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Symphony Limited Fundamental Analysis Revenue, Profits & Valuation

NSE: SYMPHONY | BSE: 517385 | CONSUMER DURABLES
Price ₹682.75 ₹5.45 (-0.79%)
P/E Ratio TTM
52-Week Range
Low ₹656 High ₹1,078
Market Cap ₹46.87B Billion
ROE -25.9% Annual

Market data as of Aug 3, 2026

What do Symphony Limited's (SYMPHONY) revenue, profitability, valuation, and ownership trends reveal about its performance?

Symphony Revenue Trend

In FY2026, Symphony Limited's revenue declined 26.6% year-over-year, from ₹1,623 Cr to ₹1,192 Cr.

Over 10 years, Symphony Limited's revenue compounded at 10.3% annually, a growth rate that comfortably outpaces inflation.

With a ₹1,192 Cr revenue base, Symphony Limited sits as a mid-sized company in the Indian consumer durables sector.

Revenue Trend
YearRevenueYoY %
FY2026₹1,192 Cr-26.6%
FY2025₹1,623 Cr+34.5%
FY2024₹1,207 Cr-2.5%
FY2023₹1,238 Cr+14.7%
FY2022₹1,079 Cr

View Symphony Limited's full 10-year revenue trend with CAGR analysis →

Symphony Profitability

Symphony Limited moved from a net profit of ₹213 Cr in FY2025 to a loss of ₹141 Cr in FY2026.

On a diluted EPS basis, the company recorded ₹-20.54 in FY2026, versus ₹30.89 in FY2025.

Is Symphony Undervalued

Symphony Limited shares are currently trading at ₹682.75.

Craytheon calculates intrinsic value using the P/E Ratio and EPS Growth models. Both appear in the Valuation Models cards below.

Share Price vs Book Value

10-year trend comparing market price with book value per share

FY 2017 - FY 2026

At the last close of ₹682.75, down 0.8% on the day, the stock's price history is charted above against its book value per share. It has traded between ₹656.00 and ₹1,078.10 over the past 52 weeks, and currently sits 36.7% below that high.

Valuation Models

P/E Ratio
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Symphony Shareholding Pattern

Promoter holding has stayed at 73.4% over the past 4 quarters, signalling continued confidence in the company's direction.

Foreign institutional holding stood at 2.4% as of June 2026, down from 6.0%.

Domestic institutional investors (DIIs) held 8.5% as of June 2026, compared with 8.8% a year ago.

Shareholding Pattern (Last 4 Quarters)
QuarterPromoterFIIDIIPublic
Jun 202673.4%2.4%8.5%15.7%
Mar 202673.4%3.3%8.7%14.6%
Dec 202573.4%5.3%8.8%12.5%
Sep 202573.4%6.0%8.8%11.8%

Track quarterly shareholding changes for Symphony Limited →

Symphony Balance Sheet

Proportional view as of 3 Aug 2026. Hover blocks for details.

Assets

Liabilities & Equity

In FY2026, the total asset base came in at ₹10.30B, down 22.8% YoY from ₹13.34B.

Inventories accounts for 30.3% of the total, ahead of Cash & ST Investments (15.8%) and Investments (15.0%).

Capital structure: 53.0% equity, 16.8% debt, 30.3% operating liabilities. Over the year, debt is up 21.8% and equity is down 28.3%.

Balance sheet composition — FY 2026

Assets (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Cash & ST Investments 1.63B
Receivables 1.51B
Inventories 3.12B
Property, Plant & Equipment 1.09B
Investments 1.55B
Intangibles & Goodwill 290.20M
Other Assets 1.10B
Liabilities and equity (values in Indian Rupees, with M = millions, B = billions)
CategoryValue
Equity 5.45B
Short-term Debt 1.56B
Long-term Debt 168.50M
Trade Payables 1.29B
Other Liabilities 1.83B

View full balance sheet (multi-year) →

Symphony Stock Analysis

For fundamental analysts, Symphony Limited (SYMPHONY) presents the following picture.

FY2026 revenue was ₹1,192 Cr, down 26.6% year-over-year.

Over 10 years, revenue has compounded at 10.3% annually.

The company posted a net loss of ₹141 Cr in FY2026.

Unlock Full Analysis

Want to dig deeper? Craytheon's platform provides 10 years of financial data, three valuation models, and insider trading activity for Symphony Limited.

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