StockVaultSandbox
ScreenerSectorsLearnMethodDesign
Request access
StockVaultSandbox
ScreenerSectorsLearnMethodDesign
Request access
Back to screenerCompare

SRF — SRF LTD

Price History

Data as of 26 Jun 2026· via fincrux

How SRF has traded over time.

Is the price reasonable right now?

Where today's price sits within its own 12-month range — context, not advice.

Middle of its 12-month range39% of range

Sitting roughly mid-way between its 12-month high and low — neither cheap nor stretched versus its own recent history. It sits below its 200-day average, the longer-term trend.

₹2,392 low₹3,276 high
vs 50-day avg
+2.7%
vs 200-day avg
−2.2%
Beginner mode
Plain English, with everything explained

SRF

NSE

SRF LTD

Chemicals

₹2,732.90
0.00%
last close
0%
Quality Score
Looks high-qualityBig money selling

SRF LTD clears 2 of 3 of our quality checks. By the numbers, it looks like a sturdy, well-run business at a fair price. Still your call — but this is the kind of company that doesn't rely on hype.

Company size
₹80325.00 Cr
Price tag
44.9×
Money it earns
14.8%

The four quality checks

Every company faces the same four checks. Tap the ? on any term to learn what it means.

01

Is the company drowning in loans?

We check how much the company has borrowed versus its own money. Too much debt makes a business fragile when times get tough.

Aligned

The company keeps its borrowing under control. That's a sign of a sturdy balance sheet.

D/E 0.27goal < 0.5
02

Does it make good money, consistently?

We look at how much profit the company squeezes out of its owners' money, averaged over three years — not just one lucky quarter.

Watch

Profitability is decent but not quite at the level we'd call strong.

ROE 14.8%goal > 15% (3y avg)
03

Is the big, smart money buying in?

Large professional investors (global funds and Indian mutual funds) do deep research before buying. We track whether they've been adding or trimming their stake.

Aligned

Professional investors have been holding steady or buying more — a quiet vote of confidence.

FII+DII 37.8%goal stable or rising (2Q)
04

Is the price reasonable right now?

Even a great company can be a bad buy if it's overpriced. We compare today's price tag to how this company has typically been priced over the past five years.

No data

We don't have enough reliable data to run this check yet, so we're leaving it open rather than guessing.

Data unavailablegoal P/E < 5y median

What we noticed

Observations from the data — not recommendations.

  • Incorporated in 1970, SRF Ltd manufactures and sells technical textiles, chemicals, packaging films, aluminum foils, and other polymers[1]
Data as of 26 Jun 2026· via fincrux

StockVault is an educational research and mathematical-modeling sandbox. It presents structural readings derived from public data and does not provide investment advice, recommendations, or target prices. Figures shown are illustrative and delayed. Markets carry risk; decisions are your own.

Balance Sheet

What SRF owns and owes over the years. Tap the ? on any line to learn what it means.

Line itemFigures in ₹ crore
ItemMar '22Mar '23Mar '24Mar '25Mar '26
Borrowings2,8913,1623,7213,3373,390
Equity Capital297297297297297
Reserves7,3278,95610,21611,27112,383
Total Assets12,93815,55117,36518,03019,838
Total Liabilities12,93815,55117,36518,03019,838

Borrowings edging up

Total borrowings have risen modestly over the last 5 years.

Periodic Performance

Yearly net profit for SRF — does it earn money consistently?

Potential turnaroundPotential turnaround (pattern in the data)

Profit dipped in the middle years and has been recovering in the most recent ones. That's a pattern in the data, not a forecast.

₹1,507 Cr
₹2,023 Cr
₹1,374 Cr
₹1,268 Cr
₹1,725 Cr
Mar '22Mar '23Mar '24Mar '25Mar '26
rev ₹9,953 Crrev ₹12,074 Crrev ₹10,787 Crrev ₹11,698 Crrev ₹12,421 Cr
Net profit · annualProfitLoss

Strengths & Risks

What the numbers say is good and bad about SRF — observations, not recommendations.

Strengths

3
  • Keeps borrowing low relative to its own capital — a sturdy balance sheet.
  • Large professional investors have been holding steady or adding to their stake.
  • Recent results show a return to profit after weaker years — a turnaround pattern in the data.

Risks

0

No notable risks flagged by the numbers right now.

Institutional Ownership Trend

FII and DII holding across the last four quarters.

FII· Foreign institutions
16.7%-1.6 pp
DII· Domestic institutions
21.2%+2.3 pp
Jun '25Sep '25Dec '25Mar '26

Sector Peers

How others in Chemicals score on the same four guardrails.

  • PIDILITINDPIDILITE INDUSTRIES LTD100
  • VINATIORGAVINATI ORGANICS LTD100
  • CLEANCLEAN SCIENCE & TECH LTD100
  • ALKYLAMINEALKYL AMINES CHEM. LTD81
  • NAVINFLUORNAVIN FLUORINE INT. LTD69
View the full sector