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Ahlada Engineers Ltd
Fundamental Score
Ahlada Engineers Ltd Share Price Live NSE/BSE
Profitability Metrics
Return on Equity
Return on Capital Employed
Operating Profit Margin (5Y)
Dividend Yield
Valuation Metrics
Price to Earnings
Market Capitalization
Industry P/E
Growth Metrics
YoY Quarterly Profit Growth
YoY Quarterly Sales Growth
Sales Growth (5Y)
EPS Growth (5Y)
Profit Growth (5Y)
Financial Health
Debt to Equity
Interest Coverage
Free Cash Flow (5Y)
Ownership Structure
Promoter Holding
FII Holding
DII Holding
Pledged Percentage
Labels (e.g., "Excellent", "Good") are peer-based vs industry/sector averages — data-only, not advice
Market Data Analysis & Educational Insights
Educational evaluation of AHLADA across key market metrics for learning purposes.
Positive Indicators
6 factors identified
Strong Operating Margins (16.14%)
Observation: Healthy 5-year operating margins indicate pricing power and cost control.
Analysis: OPM >15% suggests operational efficiency and competitive advantages. This indicates sustainable profitability potential.
Attractive Valuation (P/E: 28.54 vs Industry: 39.98)
Observation: Trading at discount to industry peers.
Analysis: P/E below industry average may present value opportunity if fundamentals support the business case.
Conservative Debt Levels (D/E: 0.27)
Observation: Low leverage provides financial flexibility and reduced risk.
Analysis: Conservative debt structure offers resilience during economic downturns and flexibility for growth investments.
Strong Cash Generation (₹34.76 Cr over 5Y)
Observation: Healthy free cash flow generation supports growth and returns.
Analysis: Strong FCF provides flexibility for dividends, debt reduction, and growth investments.
Zero Share Pledging Risk
Observation: No promoter shares pledged as collateral, reducing forced-selling risk.
Analysis: Absence of share pledging eliminates potential forced-selling pressure during market stress.
Attractive Dividend Yield (3.10%)
Observation: Healthy dividend yield provides income component to returns.
Analysis: Dividend yield >3% offers income potential while indicating cash flow strength and shareholder-friendly policies.
Risk Factors
10 factors identified
Below-Average Return on Equity (2.68%)
Observation: Returns on equity are below industry benchmarks.
Analysis: ROE <10% may indicate inefficient capital utilization. Consider monitoring for operational improvements and management effectiveness.
Suboptimal ROCE (6.03%)
Observation: Returns on capital employed are below expectations.
Analysis: ROCE <10% suggests potential inefficiencies in capital allocation. Review business model and competitive positioning.
Profit Decline Concern (-15.38%)
Observation: Significant year-over-year profit contraction observed.
Analysis: Declining profitability requires investigation into underlying causes. Monitor for recovery signs and management guidance.
Revenue Contraction (-9.42%)
Observation: Sales decline may indicate market challenges or competitive pressures.
Analysis: Negative revenue growth requires analysis of market conditions and competitive positioning. Monitor recovery strategies.
Limited Growth History (3.64% CAGR)
Observation: Below-average 5-year sales growth trajectory.
Analysis: Low sales CAGR may indicate mature markets or limited growth opportunities. Assess future growth catalysts.
Weak Earnings Growth (-13.50% CAGR)
Observation: Below-average 5-year EPS growth performance.
Analysis: Low EPS growth may not keep pace with inflation. Consider growth catalysts and competitive positioning.
Stagnant Profit Growth (-13.50% CAGR)
Observation: Limited 5-year profit growth trajectory.
Analysis: Low profit growth may indicate scalability challenges or market maturity. Assess transformation initiatives.
Weak Interest Coverage (1.90x)
Observation: Limited ability to service debt obligations from earnings.
Analysis: Low interest coverage raises concerns about financial stability. Monitor cash flow and debt reduction plans.
Very Low ROE
Observation: Poor capital utilization and shareholder returns.
Analysis: ROE below 5% suggests significant inefficiencies in capital deployment.
Small Market Cap
Observation: Higher investment risk due to limited size.
Analysis: Small-cap stocks typically carry higher volatility and liquidity risks.
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Financial Statements
Comprehensive financial data for Ahlada Engineers Ltd
About AHLADA
Business Overview
Ahlada Engineers Limited manufactures and sells steel doors and windows in India. The company offers steel doors, including residential and commercial doors; and steel windows for residential applications. It also provides school furniture comprising green chalk boards and dual desks; and shutters, panels, drinking water systems, and allied products. The company sells its products through distributors and dealers. It serves the healthcare, entertainment, and real estate industries, as well as infra developers and industrial customers. Ahlada Engineers Limited was incorporated in 2005 and is headquartered in Hyderabad, India.
Company Details
Key Leadership
Corporate Events
AHLADA Stock Details & Analysis
Key Financial Metrics
Growth & Valuation
Frequently Asked Questions
What is the current price of Ahlada Engineers Ltd (AHLADA)?
As of 16 Jan 2026, 10:16 am IST, Ahlada Engineers Ltd (AHLADA) is currently trading at ₹51.32. The stock has a market capitalization of ₹66.78 (Cr).
Is AHLADA share price Overvalued or Undervalued?
AHLADA is currently trading at a P/E ratio of 28.54x, compared to the industry average of 39.98x. Based on this relative valuation, the stock appears to be Undervalued against its sector peers.
What factors affect the Ahlada Engineers Ltd share price?
Key factors influencing AHLADA's price include its quarterly earnings growth (Sales Growth: -9.42%), raw material costs, government infrastructure spending, and institutional flows (FII/DII holding).
Is Ahlada Engineers Ltd a good stock for long-term investment?
Ahlada Engineers Ltd shows a 5-year Profit Growth of -13.50% and an ROE of 2.68%. Long-term investors should consider these fundamentals alongside the debt-to-equity ratio of 0.27 before investing.
How does Ahlada Engineers Ltd compare with its industry peers?
Ahlada Engineers Ltd competes with major peers in the Furniture, Home Furnishing. Investors should compare AHLADA's P/E of 28.54x and ROE of 2.68% against the industry averages to determine its competitive standing.
What is the P/E ratio of AHLADA and what does it mean?
AHLADA has a P/E ratio of 28.54x compared to the industry average of 39.98x. The Price-to-Earnings (P/E) ratio is calculated by dividing the current share price by earnings per share (EPS). This means investors are paying ₹29 for every ₹1 of annual earnings.
How is AHLADA performing according to Bull Run's analysis?
AHLADA has a Bull Run fundamental score of 27.4/100, which indicates concerns that require careful analysis. This comprehensive rating is based on 15+ financial parameters including profitability, growth metrics, and valuation ratios.
What sector and industry does AHLADA belong to?
AHLADA operates in the Furniture, Home Furnishing industry. This classification helps understand the competitive landscape and sector-specific trends affecting Ahlada Engineers Ltd.
What is Return on Equity (ROE) and why is it important for AHLADA?
AHLADA has an ROE of 2.68%, which suggests challenges in generating returns from shareholders' equity. Return on Equity measures how efficiently Ahlada Engineers Ltd generates profits from shareholders' equity.
How is AHLADA's debt-to-equity ratio and what does it indicate?
AHLADA has a debt-to-equity ratio of 0.27, which indicates conservative financing with low financial risk. A ratio below 1.0 generally indicates conservative financing.
What is AHLADA's dividend yield and is it a good dividend stock?
AHLADA offers a dividend yield of 3.10%, which means you receive ₹3.10 annual dividend for every ₹100 invested.
How has AHLADA grown over the past 5 years?
AHLADA has achieved 5-year growth rates of: Sales Growth 3.64%, Profit Growth -13.50%, and EPS Growth -13.50%.
What is the promoter holding in AHLADA and why does it matter?
Promoters hold 49.30% of AHLADA shares, with 0.00% of promoter shares pledged. High promoter holding often indicates strong management confidence.
What is AHLADA's market capitalization category?
AHLADA has a market capitalization of ₹67 crores, placing it in the Small-cap category.
How volatile is AHLADA stock?
AHLADA has a beta of N/A. A beta > 1 suggests the stock is more volatile than the market, while a beta < 1 suggests it is less volatile.
What is the 52-week high and low for AHLADA?
AHLADA has a 52-week high of ₹N/A and low of ₹N/A.
What is AHLADA's operating profit margin trend?
AHLADA has a 5-year average Operating Profit Margin (OPM) of 16.14%, indicating the company's operational efficiency.
How is AHLADA's quarterly performance?
Recent quarterly performance shows YoY Sales Growth of -9.42% and YoY Profit Growth of -15.38%.
What is the institutional holding pattern in AHLADA?
AHLADA has FII holding of 0.00% and DII holding of 0.00%. Significant institutional holding often suggests professional confidence in the stock.