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SI

Siemens Ltd

NSE: SIEMENS LIVE
Infrastructure & Realty • • ISIN: N/A
₹3,763.50
▲ +-193.50 (+0.58%)
Data updated: Just now (NSE India Live Feed)
52W Low: ₹2,826.00
Today High / Low: ₹3,817.40 / ₹3,742.00
52W High: ₹4,149.40
Volume: 373,942
⚖️ Compare vs Peers
🎯 TickerPulse Confluence Engine Institutional 360°

360° Quantitative Confluence Radar HIGH CONFLUENCE BULLISH SETUP

Exceptional confluence: Institutional accumulation aligned with trend moving averages and asymmetric >2.0 R:R payoff.

Confluence Score
Top Decile Edge
80
Valuation & Multiples 45/100
P/E, P/B, FCF yield vs historical levels
Trend & Moving Averages 96/100
20/50 EMA structure, RSI momentum, 52W range
Institutional Sponsorship 85/100
FII & DII holdings, delivery turnover backing
Balance Sheet Solvency 97/100
Debt-to-equity ratio, Altman Z score, operating margin
Asymmetric Reward-to-Risk 72/100
Calculated 2.09:1 potential target vs swing low stop
📐 Institutional Trade Setup 1% Risk Aligned
Entry Reference
₹3,763.50
Structural Stop Loss
₹3,539.57
Max Risk: -5.95%
Technical Target 1
₹4,232.39
Payoff Profile
2.09 : 1.0
Reward-to-Risk
🎯 Size This Trade (1% Risk Lab) → 🎮 Paper Trade Virtual Setup →

Transparent Business & Valuation Scoring

Methodology v1.0 • Every metric is deterministic and verifiable.

How we calculate scores →
Overall Quality Score
62 / 100
Moderate
Financial Health
85 / 100
Exceptional
Profitability & Margins
68 / 100
Moderate
Growth Trajectory
40 / 100
Subdued
Valuation Attractiveness
41 / 100
Subdued

Interactive Price Performance & Trend

Live exchange closing feeds from NSE/BSE
50-Day DMA: ₹3,631.78
200-Day DMA: ₹3,368.33
14-Day RSI: 54 (Neutral)
Trend: Strong Bullish

Key Fundamentals & Ratios (Data as of 2026-08-30)

Market Cap ₹25,500,000.00L Cr Large_cap Category
P/E Ratio (TTM) 98.5x Sector Mean: ~28.5x
Price to Book (P/B) Book Val: ₹0.0
Return on Equity (ROE) 18.5% Net Profit / Net Worth
ROCE Capital Efficiency
Debt / Equity 0.01 Virtually Debt-Free
EPS (TTM) ₹0.00 Earnings Per Share
Dividend Yield 0.15% Annual Cash Payout
Operating Margin Core Operational Spread
Annual Free Cash Flow ₹0.00 Cr Operating CF minus Capex

Algorithmic Analysis (Pros & Cons)

⚡ Computed from Balance Sheet & Valuation Metrics

Company Strengths (Pros)

  • Company is virtually debt-free with negligible balance sheet liabilities.
  • Delivers solid shareholder returns with an ROE of 18.5%.

Key Limitations & Risks (Cons)

  • Commanding an elevated valuation multiple with P/E at 98.5x.
Fundamental Health

Piotroski F-Score

6 / 9
Balance Sheet Score: Stable Financials
Positive Return on Equity (ROE) ✓ PASS
High Capital Efficiency (ROCE > 12%) ✗ FAIL
Strong Operating Spread (Margin > 15%) ✗ FAIL
Positive Free Cash Flow Generation ✓ PASS
9-Point Stanford University fundamental screening model.
Solvency & Credit Risk

Altman Z-Score

5.69
Solvency Classification: Safe Zone (Low Distress)

Firm exhibits exceptionally robust balance sheet solvency with near-zero short-term distress risk.

Safe Zone (>2.99) • Grey Zone (1.81–2.99) • Distress (<1.81)
Valuation Model

Intrinsic Fair Value

DCF + Graham
Estimated Fair Value
₹753.60
Premium / Overvalued (-80%)
Graham Value
₹961.46
DCF Model
₹583.54
DuPont ROE: 14.4% NPM × 0.85 Turn × 1.01x Lev

Quarterly Financial Performance (Consolidated ₹ Cr)

Past 4 Reported Quarters
Metric (₹ Cr) Sep 2025 Dec 2025 Mar 2026 Jun 2026
Sales / Revenue ₹26,679.38 Cr ₹27,826.88 Cr ₹29,261.25 Cr ₹30,408.75 Cr
Operating Profit ₹4,775.61 Cr ₹5,092.32 Cr ₹5,471.85 Cr ₹5,808.07 Cr
OPM % (Operating Margin) 17.9% 18.3% 18.7% 19.1%
Profit before Tax (PBT) ₹3,820.49 Cr ₹4,073.85 Cr ₹4,377.48 Cr ₹4,646.46 Cr
Net Profit (PAT) ₹2,865.36 Cr ₹3,055.39 Cr ₹3,283.11 Cr ₹3,484.84 Cr
Quarterly EPS (₹) ₹8.88 ₹9.27 ₹9.74 ₹10.13

Shareholding Pattern & Institutional Ownership

Latest Disclosed Quarter
Promoters
52.40%
Foreign Institutions (FIIs)
19.80%
Domestic Institutions (DIIs)
15.60%
Retail & Public
12.20%

Technical Levels & Intraday Pivot Matrix

Institutional support, resistance, moving averages & momentum indicators
⚡ Signal: Strong Bullish RSI (14): 54
📈 Key Moving Averages
20 EMA (Short Term)
₹3,718.34
50 SMA (Medium Term)
₹3,631.78
100 SMA (Structural)
₹3,530.16
200 SMA (Long Trend)
₹3,368.33
🎯 52-Week Range Alignment
Distance from 52W High (₹4,149.40) -9.3%
Distance from 52W Low (₹2,826.00) +33.2%
Pivot Model Support 3 Support 2 Support 1 Central Pivot (P) Resistance 1 Resistance 2 Resistance 3
Classic Floor ₹3,655.80 ₹3,698.90 ₹3,731.20 ₹3,774.30 ₹3,806.60 ₹3,849.70 ₹3,882.00
Camarilla Intraday L4: ₹3,722.03 L3: ₹3,742.77 ₹3,763.50 H3: ₹3,784.24 H4: ₹3,804.97
Fibonacci 61.8%: ₹3,716.90 38.2%: ₹3,734.70 ₹3,774.30 38.2%: ₹3,792.30 61.8%: ₹3,810.10

Sector Peers Comparison (Infrastructure & Realty)

Peer Company Price Today Change Market Cap P/E Ratio ROE (%) Compare
LT — Larsen & Toubro Ltd ₹3,836.20 ▲ +0.00 (+0.75%) ₹49,800,000.00L Cr 34.2x 15.6% Compare →
ADANIPORTS — Adani Ports & SEZ Ltd ₹1,738.30 ▲ +0.00 (+0.84%) ₹31,600,000.00L Cr 34.5x 16.8% Compare →
DLF — DLF Ltd ₹640.00 ▲ +0.00 (+2.76%) ₹21,400,000.00L Cr 68.5x 7.8% Compare →
ABB — ABB India Ltd ₹7,130.50 ▲ +0.00 (+2.16%) ₹17,200,000.00L Cr 112.0x 22.5% Compare →
POLYCAB — Polycab India Ltd ₹8,208.50 ▲ +0.00 (+1.07%) ₹10,300,000.00L Cr 54.5x 26.5% Compare →

About Siemens Ltd