
NALWA SONS INVESTMENT Latest Share Price (NSIL)
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NSIL slipped 0.7% on average volume, in line with Nifty's -0.5% move.
With a market cap of ₹2,945.59 Cr., it trades at a P/E of 52.55. Track live valuations, technical indicators, and peers comparison below. Check delivery conviction and recent filings to build your view.
How good is this company?
Overall performance across 5 key dimensions.
NALWA SONS INVESTMENT flags & news
Key strengths, potential risks, and recent updates.
Green Flags
- ●Healthy Operating MarginsOPM is structurally strong at 92.3%
- ●High Promoter HoldingPromoters hold 55.5% skin-in-the-game
- ●Virtually Debt-FreeVery low Debt-to-Equity of 0.00x
- ●Positive Free Cash FlowFCF has been positive for 3 consecutive years
- ●Zero Pledge RiskNo recent active promoter pledging found
Red Flags
- ●Sales ContractionQuarterly sales dropped 10.3% YoY
- ●Poor Capital ReturnsLow ROE of 0.3%
- ●Expensive ValuationTrading at a high P/E ratio of 51.4x
Latest NALWA SONS INVESTMENT News
What changed recently?
Recent events, corporate actions, and announcements.
NALWA SONS INVESTMENT valuation: P/E, P/B and sector benchmarks.
Twelve years of multiples investors have paid for NALWA SONS INVESTMENT, framed against the sector median so the premium or discount is obvious at a glance.
NALWA SONS INVESTMENT trades at a P/E of 52.55× and P/B of 0.19×.
Market-priced ratios use the latest available quote; accounting metrics use the latest reported filing. Compare values with matched peers and the company's own history.
Valuation
Profitability
Growth
Financial Health
NALWA SONS INVESTMENT technical analysis: indicators, pivots and CPR.
Latest RSI, MACD and moving-average signals plus the latest pivot and Central Pivot Range levels for NALWA SONS INVESTMENT — derived from the latest tape, not yesterday's close.
NALWA SONS INVESTMENT last traded at ₹5,741 with an intraday range of ₹5,725–₹5,823.5 — latest indicator, pivot and CPR signals below.
Pivot points
Standard pivot — most widely referenced.
Pivot levels · Classic
Last: ₹5741.00| Level | Price (₹) | Distance | % Δ |
|---|---|---|---|
| R4 | 5998.33 | +257.33 | +4.48% |
| R3 | 5899.83 | +158.83 | +2.77% |
| R2 | 5861.67 | +120.67 | +2.10% |
| R1 | 5801.33 | +60.33 | +1.05% |
| PIVOT | 5763.17 | 22.17 | 0.39% |
| CURRENT | 5741.00 | — | — |
| S1 | 5702.83 | -38.17 | -0.66% |
| S2 | 5664.67 | -76.33 | -1.33% |
| S3 | 5604.33 | -136.67 | -2.38% |
| S4 | 5505.83 | -235.17 | -4.10% |
NSIL is trading Below CPR, indicating Bearishness
CPR is Average
Day's range: ₹5745–₹5807.5
Trading Inside opening range
NALWA SONS INVESTMENT financials: P&L, balance sheet, cash flow, ratios.
Reported annual and quarterly results for NALWA SONS INVESTMENT — consolidated or standalone — with margins, YoY growth and key ratios inline.
NALWA SONS INVESTMENT reports its full P&L, balance sheet, cash flow and ratios on this page — current market capitalisation of ₹2,945.59 Cr. and reported EPS of ₹46.53.
| Metric | Mar 2025 | Mar 2026 |
|---|---|---|
| Interest Earned | 38 | 36 ▼ 6.5% |
| Other Income | 0 | 0 ▼ 71.9% |
| Total Income | 125 | 101 ▼ 19.3% |
| Net Interest Income (NII)Derived | 38 | 36 ▼ 6.5% |
| Profit Before Tax (PBT) | 64 | 75 ▲ 17.7% |
| 19 | 19 ▲ 2.4% | |
| Effective Tax %Derived | 29.77% | 25.89% |
| Total Profit for Period | 46 | 57 ▲ 23.3% |
| Less: Non-controlling Interests | -1 | 2 ▲ 399.8% |
| Net Profit (Owner's PAT)Derived | 47 | 55 ▲ 16.7% |
| PAT Growth YoY %Derived | -16.99% | 16.69% |
| Earnings Per Share (EPS ₹) | 90.95 | 106.13 ▲ 16.7% |
| Diluted Shares Outstanding (Cr) | 1 | 1 ▲ 0.0% |
| Share of Profit from Associates/JVs | 1 | 1 ▼ 15.0% |
| Other Comprehensive Income (Net of Tax) | 4,025 | -1,561 ▼ 138.8% |
| Dividend Income | 55 | 34 ▼ 37.6% |
| Impairment On Financial Instruments | 0 | -0 ▼ 102.0% |
| Net Gain Fair Value Changes | 8 | 10 ▲ 30.2% |
| Net Loss Fair Value Changes | 42 | 3 ▼ 92.8% |
| Other Revenue From Operations | 24 | 20 ▼ 13.4% |
| Revenue Sale Of Product | — | — |
| Period | Mar 2018 | Mar 2019 | Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 | Trend |
|---|---|---|---|---|---|---|---|---|---|---|
| Interest Earned | — | — | — | 26 | 25 ▼ 2.7% | 32 ▲ 26.2% | 36 ▲ 11.1% | 38 ▲ 7.8% | 36 ▼ 6.5% | |
| Other Income | 0 | 19 ▲ 18330.0% | 0 ▼ 99.6% | 2 ▲ 3179.0% | 4 ▲ 79.0% | 2 ▼ 49.1% | 0 ▼ 95.1% | 0 ▼ 20.9% | 0 ▼ 71.9% | |
| Total Income | 36 | 63 ▲ 72.4% | 59 ▼ 5.7% | 68 ▲ 14.4% | 97 ▲ 44.2% | 134 ▲ 37.2% | 89 ▼ 33.7% | 125 ▲ 41.6% | 101 ▼ 19.3% | |
| Net Interest Income (NII)Derived | — | — | — | 26 | 25 ▼ 2.7% | 32 ▲ 26.2% | 36 ▲ 11.1% | 38 ▲ 7.8% | 36 ▼ 6.5% | |
| Profit Before Tax (PBT) | 11 | 84 ▲ 703.9% | 9 ▼ 88.9% | 48 ▲ 409.5% | 80 ▲ 68.9% | 124 ▲ 54.7% | 74 ▼ 40.1% | 64 ▼ 14.2% | 75 ▲ 17.7% | |
2 | 6 ▲ 182.2% | -10 ▼ 278.0% | 4 ▲ 143.7% | 14 ▲ 214.9% | 32 ▲ 126.8% | 19 ▼ 39.4% | 19 ▼ 1.2% | 19 ▲ 2.4% | ||
| Effective Tax %Derived | 19.31% | 6.78% | -109.11% | 9.35% | 17.43% | 25.54% | 25.85% | 29.77% | 25.89% | |
| Total Profit for Period | 8 | 79 ▲ 832.5% | 19 ▼ 75.4% | 43 ▲ 122.1% | 66 ▲ 52.7% | 93 ▲ 40.6% | 56 ▼ 39.2% | 46 ▼ 18.3% | 57 ▲ 23.3% | |
| Less: Non-controlling Interests | — | 1 | — ▼ 100.0% | 0 | -0 ▼ 255.3% | 2 ▲ 915.4% | 0 ▼ 99.3% | -1 ▼ 6645.9% | 2 ▲ 399.8% | |
| Net Profit (Owner's PAT)Derived | 8 | 78 ▲ 820.4% | 19 ▼ 75.1% | 43 ▲ 121.4% | 66 ▲ 53.6% | 91 ▲ 37.6% | 56 ▼ 38.1% | 47 ▼ 17.0% | 55 ▲ 16.7% | |
| PAT Growth YoY %Derived | — | 820.42% | -75.11% | 121.41% | 53.61% | 37.62% | -38.11% | -16.99% | 16.69% | |
| Earnings Per Share (EPS ₹) | 16.51 | 151.95 ▲ 820.4% | 37.82 ▼ 75.1% | 83.74 ▲ 121.4% | 128.63 ▲ 53.6% | 177.02 ▲ 37.6% | 109.56 ▼ 38.1% | 90.95 ▼ 17.0% | 106.13 ▲ 16.7% | |
| Diluted Shares Outstanding (Cr) | 1 | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | 1 ▲ 0.0% | |
| Share of Profit from Associates/JVs | — | 0 | -0 ▼ 130.5% | 0 ▲ 114.6% | -0 ▼ 3471.0% | -0 ▲ 98.3% | 1 ▲ 13122.6% | 1 ▲ 2.3% | 1 ▼ 15.0% | |
| Other Comprehensive Income (Net of Tax) | — | — | -453 | 1,878 ▲ 514.4% | 2,771 ▲ 47.6% | -34 ▼ 101.2% | 4,567 ▲ 13599.5% | 4,025 ▼ 11.9% | -1,561 ▼ 138.8% | |
| Dividend Income | — | — | — | 19 | 40 ▲ 105.4% | 89 ▲ 123.7% | 36 ▼ 59.3% | 55 ▲ 52.4% | 34 ▼ 37.6% | |
| Impairment On Financial Instruments | — | — | — | 0 | 0 ▲ 245.8% | 0 ▼ 79.0% | 0 ▲ 14.1% | 0 ▼ 37.0% | -0 ▼ 102.0% | |
| Net Gain Fair Value Changes | — | — | — | — | 8 | — ▼ 100.0% | 5 | 8 ▲ 65.8% | 10 ▲ 30.2% | |
| Net Loss Fair Value Changes | — | — | — | 9 | — ▼ 100.0% | — | — | 42 | 3 ▼ 92.8% | |
| Other Revenue From Operations | — | — | — | 9 | 20 ▲ 113.1% | 10 ▼ 49.6% | 12 ▲ 16.3% | 24 ▲ 101.7% | 20 ▼ 13.4% | |
| Revenue Sale Of Product | — | — | — | 10 | — ▼ 100.0% | — | — | — | — |
NALWA SONS INVESTMENT segment analysis : revenue and profit mix.
Disclosed business segments at NALWA SONS INVESTMENT with their share of revenue and profit, switchable between consolidated and standalone reporting.
NALWA SONS INVESTMENT discloses revenue and profit across multiple business segments — toggle between consolidated and standalone views to see the mix.
Segment-wise Financial Analysis
The Bull, Bear, and Flip case for NALWA SONS INVESTMENT.
Our AI distills the core fundamental drivers supporting NALWA SONS INVESTMENT, the risks that threaten it, and the quantitative conditions that could weaken the thesis.
NALWA SONS INVESTMENT's investment case rests on 10 positive markers and 10 flagged concerns drawn from the latest reported filings.
What you're getting.
Operating margin 83.36% vastly exceeds peer median ~10%, demonstrating exceptional pricing power
Net margin 60.11% TTM ranks among highest in sector, indicating superior profitability
Debt-to-equity 0.0000 with zero borrowings ensures maximum financial flexibility
Promoter holding 55.53% signals strong insider confidence and long-term commitment
Operating cash flow ₹35.14 Cr supports liquidity and growth capital allocation
Key Risks.
P/E 51.36x significantly exceeds peer median 27.22x, raising overvaluation concerns
Latest quarterly EPS declined 11.60% YoY despite 123% quarterly sales growth
ROE 0.31% and ROCE 0.31% lag peer medians 11% and 9%, indicating poor capital efficiency
Dividend yield 0.00% limits income appeal for dividend-seeking investors
Quarterly sales declined 6.46% YoY, signaling recent operational momentum loss
Flip Conditions.
Valuation risk. a P/E above 68 would leave less room for earnings disappointment.
Reassess if quarterly profit growth turns negative for two consecutive quarters. The bull case relies on compounding earnings.
Return-quality risk. ROE below 8% would indicate weaker capital compounding.
NALWA SONS INVESTMENT peer comparison — same-sector benchmarks.
Same-sector listed peers ranked on P/E, market cap, dividend yield and growth — NALWA SONS INVESTMENT is highlighted for quick read-across.
Quick Compare
Peer Comparison
| Company Name |
|---|
NALWA SONS INVESTMENT chart patterns: breakouts, tops and bottoms.
Auto-detected classical chart patterns for NALWA SONS INVESTMENT — Double Top/Bottom, Head & Shoulders, Triple Bottom and more — with break levels, targets and quality scores across Intraday, Daily and Weekly timeframes.
NALWA SONS INVESTMENT delivery volume — last 20 sessions of conviction.
Daily traded volume and delivery percentage for NALWA SONS INVESTMENT over 20 sessions — the gap between intraday flipping and genuine accumulation.
Latest session delivery in NALWA SONS INVESTMENT stood at 61.4% of traded volume, against a 20-day average of 65.4%.
NALWA SONS INVESTMENT announcements: results, concalls, ratings, M&A.
Filings NALWA SONS INVESTMENT sent to the exchanges, sequenced as they hit the tape — concall transcripts, results, credit ratings and presentations.
NALWA SONS INVESTMENT files concall transcripts, results, credit ratings and corporate-action notices on the NSE and BSE exchange portals — latest 57 documents below.
Change in Management
Nalwa Sons Investments Limited has informed the Exchange about change in Management
Outcome of Board Meeting
Nalwa Sons Investments Limited has submitted to the Exchange, the financial results for the period ended Jun 30, 2026.
Certificate under SEBI (Depositories and Participants) Regulations, 2018
Compliance Certificate- Regulation 74(5) of SEBI (Depository and Participants)Regulations, 2018.
Trading Window
Nalwa Sons Investments Limited has informed the Exchange regarding the Trading Window closure pursuant to SEBI (Prohibition of Insider Trading)…
NALWA SONS INVESTMENT dividend history, splits and bonus issues.
Every dividend, stock split and bonus issue NALWA SONS INVESTMENT has declared, sequenced by announce and record date.
NALWA SONS INVESTMENT corporate-action history below covers all declared dividends, stock splits and bonus issues recorded with NSE and BSE.
About NALWA SONS INVESTMENT: business, sector, key facts.
What NALWA SONS INVESTMENT does, where it operates, the people running it, and the numbers that describe the entity behind the ticker.
NALWA SONS INVESTMENT operates in the Investment Company industry under the Financial Services sector, listed as NSE: NSIL, BSE: 532256.

Nalwa Sons Investments Limited (NSIL) is a non-banking financial company (NBFC) operating within India's investment and financing sector. Its core business activities are categorized into two main segments: Investment & Finance and Trading of Goods.
The most significant aspect of NSIL's business model centers around its investment portfolio. A substantial portion of its holdings consists of equity shares in steel manufacturing companies that are part of the O.P. Jindal Group. This strategic focus on a specific industrial sector, namely steel manufacturing, demonstrates a concentrated investment strategy.
While NSIL engages in the trading of goods as a secondary segment, the details of this aspect of its business operations are limited in the provided information. The relative contribution of this segment compared to the investment and financing segment is unknown without further details.
The company's history traces back to its incorporation in 1970, originally operating under the name Jindal Strips Limited. This indicates a considerable history in the Indian financial market, suggesting experience and established relationships within the investment community.
In summary, NSIL functions primarily as an investment firm with a concentrated focus on the steel sector through its holdings in O.P. Jindal Group companies. While also involved in the trading of goods, the investment and financing segment forms the core of its business activities. The company is based in New Delhi and benefits from a long history of operation within the Indian market.
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Questions investors ask about NALWA SONS INVESTMENT (NSIL).
Quick answers grounded in this page's data — price action, fundamentals, ratios and ownership.
01What is the current share price of NALWA SONS INVESTMENT (NSIL)?
The current share price of NALWA SONS INVESTMENT (NSIL) is ₹5,741.00. Today, the stock has declined by ₹42.50 (0.73%), trading in a range of ₹5,725.00 to ₹5,823.50. The stock opened at ₹5,777.00 with a trading volume of 1,718 shares.
02Is NALWA SONS INVESTMENT stock a good investment for long-term?
NALWA SONS INVESTMENT can be considered for long-term investment based on several factors. The company has a market capitalization of ₹2,945.59 Cr., P/E ratio of 52.55, ROE of 0.31%, and ROCE of 0.31%. The dividend yield stands at 0%. However, investment decisions should be based on your financial goals, risk appetite, and thorough research. It's recommended to consult with a SEBI-registered financial advisor before making investment decisions.
03What is the 52-week high and low price of NALWA SONS INVESTMENT stock?
The 52-week high price of NALWA SONS INVESTMENT (NSIL) is ₹8,730.00, while the 52-week low is ₹4,700.00. Currently trading at ₹5,741.00, the stock is 22.15% above its 52-week low and 34.24% below its 52-week high. These levels help investors understand the stock's price volatility and trading range over the past year.
04Should I buy NALWA SONS INVESTMENT stock at the current price?
Whether to buy NALWA SONS INVESTMENT stock at ₹5,741.00 depends on multiple factors. The stock is currently trading with a P/E ratio of 52.55 and P/B ratio of 0.19. Today's performance shows a loss of 0.73%. Consider analyzing the company's fundamentals, technical indicators, industry trends, and your investment horizon. Compare these metrics with industry peers and consult a financial advisor for personalized advice.
05What is the dividend yield of NALWA SONS INVESTMENT and when is the next dividend?
NALWA SONS INVESTMENT offers a dividend yield of 0%, which means for every ₹100 invested at the current price of ₹5,741.00, you can expect to receive approximately ₹0.00 annually as dividends. The face value of the stock is ₹10.00. For information about the next dividend announcement and ex-dividend date, please check the company's official announcements or visit the BSE/NSE websites.
06What are the key financial ratios and metrics of NALWA SONS INVESTMENT?
NALWA SONS INVESTMENT's key financial metrics include: P/E Ratio: 52.55, P/B Ratio: 0.19, ROE: 0.31%, ROCE: 0.31%, Dividend Yield: 0%, EPS: ₹46.53, Book Value: ₹29,563.97, and Debt-to-Equity: 0. The company's market cap stands at ₹2,945.59 Cr.. These metrics help evaluate the company's valuation, profitability, and financial health.
07How is NALWA SONS INVESTMENT stock performing today in the market?
NALWA SONS INVESTMENT stock opened at ₹5,777.00 and is currently trading at ₹5,741.00, showing a decline of ₹42.50 (0.73%). The intraday high is ₹5,823.50 and low is ₹5,725.00. The trading volume stands at 1,718 shares, indicating moderate market participation today.
08What is the P/E ratio of NALWA SONS INVESTMENT and what does it indicate?
NALWA SONS INVESTMENT has a Price-to-Earnings (P/E) ratio of 52.55, which means investors are willing to pay 52.55 for every ₹1 of earnings. With an EPS of ₹46.53, this P/E ratio suggests the stock may be trading at a premium, possibly due to high growth expectations. Compare this with industry peers and historical P/E ratios for better context.
The data, ratios and commentary about NALWA SONS INVESTMENT (NSIL) on this page are published for educational and informational purposes only and are not investment, legal or tax advice. StockeZee is not a SEBI-registered investment adviser, research analyst or portfolio manager, and no content here should be construed as a recommendation to buy, hold or sell any security. Live and historical market data may be delayed, revised by the exchanges, or contain errors; figures sourced from third-party feeds and corporate disclosures may not always be current. Past performance is not indicative of future results, and equity investments carry the risk of capital loss. Before acting on anything you read here, please consult a SEBI-registered financial advisor and read all scheme-related documents carefully.