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ITC

ITC Limited (ITC) Stock Analysis

ITC Limited is a diversified Indian conglomerate with leading businesses in cigarettes, FMCG, hotels, paper, and agri. Its brands span foods, personal care, and staples sold nationwide. The company is known for cash flows and dividends from tobacco and growing FMCG. It is a blue-chip listed stock.

Consumer Defensive › Tobacco
267.40
+2.92% 1W  |  -35.50% 52W
Market Cap
335.1k CR
P/E Ratio
16.9
52W High
426.4
52W Low
255.5
Div. Yield
6.1%
Beta
-0.1
50 DMA
273.7
200 DMA
304.3
Profit Margin
25.9%
Inst. Own.
52.3%
Trendline Analysis
📉 CONSOLIDATING DOWN₹319.6₹301.1₹282.6₹264.2₹245.725 Mar11 May22 Jun03 Aug21 Sep4.5Cr
Fundamentals
Profit & Loss
MetricJun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales17,16417,77417,19517,03817,77819,99018,79018,76521,49519,50220,04717,82519,114
Expenses10,49411,32010,98510,73611,23313,43812,42812,24614,67812,80713,16510,90013,934
Operating Profit6,6706,4546,2106,3026,5456,5526,3626,5196,8166,6956,8836,9245,181
OPM %39%36%36%37%37%33%34%35%32%34%34%39%27%
Other Income72267482086877169080315,3917517393227001,148
Interest10101211101510111620192940
Depreciation442453384385403416416411423435431422428
Profit before tax6,9406,6656,6356,7746,9036,8116,74021,4897,1286,9796,7547,1735,861
Tax %25%26%19%23%25%26%26%8%25%26%26%24%23%
Net Profit5,1904,9655,4075,1915,1775,0545,01319,8085,3435,1875,0185,4704,509
EPS in Rs4.103.934.284.104.083.993.9415.764.194.093.944.303.51
Growth — CAGR
Metric3Y5Y10Y
Revenue CAGR4.0%10.0%7.0%
Profit CAGR3.0%10.0%8.0%
Shareholding Pattern
FIIs34.23%
DIIs49.13%
Public16.61%
ITC
Holdings Analysis
Key strengths & risk signals
60
Overall
67
Fundamental
53
Technical
Risks (4)
OVERVALUED! PEG of 6.76 means expensive relative to growth rate.
POOR YEAR! Stock declined 35.5% in the last year.
WEAK POSITION! Current price (267.4) is below both moving averages.
WEAK! Trading at 7.0% of 52W range - near yearly lows.
Strengths (4)
EXCELLENT DIVIDEND! 6.1% yield - very high income potential.
LOW VOLATILITY! Beta of -0.10 - stable stock, less market risk.
BULLISH SENTIMENT! In last 30 days: 10 up days, 19 down days. Avg volume on up days: 16,452,448 vs down days: 12,703,211. Ratio: 1.3x
NEUTRAL! RSI at 49.0 - balanced momentum.
Fundamental & Technical Analysis
60Overall
67Fundamental
53Technical
Fundamental Breakdown
Growth Quality
10/30
Revenue CAGR: 3.6% (SLOW, 5/15). Profit CAGR: 2.5% (SLOW, 5/15).
Profit Margin
9/10
EXCELLENT EFFICIENCY! 25.9% profit margin - company keeps strong profits.
PEG Valuation
0/10
OVERVALUED! PEG of 6.76 means expensive relative to growth rate.
Dividend Yield
10/10
EXCELLENT DIVIDEND! 6.1% yield - very high income potential.
Debt to Equity
10/10
VERY LOW DEBT! D/E of 0.00 - excellent financial health.
Public Holding
20/20
VERY LESS PUBLIC HOLDING! 14.41% public ownership - strong promoter/institutional control.
Stability Index
8/10
GOOD STABILITY! Only 1 revenue dip in history. Strong business fundamentals.
Technical Breakdown
Moving Averages
5/10
BEARISH TREND! 50-day average (273.7) is below 200-day average (304.3) - negative signal.
Price Position
2/10
WEAK POSITION! Current price (267.4) is below both moving averages.
Trend Pattern
10/20
Current trend: CONSOLIDATING DOWN
52W Performance
0/10
POOR YEAR! Stock declined 35.5% 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: 16,452,448 vs down days: 12,703,211. Ratio: 1.3x
RSI
3/5
NEUTRAL! RSI at 49.0 - balanced momentum.
52W Range
1/5
WEAK! Trading at 7.0% of 52W range - near yearly lows.
Momentum
2/5
WEAK MOMENTUM! Limited price growth - 2.9% (1 week), -2.0% (1 month), -7.8% (3 months).
Beta
5/5
LOW VOLATILITY! Beta of -0.10 - stable stock, less market risk.

Peer Comparison

Consumer Defensive · Tobacco · 8 stocks
Industry peers
StockPriceP/EProfit MarginRevenue CAGR 5YProfit CAGR 5Y52W ChangeStock StrengthTrendlineYoY ProfitQoQ ProfitYoY RevenueQoQ Revenue
ITC267.4016.925.9%3.6%2.5%-35.5%60 CONSOLIDATING DOWN-16.2%-18.4%-11.1%+7.8%
GODFRYPHLP1,980.0022.622.4%21.6%30.3%-41.6%75 CONSOLIDATING DOWN-44.3%-61.9%-19.2%-33.1%
VSTIND206.8012.619.6%4.2%-3.7%-21.9%50 BREAKOUT-24.4%-63.7%-13.5%-43.9%
GOLDENTOBC24.601421.2%-29.9%46 HIT RESISTANCE
ELITECON8.306.1%205.2%443.4%-53.4%71 BREAKOUT+594.0%+28.0%+1,750.5%+231.7%
NESTLEIND1,389.8070.315.6%17.0%23.1%+15.5%76 BREAKDOWN+48.3%-4.0%+25.4%+12.8%
DMART3,805.0081.24.3%17.1%7.7%-19.7%57 APPROACHING SUPPORT+11.3%+31.1%+14.9%+6.3%
HINDUNILVR1,951.0043.322.6%2.3%14.1%-24.9%57 APPROACHING SUPPORT-3.0%-10.7%+10.3%+6.0%
Data from TradeAlone · Updated daily

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