June 30, 2026
Industry median 8.97 (221 companies)
Net Margin
16.84%
as of June 30, 2026
Industry median 7.49% (212 companies)
Operating Margin (EBIT)
22.12%
as of June 30, 2026
Industry median 11.88% (214 companies)
Operating Margin (TTM)
21.88%
as of June 30, 2026
Industry median 9.75% (219 companies)
Return on Assets
10.93%
as of March 31, 2026
Industry median 4.33% (217 companies)
Return on Capital Employed
14.12%
as of March 31, 2026
Industry median 10.34% (218 companies)
Return on Equity
12.29%
as of March 31, 2026
Industry median 7.52% (219 companies)

Investment checklist

Tradinity's own yes/no questions with the rule stated beside each. “Items without enough data are left out, never counted as a No, and the totals count only answered questions. A summary of numbers on this page, not advice.

Financials

2 of 7 met
  • No Net profit is higher than a year earlier in each of the last 4 quarters
  • No Revenue is higher than a year earlier in each of the last 4 quarters
  • No Quality score is Strong (70 or more)
  • Yes Debt to equity is below 0.5 (0.00)
  • No Return on equity is 15% or more (12.3%)
  • No Net cash flow for the latest year is positive
  • Yes Cash from operations is higher than the year before

Ownership

2 of 3 met
  • No FII/FPI or DII holding rose in the latest quarter
  • Yes Promoter holding rose or was unchanged in the latest quarter
  • Yes Promoter pledge is 5% of their holding or less and not rising (0.0% pledged)

Peer comparison

0 of 3 met
  • No 1-year return beats the industry median
  • No Revenue growth beats the industry median
  • No Profit growth beats the industry median

Value and momentum

2 of 6 met
  • Yes Price sits in the Buy zone of its own historical PE range (Undervalued (below its own historical PE range))
  • Yes Valuation score is Undervalued (70 or more)
  • No Momentum score is Bullish (70 or more)
  • No Price is above the 5, 10 and 20 day averages
  • No Price is above the 50, 100 and 200 day averages
  • No Latest candle has a bullish shape (hammer, dragonfly doji, white marubozu)

Price

Download CSV

PE/EPS use each quarter's real filed EPS only from 45 days after quarter-end (no look-ahead) against the raw close of the day. Price-to-book isn't a mode here: the feed has no dated share count, so there's no real history to chart.

RSI (14) (same adjusted close series as the price chart above)

MACD (12, 26, 9) (same adjusted close series as the price chart above)

Relative Returns (vs SENSEX)

Prices adjusted for splits and bonuses. * = a corporate action affecting this date could not be parsed and is not reflected.

Price range

Day return
0.2%
Low 46.3300 · High 47.4000
1W return
-1.2%
Low 45.6500 · High 47.9000
1M return
1.7%
Low 44.0100 · High 47.9900
52W return
-84.3%
Low 44.0100 · High 49.2500
Lifetime High ₹386.2000 (Feb. 9, 2024)
Lifetime Low ₹6.7200 (March 20, 2009)

Full price history and technicals →

EMA & SMA

Bullish1
Bearish5
5D
46.9
10D
47.0
20D
51.9
50D
98.2
100D
161.5
200D
256.2

Delivery and volume

Day avg. delivery
70.5%
Week avg. delivery
82.0%
Month avg. delivery
86.7%

Week = 5 sessions, Month = 22 sessions ending the latest trading day — the same combined NSE+BSE delivery data as the table below, just summed.

Resistance and support

46.89
Pivot
First resistance47.44
Second resistance47.96
Third resistance48.51
First support46.37
Second support45.82
Third support45.30
Day RSI21.3
Day MFI44.1
Day MACD-11.93
Day MACD signal-16.83

Beta

1M0.78
3M0.87
1Y0.87
3Y0.95

Price change analysis

↑ 1.7%
Over 1 Month
LowHigh
44.0147.99
↓ -84.3%
Over 3 Months
LowHigh
44.0149.25
↓ -84.3%
Over 6 Months
LowHigh
44.0149.25
↓ -84.3%
Over 1 Year
LowHigh
44.0149.25
Legend Positive indicator Neutral indicator Negative indicator

Buy/Sell Zone

View Buy/Sell Zone →
Current PE 2.1 (own history: 10.8–14.6)
Undervalued (below its own historical PE range)
Revenue (June 30, 2026)
₹36 Cr
Net profit (June 30, 2026)
₹6 Cr
Basic EPS (June 30, 2026)
₹1.1700

Ranks #172 of 221 in Chemicals & Petrochemicals by market cap -- full peer table on the Financials page.

Shareholding pattern / Ownership

Shareholding summary

Jun 2026
  • Promoter69.25%
  • Mutual funds0.03%

Largest holders

Data unavailable.

Historical promoter holding

Promoters holdings were unchanged at 69.25% in Jun 2026 qtr

Historical mutual fund holding

Mutual funds holdings were unchanged at 0.03% in Jun 2026 qtr

All shareholding details →

DateClientDealActionQuantityPriceExchange
14 Feb 2020 KAUSHIK DAGA . Bulk Sell 97,248 91.6600 BSE
13 Feb 2020 KAUSHIK DAGA . Bulk Sell 97,302 84.9600 BSE
13 Jun 2017 GARNET INTERNATIONAL LIMITED Bulk Buy 18,047 250.4300 BSE
13 Jun 2017 GARNET INTERNATIONAL LIMITED Bulk Sell 48,662 260.7300 BSE
13 Jun 2017 MANGAL SAVITRI BIZCON PRIVATE LIMITED Bulk Buy 61,270 260.5200 BSE
28 Nov 2014 DINERO WEALTH ADVISORS PRIVATE LIMITED Bulk Buy 42,572 100.7700 BSE
4 Feb 2014 DIPAK KANAYALAL SHAH Bulk Sell 50,000 18.3500 BSE
21 Mar 2011 BHAGWAN RUPCHAND JAGTIANI Bulk Buy 120,002 17.0700 BSE
21 Mar 2011 GIRISH ISHWARDAS MANGLANI Bulk Buy 125,002 18.3400 BSE
21 Mar 2011 GIRISH ISHWARDAS MANGLANI Bulk Sell 125,002 17.0700 BSE

All bulk and block deals →

SWOT

Tradinity's own rule-based read of the real ratios elsewhere on this page -- not a copy of any third party's, and never a forward-looking prediction.

Strengths

  • Low financial leverage (Debt/Equity 0.00)
  • Comfortable interest coverage (211.0x)

Weaknesses

  • Declining revenue YoY (-7.4%)
  • Declining profit YoY (-22.2%)

Opportunities

  • PEG below 1 (0.35) -- earnings growth outpacing its own valuation
  • PE below 15 (2.1) relative to a typical growth business
  • Trading below book value (PB 0.21)
  • RSI in oversold territory (21.3) -- a technical rebound zone

Threats

  • Down 84.3% over the past year

Data unavailable (no single-stock futures or options activity on record for this company).

Frequently asked questions about Indian Toners & Developers Ltd.

Where is the share price?

The price at the top of this page is the last traded price from exchange data; during market hours it refreshes on its own. The Chart & Technicals section has the full price history.

Where are the financial results?

The Financials page has quarterly and annual results, ratios, cash flow and the balance sheet, on a standalone or consolidated basis.

Who owns the company?

The Ownership section shows the latest shareholding pattern from exchange filings, with promoter, FII, DII and public holdings by quarter.

Does Tradinity give buy or sell advice?

No. The scores and checklist on this page are rule-based summaries of published figures, not recommendations. Tradinity is not a registered investment adviser.