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Nava Ltd Fundamental Analysis Revenue, Profits & Valuation

NSE: NAVA | BSE: 513023 | METALS
Price ₹599.75 +₹3.15 (+0.53%)
P/E Ratio 15.9 TTM
52-Week Range
Low ₹502 High ₹739
Market Cap ₹173.95B Billion
ROE 11.6% Annual

Market data as of Jul 10, 2026

A deep dive into Nava Ltd (NAVA) — examining the financials, valuation picture, and who owns the stock.

Top-line growth continued for Nava Ltd, with FY2025 revenue reaching ₹3,984 Cr — a 4.3% increase over FY2024.

A 8.2% CAGR over 10 years is middle-of-the-road. Nava Ltd's top line moved from ₹1,814 Cr to ₹3,984 Cr in that period.

With a top line of ₹3,984 Cr, Nava Ltd operates at a mid-sized scale within the metals sector.

The consistency stands out: 5 consecutive years of growth in top-line revenue.

Revenue Trend
YearRevenueYoY %
FY2025₹3,984 Cr+4.3%
FY2024₹3,818 Cr+8.2%
FY2023₹3,528 Cr+5.4%
FY2022₹3,348 Cr+19.7%
FY2021₹2,798 Cr

View Nava Ltd's full 10-year revenue trend with CAGR analysis →

The bottom line looked healthy: Nava Ltd posted net profit of ₹1,091 Cr in FY2025, 15.7% above FY2024.

Net margin widened to 27.4% in FY2025 — an improvement from the 24.7% recorded in FY2024.

Earnings per share (diluted) were ₹37.63 in FY2025, down from ₹65.04.

Is Nava Undervalued

The P/E Ratio valuation pegs Nava Ltd's fair value at ₹269, which is 55.2% downside from the current price.

Nava Ltd shares are currently trading at ₹599.75.

Craytheon also calculates intrinsic value using the EPS Growth and DCF models. The full breakdown with assumptions is available in the detailed analysis.

Valuation Models
ModelEst. Fair Valuevs. Current Price
P/E Ratio₹26955.2% downside to fair value
EPS GrowthUpgradeUpgrade
DCFUpgradeUpgrade

See all valuation models for Nava Ltd with detailed assumptions →

Promoter holding has remained stable at 50.1% over the past 4 quarters, indicating confidence in the company's direction.

Foreign investors held 10.6% of the company as of March 2026, up year-over-year from 10.2%.

Domestic institutional investors (DIIs) held 0.5% as of March 2026, up from 0.4% a year ago.

Shareholding Pattern (Last 4 Quarters)
QuarterPromoterFIIDIIPublic
Mar 202650.1%10.6%0.5%38.8%
Dec 202550.1%10.3%0.4%39.2%
Sep 202550.1%10.4%0.5%39.0%
Jun 202550.1%10.2%0.4%39.2%

Track quarterly shareholding changes for Nava Ltd →

Nava Balance Sheet

Proportional view as of 10 Jul 2026. Hover blocks for details.

Assets

Liabilities & Equity

FY2025 total assets: ₹112.72B (up 16.2% YoY from ₹96.98B).

Top categories: Property, Plant & Equipment (49.6%), Cash & ST Investments (12.7%), Receivables (12.5%).

Of the ₹112.72B in liabilities and equity, 83.5% is shareholder equity, 7.9% is interest-bearing debt, and 8.6% is operating liabilities. Over the year, debt is up 115.9% and equity is up 13.1%.

Balance sheet composition — FY 2025

Assets (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Cash & ST Investments 14.34B
Receivables 14.09B
Inventories 8.18B
Property, Plant & Equipment 55.87B
Investments 5.97B
Intangibles & Goodwill 4.76B
Other Assets 9.50B
Liabilities and equity (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Equity 94.12B
Short-term Debt 650.08M
Long-term Debt 8.28B
Trade Payables 1.68B
Other Liabilities 7.99B

View full balance sheet (multi-year) →

Pulling it all together, here's what the numbers say about Nava Ltd (NAVA) heading into the next fiscal year.

Revenue of ₹3,984 Cr in FY2025, up 4.3% year-over-year.

Long-term revenue has been compounding at 8.2% annually over 10 years.

The company is profitable, with a net margin of 27.4% and net income of ₹1,091 Cr.

The P/E Ratio model implies 55.2% downside to fair value from the current price. The remaining two models are worth cross-checking before drawing a conclusion — sign up to see the full analysis.

Unlock Full Analysis

There's more to the story. Craytheon's full profile for Nava Ltd includes three valuation models, decade-long financials, and insider activity.

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