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Syrma SGS Technology

EMS with RFID and magnetics IP. FY26 margin recovery (6%→11% OPM) after consumer-mix reset; exports + industrial mix improving.

Order book · Auto + industrial EMS pipeline; margin repair on track

Hold / Watchlist
₹1,341
Mkt cap ₹25.8K Cr
P/E
80.5x
P/B
9.1x
ROCE
16.7%
ROE
13.9%
Div yield
0.11%
52W high
₹1,518
52W low
₹634
Promoter
42.3%
Score bridge (derived from real data)
Fundamental
72
Valuation
45
Technical
84
Moat (curated)
58

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
₹634now ₹1,341₹1,518
80/100
Technical rating A
Price · 2 years · SMA 50/200 · as of 2026-07-20
Strong UpMACD BearishGolden cross
RSI-14
RSI-14
48
vs SMA-50
7.2%
vs SMA-200
45.2%
1Y return
89.2%
Ann. vol
41%
Max DD 1Y
-29%
Annual trend · sales, PAT, OPM
Quarterly run-rate
Peer set · Electronics Manufacturing
CompanyMkt capP/EOPMROCESales 3YPAT 3YD/EComposite
Syrma SGS Technology ◄₹25.8K Cr80.5x11%16.7%33.0%41.2%0.14x65
Kaynes Technology₹22.3K Cr61.0x16%13.2%47.7%56.5%0.19x60

Financial statements

Source: Screener.in
Sales 3Y CAGR
33.0%
PAT 3Y CAGR
41.2%
OPM (latest)
11.0%
PAT margin
7.2%
D / E
0.14x
CFO / PAT
0.84x
EV / EBITDA
48.2x
FCF yield
-1.7%
Ratio history · computed per year
RatioMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales growth YoY %—61.6%54.0%20.1%27.3%
PAT growth YoY %—55.7%0.8%48.4%88.0%
OPM %10%9%6%9%11%
PAT margin %6.2%6.0%3.9%4.9%7.2%
ROE % (PAT / net worth)13.8%8.0%7.7%10.5%12.1%
D / E (x)0.380.240.390.380.14
Asset turnover (x)1.100.810.860.900.84
CFO / PAT (x)-0.16-0.57-0.880.960.84
Annual P&L · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales1,2672,0483,1543,7874,819
Operating profit129192203323545
OPM %10%9%6%9%11%
Net profit79123124184346
EPS ₹5.596.756.049.5316.48
Quarterly · ₹ Cr
Dec 2024Mar 2025Jun 2025Sep 2025
Sales1,2649249441,146
OPM %13%12%9%10%
PAT110715066
Balance sheet · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity138177177178193
Reserves4341,3641,4351,5722,670
Borrowings218375630665400
Total assets1,1542,5433,6884,2025,770
Cash flow · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating-13-70-109176290
Investing-373-885-9-103-742
Financing382968150-71558
Shareholding
Promoters
42.3%
FII
7.5%
DII
15.9%
Public
34.2%
Mkt cap
₹25.8K Cr
P/E
80.5x
52W range
₹634–1,518