Aviva Industries Ltd Stock Price Today (NSE: AVIVA)

Aviva Industries Ltd

67.00+1.30 (+1.98%)
Market Closed

Fundamental Score

...

Aviva Industries Ltd Share Price — Live NSE/BSE Price, Fundamentals & Analysis

Aviva Industries Ltd share price today is 67.00, up +1.98% on NSE/BSE as of 17 June 2026. Aviva Industries Ltd (AVIVA) is a Small-cap company in the Trading & Distributors sector with a market capitalisation of 8.42 (Cr). The 52-week high for AVIVA share price is 65.63 and the 52-week low is 47.09. The company has a Return on Equity (ROE) of -2.93% and a debt-to-equity ratio of 0.30.

Aviva Industries Ltd Share Price Chart — NSE/BSE Historical Performance

No data
High
67.00
Low
57.90
Volume
412.3333333333333
Change
+4.73%

Aviva Industries Ltd share price chart: 4.73% return over the past month. 52-week high ₹65.63, 52-week low ₹47.09.

Aviva Industries Ltd — Last 10 Trading Days

DateOpenHighLowCloseVolume
62.0962.0962.0962.091.00 (Cr)
62.0962.0962.0962.090.00 (Cr)
62.0962.0962.0962.09462.00 (Cr)
61.7961.7961.7961.790.00 (Cr)
61.7961.7961.7961.790.00 (Cr)
61.7961.7961.7961.7980.00 (Cr)
60.5860.5860.5860.580.00 (Cr)
60.5860.5860.5860.58131.00 (Cr)
61.7761.7759.3559.401.16K (Cr)
62.1262.1260.0060.00267.00 (Cr)

Aviva Industries Ltd — Last 12 Months Price History

MonthOpenHighLowCloseChange
62.0962.0962.0962.09+0.00%
61.2064.2958.7462.09+1.45%
59.3762.2256.2661.20+3.08%
59.4765.6359.3759.37-0.17%
56.0558.3156.0558.31+4.03%
52.8654.9651.8154.96+3.97%
56.1858.4353.9353.93-4.00%
52.9555.0852.9555.08+4.02%
52.9954.0452.9552.95-0.08%
47.0952.9947.0952.99+12.53%
51.0551.0548.0548.05-5.88%
54.2354.2351.0551.05-5.86%

AI Research Briefing

Powered by Gemini · 2026-04-09

Micro-cap trading play with dilution risk and zero sales growth; avoid.

Research Confidence
4.0/10Low
MICRO-CAP DARK HORSEConsolidation; 1M: 6.1%, 3M: 19.3%, 6M: 28.65%P/E is non-existent, Industry P/E is 35.45x.

WHAT'S HAPPENING NOW (last 2-4 weeks)

Aviva Industries has been actively allotting equity shares through warrant conversions. On April 7, 2026, the company allotted 15.95 lakh equity shares at each to a non-promoter, increasing the paid-up equity share capital to Prior to this, on April 2, 2026, 31.8 lakh equity shares were allotted to non-promoter individuals, raising the capital from to

CORE STORY (THE REAL GAME)

Aviva Industries is a micro-cap trading and distribution play, attempting to capitalize on the growth in organized retail and supply chain acceleration in India. The warrant conversions suggest a need for capital, but also potential dilution for existing shareholders.

Why Now
  • Capital infusion through warrant conversion
  • Positive price momentum in the last 3 months
Potential Catalysts
  • Significant order wins
  • Substantial improvement in profitability
  • Successful expansion into new markets
Key Risks
  • Micro/SME cap poses liquidity risk
  • Negative ROE and ROCE
  • Zero Sales CAGR
  • Dilution from warrant conversions
Institutional Activity

Promoter holding steady at 65.3%, no FII/DII interest.

Macro Context

India's consumption economy is being shaped by organized retail and supply chain acceleration.

Cash Flow Quality

Profit not converting to cash; Free Cash Flow 5Y: ₹-0.72 Cr

3–6 Month Outlook

If Aviva can execute on its expansion plans and improve profitability, it could be a compelling turnaround story. However, significant risks remain, and the company needs to demonstrate tangible results to justify the current optimism.

Primary Thesis Risk

Dilution and continued losses will kill the turnaround story.

For educational purposes only. Not investment advice. Consult a SEBI-registered advisor before investing.

Returns & Performance

Poor

Return on Equity (ROE)

-2.93%

Profit generated per ₹1 of shareholder equity

Poor

Return on Capital (ROCE)

-2.35%

Returns generated on total capital deployed

Poor

Oper. Profit Margin (5Y Avg)

-8.00%

Average operating profit margin over 5 years

Dividend Yield

0.00%

Annual dividend as % of current share price

Aviva Industries Ltd Valuation Check

Price to Earnings (P/E)

N/A

Share price ÷ earnings per share. Lower = cheaper

Poor

Industry Avg P/E

35.45x

Average P/E of all peers in this sector

Market-cap Classification
Small-cap
Higher growth potential with higher volatility.

Shareholding Pattern

Excellent

Promoter Holding

65.30%

% shares held by company founders/management

Poor

FII Holding

0.00%

% shares held by foreign institutional investors

Poor

DII Holding

0.00%

% held by domestic mutual funds, LIC, banks

Excellent

Promoter Pledged %

0.00%

% of promoter shares pledged as collateral — lower is safer

Growth Engine

Excellent

Profit Growth (Quarterly YoY)

525.00%

Net profit growth vs same quarter last year

Revenue Growth (Quarterly YoY)

N/A

Revenue growth vs same quarter last year

Revenue Growth (5-Year CAGR)

N/A

Compounded annual revenue growth over 5 years

EPS Growth (5-Year CAGR)

N/A

Earnings per share growth over 5 years

Net Profit Growth (5-Year CAGR)

N/A

Compounded annual net profit growth over 5 years

Balance Sheet Health

Excellent

Debt to Equity Ratio

0.30x

Total debt ÷ equity. Below 0.5 = financially healthy

Interest Coverage Ratio

N/A

EBIT ÷ interest expense. Above 2.5 = can pay interest comfortably

Free Cash Flow (5-Year Total)

-0.72 (Cr)

Cash left after capex over 5 years. Positive = self-funded growth

Labels (e.g., "Excellent", "Good") are peer-based vs industry/sector averages — data-only, not advice

Aviva Industries Ltd Fundamental Analysis & Valuation Benchmarking

Educational evaluation of AVIVA across key market metrics for learning purposes.

Positive Indicators

4 factors identified

Robust Profit Growth (525.00%)

Observation: Strong year-over-year profit expansion demonstrates business momentum.

Analysis: Profit growth >20% indicates effective execution and market opportunity capture.

Conservative Debt Levels (D/E: 0.30)

Observation: Low leverage provides financial flexibility and reduced risk.

Analysis: Conservative debt structure offers resilience during economic downturns.

Balanced Promoter Holding (65.30%)

Observation: Optimal balance between promoter control and public float.

Analysis: Promoter holding in 50-75% range provides management alignment.

Zero Share Pledging Risk

Observation: No promoter shares pledged as collateral.

Analysis: Absence of share pledging eliminates potential forced-selling pressure.

Risk Factors

5 factors identified

Below-Average Return on Equity (-2.93%)

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 (-2.35%)

Observation: Returns on capital employed are below expectations.

Analysis: ROCE <10% suggests potential inefficiencies in capital allocation.

Margin Pressure Concerns (-8.00%)

Observation: Operating margins are below industry standards.

Analysis: OPM <5% may indicate pricing pressures or cost management challenges.

Negative Free Cash Flow (₹-0.72 Cr over 5Y)

Observation: Cash outflows exceed inflows.

Analysis: Negative FCF requires analysis of capital expenditure cycle.

No Dividend Distribution

Observation: Company does not currently pay dividends to shareholders.

Analysis: Zero dividend yield may indicate growth reinvestment focus or cash flow constraints.

Aviva Industries Ltd vs Trading & Distributors Peers

Peer Comparison - Trading & Distributors

Compare Aviva Industries Ltd with 10 other companies in the same sector

11 companies
Company Info
Fundamental
Valuation
Profitability
Financial Health
Growth
Dividend
Company
Company name
Score
Bull Run comprehensive fundamental score based on 20+ metrics
Price
Current trading price of the stock
Market Cap
Total value of all shares in the market
P/E
Price per share divided by earnings per share
ROE
Net income divided by shareholder equity
ROCE
Earnings before interest and tax divided by capital employed
Debt/Eq
Total debt divided by total equity
Profit 5Y
Average annual profit growth over 5 years
Sales 5Y
Average annual sales growth over 5 years
Dividend
Annual dividend per share divided by price per share
18/100
67
₹8.42
-2.93%
Poor
-2.35%
Poor
0.3
Excellent
0.00%
Redington Ltd...
REDINGTON532805
58.5/100
221
₹22049.92
16.1
Average
14.39%
Average
18.90%
Good
0.3
Excellent
17.72%
Excellent
14.06%
Good
2.41%
MMTC Ltd...
MMTC513377
32.1/100
65
₹8949.04
127.3
Average
5.87%
Poor
7.70%
Poor
0.0
Excellent
19.08%
Excellent
-86.52%
Poor
0.00%
MSTC Ltd...
MSTCLTD542597
63.7/100
439
₹3458.41
15.7
Average
28.37%
Excellent
29.26%
Excellent
0.2
Excellent
15.18%
Excellent
-24.06%
Poor
8.24%
24.7/100
405
₹3333.57
49.5
Average
26.05%
Excellent
27.44%
Excellent
0.2
Excellent
0.00%
11.1/100
131
₹2132.64
35.5
Average
17.05%
Good
15.42%
Good
0.2
Excellent
0.06%
34.8/100
360
₹1813.06
38.4
Average
9.28%
Poor
11.83%
Average
0.1
Excellent
0.00%
66.6/100
637
₹1297.46
519.0
Average
87.02%
Excellent
82.72%
Excellent
0.0
Excellent
158.76%
Excellent
66.77%
Excellent
0.00%
41.9/100
19
₹1111.34
402.7
Average
1.24%
Poor
2.46%
Poor
0.1
Excellent
61.76%
Excellent
35.83%
Excellent
0.00%
32.3/100
30300
₹1021.99
11.7
Average
9.31%
Poor
9.39%
Poor
0.0
Excellent
10.82%
Good
4.86%
Average
1.50%
62.3/100
46
₹811.32
6.4
Average
12.62%
Average
16.29%
Good
0.0
Excellent
28.35%
Excellent
61.75%
Excellent
0.00%

Aviva Industries Ltd PE Ratio History

Historical price-to-earnings ratio for AVIVA — last 5 years

YearEPS (₹)Price (₹)P/E Ratio
FY 20230.04₹28.06701.5x
FY 20220.03₹29.001114.7x
FY 20210.02₹9.09454.5x

P/E = year-end price ÷ diluted EPS from annual filings. Source: NSE/BSE via Bull Run.

Aviva Industries Ltd Quarterly Performance

Latest quarterly metrics for AVIVA — revenue growth and profit growth vs same quarter last year

Revenue Growth (YoY)

N/A

Latest quarter vs same quarter previous year

Net Profit Growth (YoY)

525.00%

Latest quarter net profit vs same quarter previous year

5-Year Revenue CAGR

N/A

Compounded annual revenue growth over 5 years

5-Year Profit CAGR

N/A

Compounded annual net profit growth over 5 years

Aviva Industries Ltd Technical Indicators

SMA 50, SMA 200, RSI and volume signals for AVIVA — calculated from daily price history

53RSI 14
Neutral — RSI 53

Momentum is balanced — neither overbought nor oversold.

SMA 50
60
▲ Price above SMA 50 — Short-term bullish
SMA 200
55
▲ Price above SMA 200 — Long-term uptrend
30-Day Avg Volume
0K shares/day
Average daily traded volume over last 30 trading sessions

Technical indicators are for educational purposes only. Not investment advice.

Aviva Industries Ltd Financial Statements

Annual income statement, balance sheet and cash flow for Aviva Industries Ltd (AVIVA) — sourced from NSE/BSE filings.

Loading Financial Statements...

Fetching financial data for Aviva Industries Ltd

About AVIVA (Aviva Industries Ltd)

Aviva Industries Ltd is a multifaceted trading and distribution company with a rich heritage rooted in India. Starting from humble beginnings, Aviva has cultivated a diverse portfo...lio, demonstrating remarkable adaptability and a commitment to quality. The company operates as a crucial link in the supply chain, sourcing products from reputable manufacturers and distributing them efficiently to meet the demands of a dynamic market. Focusing on a range of industrial sectors, Aviva has built strong relationships with both suppliers and customers, fostering an environment of trust and reliability. Aviva's core competency lies in understanding market trends and providing tailored solutions, cementing its position as a key player in the distribution landscape. Aviva's strength comes from a carefully selected product range, emphasizing a blend of essential commodities and specialized goods. The company excels at identifying niche markets and developing targeted distribution strategies to serve them effectively. Beyond simply moving products, Aviva prides itself on providing value-added services to its clients, including expert advice, logistical support, and comprehensive after-sales support. This customer-centric approach has enabled Aviva to cultivate long-term partnerships and gain a competitive edge in a crowded market. The company is dedicated to building brand recognition and loyalty among its customer base through consistent quality and dependable service. With a strong operational framework and a team of seasoned professionals, Aviva Industries Ltd is poised for continued growth and expansion. The company is committed to embracing innovation and exploring new opportunities to diversify its product offerings and extend its reach into untapped markets. Aviva's strategic vision centers around sustainability and ethical business practices, ensuring that its operations have a positive impact on the environment and the communities it serves. By adhering to these principles, Aviva aims to create a sustainable and responsible business model that delivers long-term value to its stakeholders.

Company Details

Symbol:AVIVA
Industry:Trading & Distributors
Sector:Trading & Distributors

Key Leadership

Mr. Bharvinbhai Sureshbhai Patel
Chairman & MD
Mr. Sanjaykumar Ashokbhai Patel
CFO & Executive Director
Ms. Parakh Patel
Company Secretary & Compliance Officer

AVIVA Share Price: Frequently Asked Questions

What is the current share price of Aviva Industries Ltd?

Aviva Industries Ltd (AVIVA) trades at ₹67.00 on NSE and BSE. Market cap ₹8.42 (Cr). Educational data only.

What is the P/E ratio of Aviva Industries Ltd?

Aviva Industries Ltd has a P/E of N/Ax vs industry average 35.45x.

What is the Bull Run score for Aviva Industries Ltd?

Aviva Industries Ltd has a Bull Run score of 18/100 based on 25+ financial parameters.

Does Aviva Industries Ltd pay dividends?

Aviva Industries Ltd has a dividend yield of 0.00%. Past dividends don't guarantee future payments.

What is the ROE of Aviva Industries Ltd?

Aviva Industries Ltd has ROE of -2.93%. Higher ROE indicates better use of shareholder equity.

What is the debt-to-equity ratio of Aviva Industries Ltd?

Aviva Industries Ltd has debt-to-equity of 0.30.

Is Aviva Industries Ltd a good investment?

Bull Run gives Aviva Industries Ltd a score of 18/100. This is not investment advice — consult a SEBI-registered advisor.