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Last Updated on: 15 August, 2025
Author: Getaka|Social: Getaka Financial Technology X (Earlier Twitter) Profile Getaka Financial Technology LinkedIn Logo

Orient Electric Ltd: Intrinsic Value & Share Price Analysis

Share Price and Basic Stock Data

Last Updated: August 14, 2025, 9:19 pm

Market Cap 4,371 Cr.
Current Price 205
High / Low 279/177
Stock P/E50.6
Book Value 32.5
Dividend Yield0.73 %
ROCE17.9 %
ROE12.5 %
Face Value 1.00
PEG Ratio-7.11

Quick Insight

Orient Electric Ltd currently trades at a price of 209 with a market capitalization of 4,469 Cr. The company's P/E stands at 51.7, reflecting a premium valuation in the domestic appliances industry. With an ROE of 12.5% and ROCE at 17.9%, Orient Electric demonstrates decent profitability and capital efficiency. The low OPM of 6% may warrant attention to operational efficiency. Notably, the company's borrowings amount to ₹86Cr against reserves of 673 Cr, indicating a healthy balance sheet. The diversified shareholding pattern, with promoters at 38.30%, FIIs at 7.09%, and DIIs at 27.86%, offers stability. Overall, Orient Electric's strong financial position and growth potential make it an intriguing investment opportunity in the domestic appliances sector.

Stock P/E, Current Price, and Intrinsic Value Over Time

View Share Price Target for Orient Electric Ltd

Competitors of Orient Electric Ltd

Stock Name Market Cap Current Price High / Low Stock P/E Book Value Dividend Yield ROCE ROE Face Value
MPL Plastics Ltd 11.6 Cr. 9.27 16.4/7.61 2.820.00 %267 %% 10.0
Hawkins Cookers Ltd 4,514 Cr. 8,533 9,900/7,10039.1 7251.52 %40.9 %32.0 % 10.0
Harsha Engineers International Ltd 3,705 Cr. 407 560/33029.6 1390.25 %13.6 %6.84 % 10.0
Gorani Industries Ltd 40.1 Cr. 74.8 118/63.866.8 24.70.00 %9.70 %6.68 % 10.0
Eureka Forbes Ltd 10,764 Cr. 557 656/44864.4 2270.00 %5.07 %3.72 % 10.0
Industry Average9,415.09 Cr1,535.8560.84189.960.41%34.66%11.22%6.69

All Competitor Stocks of Orient Electric Ltd

Quarterly Result

MetricJun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025
Sales 622511739658706567752788755660817862769
Expenses 583499684612662546703757715624756795723
Operating Profit 38125546442149314036616746
OPM % 6%2%7%7%6%4%7%4%5%5%7%8%6%
Other Income 56963224524232
Interest 5566655766665
Depreciation 13131414141415151820202219
Profit before tax 2504433272333131914374224
Tax % 25%315%25%25%26%21%26%5%26%27%26%26%26%
Net Profit 19-03325201824131410273118
EPS in Rs 0.89-0.011.531.160.920.861.140.600.670.491.271.470.82

Last Updated: August 1, 2025, 4:05 pm

Below is a detailed analysis of the quarterly data for Orient Electric Ltd based on the most recent figures (Jun 2025) and their trends compared to the previous period:

  • For Sales, as of Jun 2025, the value is 769.00 Cr.. The value appears to be declining and may need further review. It has decreased from 862.00 Cr. (Mar 2025) to 769.00 Cr., marking a decrease of 93.00 Cr..
  • For Expenses, as of Jun 2025, the value is 723.00 Cr.. The value appears to be improving (decreasing) as expected. It has decreased from 795.00 Cr. (Mar 2025) to 723.00 Cr., marking a decrease of 72.00 Cr..
  • For Operating Profit, as of Jun 2025, the value is 46.00 Cr.. The value appears to be declining and may need further review. It has decreased from 67.00 Cr. (Mar 2025) to 46.00 Cr., marking a decrease of 21.00 Cr..
  • For OPM %, as of Jun 2025, the value is 6.00%. The value appears to be declining and may need further review. It has decreased from 8.00% (Mar 2025) to 6.00%, marking a decrease of 2.00%.
  • For Other Income, as of Jun 2025, the value is 2.00 Cr.. The value appears to be declining and may need further review. It has decreased from 3.00 Cr. (Mar 2025) to 2.00 Cr., marking a decrease of 1.00 Cr..
  • For Interest, as of Jun 2025, the value is 5.00 Cr.. The value appears to be improving (decreasing) as expected. It has decreased from 6.00 Cr. (Mar 2025) to 5.00 Cr., marking a decrease of 1.00 Cr..
  • For Depreciation, as of Jun 2025, the value is 19.00 Cr.. The value appears to be improving (decreasing) as expected. It has decreased from 22.00 Cr. (Mar 2025) to 19.00 Cr., marking a decrease of 3.00 Cr..
  • For Profit before tax, as of Jun 2025, the value is 24.00 Cr.. The value appears to be declining and may need further review. It has decreased from 42.00 Cr. (Mar 2025) to 24.00 Cr., marking a decrease of 18.00 Cr..
  • For Tax %, as of Jun 2025, the value is 26.00%. The value remains steady. There is no change compared to the previous period (Mar 2025) which recorded 26.00%.
  • For Net Profit, as of Jun 2025, the value is 18.00 Cr.. The value appears to be declining and may need further review. It has decreased from 31.00 Cr. (Mar 2025) to 18.00 Cr., marking a decrease of 13.00 Cr..
  • For EPS in Rs, as of Jun 2025, the value is 0.82. The value appears to be declining and may need further review. It has decreased from 1.47 (Mar 2025) to 0.82, marking a decrease of 0.65.

Overall, while many items appear to show a positive trend, any significant downward movement warrant further investigation.

Quarterly Chart

Profit & Loss - Annual Report

Last Updated: July 22, 2025, 3:16 pm

MetricMar 2017n n 6mMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Sales 2161,6001,8642,0622,0332,4482,5292,8123,094
Expenses 1931,4611,7211,8851,8132,2172,3782,6672,889
Operating Profit 24139143177220231151145204
OPM % 11%9%8%9%11%9%6%5%7%
Other Income 138466273311
Interest 32423262120222324
Depreciation 22023404347545979
Profit before tax 209810511416217010296112
Tax % 41%35%34%31%26%25%26%22%26%
Net Profit 12646979120127767583
EPS in Rs 3.023.273.715.645.973.563.533.90
Dividend Payout % 0%33%31%31%35%34%42%43%38%

Profit & Loss Yearly Chart

YoY Net Profit Growth

Year2018-20192019-20202020-20212021-20222022-20232023-20242024-2025
YoY Net Profit Growth (%)7.81%14.49%51.90%5.83%-40.16%-1.32%10.67%
Change in YoY Net Profit Growth (%)0.00%6.68%37.41%-46.07%-45.99%38.84%11.98%

Orient Electric Ltd has shown an inconsistent trend in YoY Net Profit Growth (%) in the last 7 years from 2018-2019 to 2024-2025.

Growth

Compounded Sales Growth
10 Years:%
5 Years:8%
3 Years:8%
TTM:9%
Compounded Profit Growth
10 Years:%
5 Years:1%
3 Years:-13%
TTM:57%
Stock Price CAGR
10 Years:%
5 Years:3%
3 Years:-8%
1 Year:-23%
Return on Equity
10 Years:%
5 Years:17%
3 Years:12%
Last Year:13%

Last Updated: Unknown

Balance Sheet

Last Updated: May 13, 2025, 2:59 pm

MonthMar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital 0.052121212121212121
Reserves 192242285338434520563618673
Borrowings 21118613515561689711286
Other Liabilities 344359447446645579583700774
Total Liabilities 7478088899601,1621,1871,2651,4511,555
Fixed Assets 0106117190186212226236440
CWIP 05410113862255
Investments 00000003714
Other Assets 7476987687609659729539531,096
Total Assets 7478088899601,1621,1871,2651,4511,555

Below is a detailed analysis of the balance sheet data for Orient Electric Ltd based on the most recent figures (Mar 2025) and their trends compared to the previous period:

  • For Equity Capital, as of Mar 2025, the value is 21.00 Cr.. The value remains steady. There is no change compared to the previous period (Mar 2024) which recorded 21.00 Cr..
  • For Reserves, as of Mar 2025, the value is 673.00 Cr.. The value appears strong and on an upward trend. It has increased from 618.00 Cr. (Mar 2024) to 673.00 Cr., marking an increase of 55.00 Cr..
  • For Borrowings, as of Mar 2025, the value is 86.00 Cr.. The value appears to be improving (decreasing). Additionally, since Reserves exceed Borrowings, this is considered a positive sign. It has decreased from 112.00 Cr. (Mar 2024) to 86.00 Cr., marking a decrease of 26.00 Cr..
  • For Other Liabilities, as of Mar 2025, the value is 774.00 Cr.. The value appears to be increasing, which may not be favorable. It has increased from 700.00 Cr. (Mar 2024) to 774.00 Cr., marking an increase of 74.00 Cr..
  • For Total Liabilities, as of Mar 2025, the value is 1,555.00 Cr.. The value appears to be increasing, which may not be favorable. It has increased from 1,451.00 Cr. (Mar 2024) to 1,555.00 Cr., marking an increase of 104.00 Cr..
  • For Fixed Assets, as of Mar 2025, the value is 440.00 Cr.. The value appears strong and on an upward trend. It has increased from 236.00 Cr. (Mar 2024) to 440.00 Cr., marking an increase of 204.00 Cr..
  • For CWIP, as of Mar 2025, the value is 5.00 Cr.. The value appears to be declining and may need further review. It has decreased from 225.00 Cr. (Mar 2024) to 5.00 Cr., marking a decrease of 220.00 Cr..
  • For Investments, as of Mar 2025, the value is 14.00 Cr.. The value appears to be declining and may need further review. It has decreased from 37.00 Cr. (Mar 2024) to 14.00 Cr., marking a decrease of 23.00 Cr..
  • For Other Assets, as of Mar 2025, the value is 1,096.00 Cr.. The value appears strong and on an upward trend. It has increased from 953.00 Cr. (Mar 2024) to 1,096.00 Cr., marking an increase of 143.00 Cr..
  • For Total Assets, as of Mar 2025, the value is 1,555.00 Cr.. The value appears strong and on an upward trend. It has increased from 1,451.00 Cr. (Mar 2024) to 1,555.00 Cr., marking an increase of 104.00 Cr..

Notably, the Reserves (673.00 Cr.) exceed the Borrowings (86.00 Cr.), indicating a solid financial buffer.

Overall, while many items appear to show a positive trend, any significant downward movement or items where Borrowings exceed Reserves warrant further investigation.

Reserves and Borrowings Chart

Cash Flow

MonthMar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity +59911321294271119011888
Cash from Investing Activity +4-22-31-51-15178-110-171-29
Cash from Financing Activity +-40-62-100-103-144-80-66-46-72
Net Cash Flow2371-241331014-98-13

Free Cash Flow

MonthMar 2017n n 6mMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Free Cash Flow24.00-47.008.0022.00159.00163.0054.0033.00118.00

Free Cash Flow = Income Generated from Operational Activities - Borrowings - Capital Work in Progress (CWIP)

Consistent positive free cash flow is crucial for businesses as it indicates their ability to generate cash from their core operations. It provides financial flexibility, allowing companies to invest in growth opportunities, pay dividends to shareholders, reduce debt, and weather economic downturns more effectively.

Free Cash Flow Chart

Financial Efficiency Indicators

MonthMar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Debtor Days6098877646458516060
Inventory Days5167376746467575975
Days Payable1,4629710186133939197104
Cash Conversion Cycle-337655253-633182231
Working Capital Days1,016282929-326151323
ROCE %29%29%29%35%34%19%14%18%

Financial Efficiency Indicators Chart

Share Holding Pattern

MonthMar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
Promoters38.52%38.52%38.42%38.42%38.41%38.30%38.30%38.30%38.30%38.30%38.30%38.30%
FIIs8.26%6.16%6.12%6.13%5.75%5.50%5.69%5.94%6.52%6.56%6.99%7.09%
DIIs26.30%29.08%27.02%26.66%27.60%27.87%29.98%29.23%27.19%27.73%27.89%27.86%
Government0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.05%0.05%0.07%
Public26.92%26.24%28.43%28.79%28.23%28.32%26.04%26.54%27.97%27.36%26.76%26.67%
No. of Shareholders80,20877,76288,89583,28780,01683,45587,59894,6751,02,70891,12188,89986,068

Shareholding Pattern Chart

No. of Shareholders

Mutual Fund Holdings

Fund NameNo of SharesAUM (%)Amount Invested (Cr)Previous Number of SharesPrevious DatePercentage Change
Mirae Asset Focused Fund 10,496,738 2.5 227.3110,496,7382025-04-22 17:25:230%
Nippon India Small Cap Fund 9,974,228 0.53 215.999,974,2282025-04-22 17:25:230%
Axis Small Cap Fund 6,732,692 0.81 145.86,732,6922025-04-22 17:25:240%
Kotak Small Cap Fund - Regular Plan 5,808,527 0.94 125.785,808,5272025-04-22 17:25:240%
ICICI Prudential Smallcap Fund 4,750,504 1.56 102.874,750,5042025-04-22 17:25:240%
ICICI Prudential Multicap Fund 4,270,400 0.97 92.484,270,4002025-04-22 17:25:240%
Nippon India Growth Fund 3,810,364 0.39 82.513,810,3642025-04-22 17:25:240%
ICICI Prudential Housing Opportunities Fund 2,122,354 1.86 45.962,122,3542025-04-22 17:25:240%
Aditya Birla Sun Life Small Cap Fund 2,113,982 0.91 45.782,113,9822025-04-22 17:25:240%
Kotak Focused Equity Fund 1,729,309 1.3 37.451,729,3092025-04-22 17:25:240%

ROCE Trend

EPS Trend

Key Financial Ratios

MonthMar 25Mar 24Mar 23Mar 22Mar 21
FaceValue 1.001.001.001.001.00
Basic EPS (Rs.) 3.903.533.575.975.64
Diluted EPS (Rs.) 3.903.533.565.955.63
Cash EPS (Rs.) 7.606.296.088.197.68
Book Value[Excl.RevalReserv]/Share (Rs.) 32.5429.9427.4725.5121.47
Book Value[Incl.RevalReserv]/Share (Rs.) 32.5429.9427.4725.5121.47
Dividend / Share (Rs.) 1.501.501.502.002.00
Revenue From Operations / Share (Rs.) 144.97131.78118.85115.3895.79
PBDIT / Share (Rs.) 10.107.498.3511.1710.64
PBIT / Share (Rs.) 6.404.735.838.968.61
PBT / Share (Rs.) 5.264.514.798.007.63
Net Profit / Share (Rs.) 3.903.533.565.975.64
PBDIT Margin (%) 6.965.687.029.6811.10
PBIT Margin (%) 4.413.584.907.768.98
PBT Margin (%) 3.623.424.036.937.96
Net Profit Margin (%) 2.682.672.995.175.89
Return on Networth / Equity (%) 11.9811.7812.9723.3926.27
Return on Capital Employeed (%) 17.7313.7518.2130.8935.61
Return On Assets (%) 5.355.185.9910.6610.30
Total Debt / Equity (X) 0.020.030.010.020.03
Asset Turnover Ratio (%) 2.062.072.062.081.92
Current Ratio (X) 1.331.281.491.561.37
Quick Ratio (X) 0.780.841.000.990.99
Inventory Turnover Ratio (X) 2.412.762.502.932.45
Dividend Payout Ratio (NP) (%) 0.0042.5156.0033.4922.14
Dividend Payout Ratio (CP) (%) 0.0023.8232.8424.4116.28
Earning Retention Ratio (%) 0.0057.4944.0066.5177.86
Cash Earning Retention Ratio (%) 0.0076.1867.1675.5983.72
Interest Coverage Ratio (X) 8.906.878.0211.6910.89
Interest Coverage Ratio (Post Tax) (X) 4.433.434.427.246.78
Enterprise Value (Cr.) 4426.594071.035598.936689.616358.20
EV / Net Operating Revenue (X) 1.431.452.212.733.13
EV / EBITDA (X) 20.5425.4731.5328.2128.16
MarketCap / Net Operating Revenue (X) 1.441.462.272.793.25
Retention Ratios (%) 0.0057.4843.9966.5077.85
Price / BV (X) 6.436.449.8412.6114.49
Price / Net Operating Revenue (X) 1.441.462.272.793.25
EarningsYield 0.010.010.010.010.01

After reviewing the key financial ratios for Orient Electric Ltd, here is a detailed analysis based on the latest available data and recent trends:

  • For FaceValue, as of Mar 25, the value is 1.00. This value is within the healthy range. There is no change compared to the previous period (Mar 24) which recorded 1.00.
  • For Basic EPS (Rs.), as of Mar 25, the value is 3.90. This value is below the healthy minimum of 5. It has increased from 3.53 (Mar 24) to 3.90, marking an increase of 0.37.
  • For Diluted EPS (Rs.), as of Mar 25, the value is 3.90. This value is below the healthy minimum of 5. It has increased from 3.53 (Mar 24) to 3.90, marking an increase of 0.37.
  • For Cash EPS (Rs.), as of Mar 25, the value is 7.60. This value is within the healthy range. It has increased from 6.29 (Mar 24) to 7.60, marking an increase of 1.31.
  • For Book Value[Excl.RevalReserv]/Share (Rs.), as of Mar 25, the value is 32.54. It has increased from 29.94 (Mar 24) to 32.54, marking an increase of 2.60.
  • For Book Value[Incl.RevalReserv]/Share (Rs.), as of Mar 25, the value is 32.54. It has increased from 29.94 (Mar 24) to 32.54, marking an increase of 2.60.
  • For Dividend / Share (Rs.), as of Mar 25, the value is 1.50. This value is within the healthy range. There is no change compared to the previous period (Mar 24) which recorded 1.50.
  • For Revenue From Operations / Share (Rs.), as of Mar 25, the value is 144.97. It has increased from 131.78 (Mar 24) to 144.97, marking an increase of 13.19.
  • For PBDIT / Share (Rs.), as of Mar 25, the value is 10.10. This value is within the healthy range. It has increased from 7.49 (Mar 24) to 10.10, marking an increase of 2.61.
  • For PBIT / Share (Rs.), as of Mar 25, the value is 6.40. This value is within the healthy range. It has increased from 4.73 (Mar 24) to 6.40, marking an increase of 1.67.
  • For PBT / Share (Rs.), as of Mar 25, the value is 5.26. This value is within the healthy range. It has increased from 4.51 (Mar 24) to 5.26, marking an increase of 0.75.
  • For Net Profit / Share (Rs.), as of Mar 25, the value is 3.90. This value is within the healthy range. It has increased from 3.53 (Mar 24) to 3.90, marking an increase of 0.37.
  • For PBDIT Margin (%), as of Mar 25, the value is 6.96. This value is below the healthy minimum of 10. It has increased from 5.68 (Mar 24) to 6.96, marking an increase of 1.28.
  • For PBIT Margin (%), as of Mar 25, the value is 4.41. This value is below the healthy minimum of 10. It has increased from 3.58 (Mar 24) to 4.41, marking an increase of 0.83.
  • For PBT Margin (%), as of Mar 25, the value is 3.62. This value is below the healthy minimum of 10. It has increased from 3.42 (Mar 24) to 3.62, marking an increase of 0.20.
  • For Net Profit Margin (%), as of Mar 25, the value is 2.68. This value is below the healthy minimum of 5. It has increased from 2.67 (Mar 24) to 2.68, marking an increase of 0.01.
  • For Return on Networth / Equity (%), as of Mar 25, the value is 11.98. This value is below the healthy minimum of 15. It has increased from 11.78 (Mar 24) to 11.98, marking an increase of 0.20.
  • For Return on Capital Employeed (%), as of Mar 25, the value is 17.73. This value is within the healthy range. It has increased from 13.75 (Mar 24) to 17.73, marking an increase of 3.98.
  • For Return On Assets (%), as of Mar 25, the value is 5.35. This value is within the healthy range. It has increased from 5.18 (Mar 24) to 5.35, marking an increase of 0.17.
  • For Total Debt / Equity (X), as of Mar 25, the value is 0.02. This value is within the healthy range. It has decreased from 0.03 (Mar 24) to 0.02, marking a decrease of 0.01.
  • For Asset Turnover Ratio (%), as of Mar 25, the value is 2.06. It has decreased from 2.07 (Mar 24) to 2.06, marking a decrease of 0.01.
  • For Current Ratio (X), as of Mar 25, the value is 1.33. This value is below the healthy minimum of 1.5. It has increased from 1.28 (Mar 24) to 1.33, marking an increase of 0.05.
  • For Quick Ratio (X), as of Mar 25, the value is 0.78. This value is below the healthy minimum of 1. It has decreased from 0.84 (Mar 24) to 0.78, marking a decrease of 0.06.
  • For Inventory Turnover Ratio (X), as of Mar 25, the value is 2.41. This value is below the healthy minimum of 4. It has decreased from 2.76 (Mar 24) to 2.41, marking a decrease of 0.35.
  • For Dividend Payout Ratio (NP) (%), as of Mar 25, the value is 0.00. This value is below the healthy minimum of 20. It has decreased from 42.51 (Mar 24) to 0.00, marking a decrease of 42.51.
  • For Dividend Payout Ratio (CP) (%), as of Mar 25, the value is 0.00. This value is below the healthy minimum of 20. It has decreased from 23.82 (Mar 24) to 0.00, marking a decrease of 23.82.
  • For Earning Retention Ratio (%), as of Mar 25, the value is 0.00. This value is below the healthy minimum of 40. It has decreased from 57.49 (Mar 24) to 0.00, marking a decrease of 57.49.
  • For Cash Earning Retention Ratio (%), as of Mar 25, the value is 0.00. This value is below the healthy minimum of 40. It has decreased from 76.18 (Mar 24) to 0.00, marking a decrease of 76.18.
  • For Interest Coverage Ratio (X), as of Mar 25, the value is 8.90. This value is within the healthy range. It has increased from 6.87 (Mar 24) to 8.90, marking an increase of 2.03.
  • For Interest Coverage Ratio (Post Tax) (X), as of Mar 25, the value is 4.43. This value is within the healthy range. It has increased from 3.43 (Mar 24) to 4.43, marking an increase of 1.00.
  • For Enterprise Value (Cr.), as of Mar 25, the value is 4,426.59. It has increased from 4,071.03 (Mar 24) to 4,426.59, marking an increase of 355.56.
  • For EV / Net Operating Revenue (X), as of Mar 25, the value is 1.43. This value is within the healthy range. It has decreased from 1.45 (Mar 24) to 1.43, marking a decrease of 0.02.
  • For EV / EBITDA (X), as of Mar 25, the value is 20.54. This value exceeds the healthy maximum of 15. It has decreased from 25.47 (Mar 24) to 20.54, marking a decrease of 4.93.
  • For MarketCap / Net Operating Revenue (X), as of Mar 25, the value is 1.44. This value is within the healthy range. It has decreased from 1.46 (Mar 24) to 1.44, marking a decrease of 0.02.
  • For Retention Ratios (%), as of Mar 25, the value is 0.00. This value is below the healthy minimum of 30. It has decreased from 57.48 (Mar 24) to 0.00, marking a decrease of 57.48.
  • For Price / BV (X), as of Mar 25, the value is 6.43. This value exceeds the healthy maximum of 3. It has decreased from 6.44 (Mar 24) to 6.43, marking a decrease of 0.01.
  • For Price / Net Operating Revenue (X), as of Mar 25, the value is 1.44. This value is within the healthy range. It has decreased from 1.46 (Mar 24) to 1.44, marking a decrease of 0.02.
  • For EarningsYield, as of Mar 25, the value is 0.01. This value is below the healthy minimum of 5. There is no change compared to the previous period (Mar 24) which recorded 0.01.

Overall, while many metrics show healthy performance, any figures highlighted in red or significant downward trends warrant further investigation.

Profitability Ratios (%)

Liquidity Ratios

Liquidity Ratios (%)

Interest Coverage Ratios (%)

Valuation Ratios

Fair Value

Fair Value of Orient Electric Ltd as of August 15, 2025 is: 165.65

Calculation basis:

  • Fair value = P/E Ratio * (Return on Equity / 100) * Book Value * (1 + Dividend Yield / 100)
  • P/E Ratio (Price-to-Earnings Ratio): Represents the price of the stock relative to its earnings per share. A higher P/E ratio indicates that investors are willing to pay a higher price for the stock.
  • Return on Equity (ROE): Measures a company's profitability relative to its shareholder equity. It showcases the company's ability to generate profits using the investment made by its shareholders, offering valuable insight into its operational efficiency and financial performance.
  • Book Value: Represents the net asset value of the company per share. It is calculated as the total assets minus intangible assets and liabilities, divided by the number of outstanding shares.
  • Dividend Yield: The ratio of the annual dividend per share to the current market price per share. It offers valuable insights into the profitability of an investment through dividends.

This formula allows us to gauge the fair value of the stock by analyzing its fundamental indicators.

As of August 15, 2025, Orient Electric Ltd is Overvalued by 19.20% compared to the current share price 205.00

Intrinsic Value of Orient Electric Ltd as of August 15, 2025 is: 153.87

Calculation basis:

  • Intrinsic value = P/E Ratio * (Return on Equity / 100) * Book Value * (1 + Dividend Yield / 100) * (1 + EPS CAGR for Last 5 Years)
  • P/E Ratio (Price-to-Earnings Ratio): Represents the price of the stock relative to its earnings per share. A higher P/E ratio indicates that investors are willing to pay a higher price for the stock.
  • Return on Equity (ROE): Measures a company's profitability relative to its shareholder equity. It showcases the company's ability to generate profits using the investment made by its shareholders, offering valuable insight into its operational efficiency and financial performance.
  • Book Value: Represents the net asset value of the company per share. It is calculated as the total assets minus intangible assets and liabilities, divided by the number of outstanding shares.
  • Dividend Yield: The ratio of the annual dividend per share to the current market price per share. It offers valuable insights into the profitability of an investment through dividends.
  • EPS CAGR (Compound Annual Growth Rate): Represents the geometric mean growth rate of earnings per share over the last 5 years. It provides insight into the historical growth trajectory of the company's earnings.

This formula allows us to gauge the intrinsic value of the stock by analyzing its fundamental indicators along with EPS growth.

As of August 15, 2025, Orient Electric Ltd is Overvalued by 24.94% compared to the current share price 205.00

Last 5 Year EPS CAGR: -7.11%

*Investments are subject to market risks

Strength and Weakness

StrengthWeakness
  1. The stock has a high average ROCE of 23.00%, which is a positive sign.
  2. The stock has a low average Working Capital Days of 17.89, which is a positive sign.
  3. The stock has a low average Cash Conversion Cycle of -7.67, which is a positive sign.
  4. The company has higher reserves (429.44 cr) compared to borrowings (123.44 cr), indicating strong financial stability.
  5. The company has shown consistent growth in sales (25.67 cr) and profit (108.78 cr) over the years.

    Stock Analysis

    • Considering all of the following key financial indicators, prospective investors are encouraged to conduct thorough research and seek professional guidance before considering any investment in Orient Electric Ltd:
      1. Net Profit Margin: 2.68%
        • Net Profit Margin: This metric indicates the percentage of profit a company makes from its total revenue. A higher net profit margin is generally desirable as it reflects better profitability.
      2. ROCE: 17.73% (Industry Average ROCE: 34.66%)
        • ROCE (Return on Capital Employed): ROCE measures a company's profitability and the efficiency with which its capital is employed. A higher ROCE indicates efficient use of capital.
      3. ROE%: 11.98% (Industry Average ROE: 11.22%)
        • ROE (Return on Equity): ROE measures a company's profitability relative to shareholders' equity. A higher ROE indicates efficient use of shareholders' funds.
      4. Interest Coverage Ratio (Post Tax): 4.43
        • Interest Coverage Ratio: The interest coverage ratio measures a company's ability to cover its interest payments on outstanding debt. A ratio greater than 2 is generally considered healthy as it indicates the company can meet its interest obligations comfortably.
      5. Quick Ratio: 0.78
        • Quick Ratio: The quick ratio assesses a company's ability to cover its short-term liabilities with its most liquid assets. A ratio higher than 1 suggests the company can meet its short-term obligations without relying heavily on inventory.
      6. Stock P/E: 50.6 (Industry average Stock P/E: 60.84)
        • Stock P/E (Price-to-Earnings) Ratio: The P/E ratio compares a company's current share price to its earnings per share. A lower P/E ratio relative to industry peers or historical values may indicate that the stock is undervalued.
      7. Total Debt / Equity: 0.02
        • Total Debt / Equity: This ratio measures a company's financial leverage by comparing its total debt to its total equity. A lower ratio indicates lower financial risk and greater financial stability.
      The current analysis is available for review. It's important to conduct thorough research and consider consulting with financial professionals before making any investment decisions.
      Stock Rating:

    About the Company - Qualitative Analysis

    Orient Electric Ltd. is a Public Limited Listed company incorporated on 10/10/2016 and has its registered office in the State of Orissa, India. Company's Corporate Identification Number(CIN) is L31100OR2016PLC025892 and registration number is 025892. Currently Company is involved in the business activities of Manufacture of electric fans (except exhaust fans). Company's Total Operating Revenue is Rs. 3093.68 Cr. and Equity Capital is Rs. 21.34 Cr. for the Year ended 31/03/2025.
    INDUSTRYADDRESSCONTACT
    Domestic AppliancesUnit - VIII, Plot No. 7, Bhubaneshwar Orissa 751012investor@orientelectric.com
    http://www.orientelectric.com
    Management
    NamePosition Held
    Mr. Chandra Kant BirlaChairman
    Mr. Ravindra Singh NegiManaging Director & CEO
    Mr. TCA RanganathanIndependent Director
    Mr. K Pradeep ChandraIndependent Director
    Mrs. Alka Marezban BharuchaIndependent Director
    Mr. Raju LalIndependent Director

    FAQ

    What is the intrinsic value of Orient Electric Ltd?

    Orient Electric Ltd's intrinsic value (as of 15 August 2025) is ₹165.65 which is 19.20% lower the current market price of ₹205.00, indicating overvalued. Calculated using the PE ratio method, this valuation considers the company's ₹4,371 Cr. market cap, FY2025-2026 high/low of ₹279/177, reserves of ₹673 Cr, and liabilities of ₹1,555 Cr.

    What is the Market Cap of Orient Electric Ltd?

    The Market Cap of Orient Electric Ltd is 4,371 Cr..

    What is the current Stock Price of Orient Electric Ltd as on 15 August 2025?

    The current stock price of Orient Electric Ltd as on 15 August 2025 is 205.

    What is the High / Low of Orient Electric Ltd stocks in FY 2025-2026?

    In FY 2025-2026, the High / Low of Orient Electric Ltd stocks is 279/177.

    What is the Stock P/E of Orient Electric Ltd?

    The Stock P/E of Orient Electric Ltd is 50.6.

    What is the Book Value of Orient Electric Ltd?

    The Book Value of Orient Electric Ltd is 32.5.

    What is the Dividend Yield of Orient Electric Ltd?

    The Dividend Yield of Orient Electric Ltd is 0.73 %.

    What is the ROCE of Orient Electric Ltd?

    The ROCE of Orient Electric Ltd is 17.9 %.

    What is the ROE of Orient Electric Ltd?

    The ROE of Orient Electric Ltd is 12.5 %.

    What is the Face Value of Orient Electric Ltd?

    The Face Value of Orient Electric Ltd is 1.00.

    Disclaimer: This article is for informational purposes only and should not be construed as financial advice. The author is not a SEBI registered financial advisor and does not have any vested interest in Orient Electric Ltd. Investors are advised to conduct their own due diligence and consult with a financial professional before making any investment decisions. The information provided in this article is based on publicly available data and the author's analysis, but it may not be comprehensive or up-to-date. The author and getaka.co.in are not responsible for any errors or omissions in the content. This article is not intended to promote any particular investment strategy or recommendation, and readers should consult with their own financial advisors before making any investment decisions. Data Source: NSE