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SKF India

Bearing leader; FY26 numbers reflect industrial-business demerger (auto split). Post-demerger entity cheaper at 25x but transition noise high.

Order book · Demerger completed — pure industrial bearings play

Hold
₹1,472
Mkt cap ₹7.3K Cr
P/E
25.0x
P/B
5.5x
ROCE
24.2%
ROE
14.8%
Div yield
2.69%
52W high
₹2,396
52W low
₹1,404
Promoter
52.6%
Score bridge (derived from real data)
Fundamental
52
Valuation
93
Technical
7
Moat (curated)
74

Fundamental = ROCE/ROE/OPM/growth/cash-conversion/leverage from Screener statements. Valuation = P/E, EV/EBITDA, P/B and distance-from-high. Technical = position in real 52-week range (full OHLCV indicators need a market-data API). Decision = weighted engine over all four.

52-week position
₹1,404now ₹1,472₹2,396
7/100
Technical rating D
Price · 2 years · SMA 50/200 · as of 2026-07-20
Strong DownMACD Bearish50 < 200
RSI-14
RSI-14
28
vs SMA-50
-8.8%
vs SMA-200
-22.5%
1Y return
-70.2%
Ann. vol
83%
Max DD 1Y
-72%
Annual trend · sales, PAT, OPM
Quarterly run-rate
Peer set · Bearings
CompanyMkt capP/EOPMROCESales 3YPAT 3YD/EComposite
Schaeffler India₹65.0K Cr53.4x18%27.3%12.1%9.4%0.01x69
Timken India₹23.5K Cr56.6x18%19.0%——0.01x59
SKF India ◄₹7.3K Cr25.0x12%24.2%-4.4%-20.3%0.00x58

Financial statements

Source: Screener.in
Sales 3Y CAGR
-4.4%
PAT 3Y CAGR
-20.3%
OPM (latest)
12.0%
PAT margin
7.1%
D / E
0.00x
CFO / PAT
1.36x
EV / EBITDA
16.2x
FCF yield
2.5%
Ratio history · computed per year
RatioMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales growth YoY %—17.4%6.2%7.7%-23.5%
PAT growth YoY %—32.9%5.1%2.5%-53.0%
OPM %15%17%16%15%12%
PAT margin %10.8%12.2%12.1%11.5%7.1%
ROE % (PAT / net worth)21.0%22.4%20.6%21.8%20.0%
D / E (x)0.010.010.000.000.00
Asset turnover (x)1.401.351.251.381.81
CFO / PAT (x)0.141.311.130.361.36
Annual P&L · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales3,6664,3054,5704,9203,763
Operating profit555749718745449
OPM %15%17%16%15%12%
Net profit395525552566266
EPS ₹79.95106.25111.70114.5653.83
Quarterly · ₹ Cr
Jun 2025Sep 2025Dec 2025Mar 2026
Sales1,2831,309577595
OPM %13%13%14%6%
PAT11810562-20
Balance sheet · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity4949494949
Reserves1,8362,2922,6332,5491,280
Borrowings16141273
Total assets2,6153,1783,6513,5642,079
Cash flow · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating57690624203363
Investing-33-45-158-60-182
Financing-78-79-204-650-76
Shareholding
Promoters
52.6%
FII
7.1%
DII
27.0%
Public
13.3%
Mkt cap
₹7.3K Cr
P/E
25.0x
52W range
₹1,404–2,396