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UNOMINDA

UNO Minda Limited (UNOMINDA) Stock Analysis

UNO Minda Limited manufactures automotive switches, lighting, acoustics, and alloy wheels for passenger and commercial vehicles. It supplies Indian and global OEMs from a wide plant network as a leading auto components group. The company has grown through acquisitions and EV-ready component lines. It is listed on the NSE and BSE.

Consumer Cyclical › Auto Parts
₹1,120.00
-3.61% 1W  |  -19.40% 52W
Market Cap
64.7k CR
P/E Ratio
53.8
52W High
₹1382
52W Low
₹994
Div. Yield
0.24%
Beta
0.3
50 DMA
₹1226.9
200 DMA
₹1157.2
Profit Margin
5.8%
Inst. Own.
20.3%
Trendline Analysis
⚠️ BREAKDOWN₹1.4k₹1.3k₹1.2k₹1.1k₹1.0k09 Apr22 May06 Jul14 Aug06 Oct26.6L
Fundamentals
Profit & Loss
MetricJun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales3,0933,6213,5233,7943,8184,2454,1844,5284,4894,8145,0185,3365,557
Expenses2,7633,2203,1433,3203,4103,7623,7274,0023,9464,2624,4654,7344,985
Operating Profit330402380474408482457527543552554603572
OPM %11%11%11%12%11%11%11%12%12%11%11%11%10%
Other Income38625294485949625976507054
Interest25272932364647414445534546
Depreciation119125133149142151158165159173179192177
Profit before tax224311270387277345301384399409372436403
Tax %20%24%24%22%24%23%15%25%23%21%19%19%22%
Net Profit180238205302211266254289309323300352316
EPS in Rs3.013.933.375.013.464.274.054.645.065.274.795.645.12
Growth — CAGR
Metric3Y5Y10Y
Revenue CAGR20.0%25.0%23.0%
Profit CAGR23.0%43.0%28.0%
Shareholding Pattern
Promoters68.36%
FIIs8.15%
DIIs17.52%
Public5.96%
UNOMINDA
Holdings Analysis
Key strengths & risk signals
73
Overall
83
Fundamental
63
Technical
Risks (4)
LOW MARGIN! 5.8% profit margin - thin profits.
WEAK POSITION! Current price (1120.0) is below both moving averages.
WEAK YEAR! Stock declined 19.4% in the last year.
NEGATIVE MOMENTUM! Price declined across timeframes - down 3.6% (1 week), 10.4% (1 month), 1.1% (3 months).
Strengths (4)
PERFECT RECORD! Revenue has grown consistently every year. Exceptional business stability.
BULLISH TREND! 50-day average (1226.9) is above 200-day average (1157.2) - positive signal.
LOW VOLATILITY! Beta of 0.30 - stable stock, less market risk.
BULLISH SENTIMENT! In last 30 days: 10 up days, 19 down days. Avg volume on up days: 781,754 vs down days: 626,110. Ratio: 1.25x
Fundamental & Technical Analysis
73Overall
83Fundamental
63Technical
Fundamental Breakdown
Growth Quality
30/30
Revenue CAGR: 20.5% (EXCELLENT, 15/15). Profit CAGR: 22.4% (EXCELLENT, 15/15).
Profit Margin
3/10
LOW MARGIN! 5.8% profit margin - thin profits.
PEG Valuation
7/10
OVERVALUED! PEG of 2.40 means expensive relative to growth rate.
Dividend Yield
3/10
NEGLIGIBLE DIVIDEND! 0.24% yield - little to no income.
Debt to Equity
10/10
VERY LOW DEBT! D/E of 0.00 - excellent financial health.
Public Holding
20/20
VERY LESS PUBLIC HOLDING! 6.31% public ownership - strong promoter/institutional control.
Stability Index
10/10
PERFECT RECORD! Revenue has grown consistently every year. Exceptional business stability.
Technical Breakdown
Moving Averages
12/10
BULLISH TREND! 50-day average (1226.9) is above 200-day average (1157.2) - positive signal.
Price Position
2/10
WEAK POSITION! Current price (1120.0) is below both moving averages.
Trend Pattern
10/20
BREAKDOWN! Stock has broken below support levels - weakness present.
52W Performance
2/10
WEAK YEAR! Stock declined 19.4% in the last year.
Volume Sentiment
25/30
BULLISH SENTIMENT! In last 30 days: 10 up days, 19 down days. Avg volume on up days: 781,754 vs down days: 626,110. Ratio: 1.25x
RSI
4/5
APPROACHING OVERSOLD! RSI at 36.4 - watch for reversal.
52W Range
2/5
LOWER HALF! Trading at 32.5% of 52W range - weakness visible.
Momentum
1/5
NEGATIVE MOMENTUM! Price declined across timeframes - down 3.6% (1 week), 10.4% (1 month), 1.1% (3 months).
Beta
5/5
LOW VOLATILITY! Beta of 0.30 - stable stock, less market risk.
UNOMINDA
Concall / Investor Presentation
Earnings call transcripts & AI summaries
QuarterConcallSummary
Q1FY272026-08-10Concall PDF
Q4FY262026-05-22Concall PDF
Q3FY262026-02-10Concall PDF
Q2FY262025-11-13Concall PDF

Peer Comparison

Consumer Cyclical · Auto Parts · 8 stocks
Industry peers
StockPriceP/EProfit MarginRevenue CAGR 5YProfit CAGR 5Y52W ChangeStock StrengthTrendlineYoY ProfitQoQ ProfitYoY RevenueQoQ Revenue
UNOMINDA₹1,120.0053.85.8%20.5%22.4%-19.4%73 BREAKDOWN+1.8%-9.2%+23.8%+4.1%
SCHAEFFLER₹3,818.1047.611.9%12.3%9.4%-9.3%64 CONSOLIDATING DOWN+13.5%+3.1%+17.3%+6.8%
MRF₹124,080.0021.87.6%10.6%46.7%-19.5%60 APPROACHING SUPPORT-1.3%-29.5%+9.6%+4.6%
SONACOMS₹820.0073.214.2%18.8%17.4%+92.5%78 APPROACHING RESISTANCE+44.7%-5.9%+52.4%+3.5%
BALKRISIND₹2,082.7028.612.2%3.6%5.5%-8.6%49 BREAKDOWN+56.4%+50.5%+25.2%+17.8%
ENDURANCE₹2,516.0036.56.2%18.2%25.7%-11.8%73 BREAKDOWN+8.0%-11.5%+30.0%+5.6%
EXIDEIND₹405.80374.9%6.1%1.3%+0.6%64 BOUNCE FROM SUPPORT+28.4%+62.9%+17.7%+16.8%
CRAFTSMAN₹10,348.0053.35.3%36.2%15.6%+53.5%77 BREAKDOWN+116.4%+29.4%+36.3%+9.2%
Data from TradeAlone · Updated daily