Insights for SRF Ltd
National Stock Exchange: SRF
04 - Tracking Well with Low profitability

Sector: Misc
Industry: Misc
Based on PEG Ratio: Unknown
Today's Price
updated on:
3223.6 (1.71%)
Open 3169.4 (1.71%)
High (Upside %) 3235.0 (0.35%)
Low (Downside %) 3169.4 (1.71%)
P. Close 3169.4 (1.71%)
Open-High % 2.07%
Open-Low % 0.0%
Low-High % 2.07%
Active Buy Quantity 138
Active Sell Quantity 0
% Overtraded
Current Mood bullish
Previous Data
data from:
Open-High % 0.81%
Open-Low % 1.35%
Low-High % 2.19%
Open-Close % -0.3%
Low-Close % 1.06%
High-Close % 1.1%

SRF is a Stock listed in the India on the National Stock Exchange under the ticker 'SRF'

Company Summary

Business Units or Product Lines

SRF Ltd operates in three primary business segments: Technical Textiles, Chemicals, and Packaging Films. The Technical Textiles segment offers products like nylon tire cord fabrics, polyester tire cord fabrics, and belting fabrics. The Chemicals segment produces refrigerants, solvents, pharmaceuticals, intermediates, and industrial chemicals. The Packaging Films segment manufactures biaxially oriented polyethylene terephthalate (BOPET) and biaxially oriented polypropylene (BOPP) films.

Business Models for Each Product Line

In the Technical Textiles segment, SRF Ltd generates revenue through contracts and supply agreements with tire manufacturers and other industrial clients. Major expenses include raw materials like polymers and nylon, as well as energy and fuel for production processes. The Chemicals business line earns revenue from selling specialty chemicals and industrial gases to industrial and commercial clients, with significant costs arising from research and development, raw materials, and regulatory compliance. In the Packaging Films segment, revenue is generated from sales to both domestic and international markets, with expenses focused on raw materials, technology upgrades, and logistics.

Future Opportunities for Growth

SRF Ltd is poised for growth through expanding its specialty chemicals business, driven by increasing demand in pharmaceuticals and agrochemicals. Global expansion of its packaging films segment is an opportunity, especially in emerging markets. Additionally, the shift towards sustainability and eco-friendly products presents avenues for innovation and development of new products.

Potential Major Risks

The company faces risks from volatile raw material prices, which can impact production costs and margins. Regulatory changes in environmental laws and global trade policies can affect operations and exports. Furthermore, currency fluctuations pose financial risks given SRF's international operations, while competition from global and local players can impact market share.

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Also read: https://finance.yahoo.com/SRF.NS/profile

Predicted Prices
Key Low (open) Low (high) Close-Down (open) Close-Down (high) Close-Up (open) Close-Up (low) High (open) High (low)
Low Volatility 3159.92
45.77% hit
3202.8
55.31% hit
3160.49
16.73% hit
3226.34
51.68% hit
3193.68
15.26% hit
3181.17
52.69% hit
3177.05
44.96% hit
3201.27
55.31% hit
Average Volatility 3125.44
30.98% hit
3156.95
35.42% hit
3133.13
14.92% hit
3195.73
34.41% hit
3216.38
15.66% hit
3208.77
33.53% hit
3207.26
30.65% hit
3247.76
35.42% hit
High Volatility 3057.96
4.1% hit
3092.66
3.23% hit
3085.41
3.7% hit
3135.65
3.97% hit
3257.51
2.55% hit
3278.52
2.89% hit
3278.97
2.62% hit
3315.27
3.23% hit

SRF's predicted prices using open from of 3169.4 and data until date . Current Price is 3223.6

Basic Stats
Market Cap-Display Market Cap-Actual Market Cap Enterprise Value-Display Enterprise Value-Actual Enterprise Value Trailing P/E Forward P/E Price/Sales Price/Book Enterprise Value/Revenue Enterprise Value/EBITDA Profit Margin Operating Margin Return on Assets Return on Equity Revenue-Display Revenue-Actual Revenue Quarterly Revenue Growth EBITDA-Display EBITDA-Actual EBITDA Diluted EPS Quarterly Earnings Growth Total Cash-Display Total Cash-Actual Total Cash Total Debt-Display Total Debt-Actual Total Debt Total Debt/Equity Current Ratio Operating Cash Flow-Display Operating Cash Flow-Actual Operating Cash Flow Levered Free Cash Flow-Display Levered Free Cash Flow-Actual Levered Free Cash Flow % Held by Insiders % Held by Institutions
97375.61 Cr 973756104704.0 97375.61 99708.16 Cr 997081612288.0 99708.16 78.08 55.64 6.63 7.71 6.79 35.48 8.51% 18.89% 6.17% 10.38% 14693.07 Cr 146930696192.0 14693.07 20.8% 2810.54 Cr 28105400320.0 2810.54 42.07 24.6% 1121.76 Cr 11217600512.0 1121.76 4726.03 Cr 47260299264.0 4726.03 0.3743 1.13 2487.49 Cr 24874899456.0 2487.49 380.91 Cr 3809074944.0 380.91 51.0% 29.2%

source:https://finance.yahoo.com/SRF.NS/key-statistics

Upside-Downside Spread
Key Weighted 5D 1M 3M 6M 1Y 3Y 10Y
Upside % (high) 3.27% 3.15% (3325) 3.15% (3325) 3.15% (3325) 3.15% (3325) 3.15% (3325) 3.15% (3325) 3.15% (3325)
Downside % (low) 12.01% 2.71% (3136.1) 6.98% (2998.5) 16.09% (2705) 31.74% (2200.45) 34.02% (2126.85) 37.89% (2002.2) 94.42% (179.8)
Spread % -8.74% 0.43% -3.84% -12.94% -28.59% -30.88% -34.74% -91.28%

SRF's price used for computing the stats is 3223.6 as on date

Cumulative Return Percent
Key Today 5D 2W 1M 3M 6M 1Y 3Y 10Y
Last Price-Trend PrevClose 1.71% -0.49% -0.57% 3.8% 18.72% 45.78% 34.77% 40.02% 1602.01%
Last Price 3223.6 3223.6 3223.6 3223.6 3223.6 3223.6 3223.6 3223.6 3223.6
Trend-Previous Close 3169.4 3239.4 3242.1 3105.7 2715.2 2211.3 2392 2302.25 189.4

SRF's symbol cumulative return percent is computed basis data from date

Return Velocity
5D 2W 1M 3M 6M 1Y
5D window
Metric Mean Median Stdev
Overall 0.14% 3243.77 0.76% 3264.18 1.96% 3148.41 3339.14
Up 1.71% 3294.64 1.69% 3294.02 0.64% 3263.6 3325.67
Down -0.89% 3210.48 -0.77% 3214.42 0.93% 3165.1 3255.85
5D Opportunity:
returns: -0.49% (-2.29%), p.close: 3239.4
entry: 3165.1, exit: 3148.41, min.ret: -0.53%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.59% 3291.01 1.3% 3281.65 2.54% 3167.51 3414.51
Up 2.72% 3327.53 2.14% 3308.7 1.95% 3232.93 3422.12
Down -0.58% 3220.73 -0.02% 3238.65 0.81% 3181.59 3259.87
5D Opportunity:
returns: -0.49% (-1.78%), p.close: 3239.4
entry: 3181.59, exit: 3167.51, min.ret: -0.44%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.97% 3270.7 0.17% 3245.02 2.86% 3131.78 3409.62
Up 2.01% 3304.66 1.2% 3278.32 2.25% 3195.33 3413.99
Down -1.0% 3206.93 -0.56% 3221.24 1.11% 3153.07 3260.79
5D Opportunity:
returns: -0.49% (-2.67%), p.close: 3239.4
entry: 3153.07, exit: 3131.78, min.ret: -0.67%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.99% 3271.49 0.27% 3248.08 3.7% 3091.9 3451.07
Up 2.48% 3319.68 1.6% 3291.22 2.79% 3184.07 3455.3
Down -1.57% 3188.52 -1.08% 3204.33 1.84% 3099.08 3277.96
5D Opportunity:
returns: -0.49% (-4.33%), p.close: 3239.4
entry: 3099.08, exit: 3091.9, min.ret: -0.23%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.49% 3287.52 0.88% 3267.86 4.43% 3072.19 3502.85
Up 3.15% 3341.35 1.74% 3295.83 3.95% 3149.46 3533.23
Down -1.59% 3187.74 -0.92% 3209.49 1.84% 3098.46 3277.03
5D Opportunity:
returns: -0.49% (-4.35%), p.close: 3239.4
entry: 3098.46, exit: 3072.19, min.ret: -0.85%
Using: 5D trend, 0 Days Left
Metric Mean Median Stdev
Overall 0.68% 3261.54 0.19% 3245.68 4.02% 3066.36 3456.72
Up 2.5% 3320.47 1.49% 3287.76 3.31% 3159.79 3481.16
Down -1.78% 3181.9 -1.18% 3201.26 1.95% 3087.06 3276.74
5D Opportunity:
returns: -0.49% (-4.7%), p.close: 3239.4
entry: 3087.06, exit: 3066.36, min.ret: -0.67%
Using: 5D trend, 0 Days Left
2W window
Metric Mean Median Stdev
Overall 4.6% 3391.38 6.19% 3442.89 3.3% 3230.72 3552.04
Up 5.75% 3428.49 6.29% 3446.05 2.14% 3324.45 3532.53
Down -0.69% 3219.66 0% 3242.1 1.13% 3164.88 3274.45
2W Opportunity:
returns: -0.57% (-2.38%), p.close: 3242.1
entry: 3164.88, exit: 3230.72, min.ret: 2.08%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.94% 3337.28 3.67% 3361.03 3.89% 3147.96 3526.6
Up 4.22% 3378.96 4.68% 3393.67 3.06% 3229.91 3528.01
Down -1.38% 3197.21 -1.0% 3209.83 1.46% 3126.24 3268.17
2W Opportunity:
returns: -0.57% (-3.57%), p.close: 3242.1
entry: 3126.24, exit: 3147.96, min.ret: 0.69%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.74% 3298.4 1.14% 3279.02 4.43% 3083.07 3513.73
Up 3.67% 3361.02 2.74% 3331.01 3.16% 3207.42 3514.62
Down -2.59% 3158.01 -2.37% 3165.1 2.4% 3041.08 3274.94
2W Opportunity:
returns: -0.57% (-6.2%), p.close: 3242.1
entry: 3041.08, exit: 3083.07, min.ret: 1.38%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.9% 3336.18 1.98% 3306.45 5.81% 3053.53 3618.84
Up 5.18% 3409.98 3.52% 3356.35 5.29% 3152.57 3667.39
Down -2.35% 3165.8 -1.98% 3178.03 2.36% 3050.83 3280.78
2W Opportunity:
returns: -0.57% (-5.9%), p.close: 3242.1
entry: 3050.83, exit: 3053.53, min.ret: 0.09%
Using: 2W trend, 0 Days Left
Metric Mean Median Stdev
Overall 1.31% 3284.65 0.08% 3244.71 5.31% 3026.26 3543.04
Up 4.07% 3374.19 2.72% 3330.12 4.51% 3154.91 3593.47
Down -2.68% 3155.26 -2.22% 3170.0 2.44% 3036.66 3273.86
2W Opportunity:
returns: -0.57% (-6.34%), p.close: 3242.1
entry: 3036.66, exit: 3026.26, min.ret: -0.34%
Using: 2W trend, 0 Days Left
1M window
Metric Mean Median Stdev
Overall 6.4% 3304.57 5.73% 3283.55 3.17% 3156.98 3452.16
Up 7.81% 3348.19 7.43% 3336.5 2.46% 3233.63 3462.75
Down -1.78% 3050.4 -1.44% 3061.09 1.26% 2991.75 3109.05
1M Opportunity:
returns: 3.8% (11.5%), p.close: 3105.7
entry: 3462.75, exit: 3452.16, min.ret: 0.31%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.6% 3186.49 2.38% 3179.59 4.28% 2986.96 3386.03
Up 5.0% 3261.07 4.9% 3258.0 3.36% 3104.39 3417.75
Down -4.3% 2972.03 -3.95% 2982.88 2.89% 2837.51 3106.56
1M Opportunity:
returns: 3.8% (10.05%), p.close: 3105.7
entry: 3417.75, exit: 3386.03, min.ret: 0.93%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 5.74% 3284.01 4.92% 3258.37 7.27% 2945.35 3622.67
Up 8.79% 3378.71 6.64% 3312.07 7.12% 3047.2 3710.22
Down -3.44% 2998.92 -3.19% 3006.68 2.7% 2873.24 3124.6
1M Opportunity:
returns: 3.8% (19.46%), p.close: 3105.7
entry: 3710.22, exit: 3622.67, min.ret: 2.36%
Using: 1M trend, 0 Days Left
Metric Mean Median Stdev
Overall 2.64% 3187.74 2.2% 3174.0 7.02% 2860.6 3514.89
Up 6.78% 3316.15 5.27% 3269.46 6.04% 3034.67 3597.63
Down -4.0% 2981.34 -3.63% 2993.08 3.06% 2838.96 3123.72
1M Opportunity:
returns: 3.8% (15.84%), p.close: 3105.7
entry: 3597.63, exit: 3514.89, min.ret: 2.3%
Using: 1M trend, 0 Days Left

SRF's symbol current price is 3223.6 (1.71%) as on . Yesterday's close was 3169.4. It's return velocities are computed basis data from date .

Win Percent
Key Weighted 5D 1M 3M 6M 1Y 3Y
Open-High (> 1.0%) 47.63% 40.0% 54.55% 51.52% 53.79% 48.81% 40.48%
Open-Low (> 1.0%) 50.33% 60.0% 40.91% 43.94% 53.03% 52.78% 51.72%
Open-Close-Up (> 0.5%) 31.01% 20.0% 40.91% 36.36% 36.36% 33.73% 31.48%
Open-Close-Down (> 0.5%) 35.05% 40.0% 27.27% 36.36% 35.61% 34.92% 38.49%
Low-Close-Up (> 1.0%) 53.36% 60.0% 50.0% 45.45% 56.06% 51.19% 46.3%
High-Close-Down (> 1.0%) 55.6% 60.0% 50.0% 57.58% 53.79% 49.6% 45.37%

SRF's symbol win percent is computed basis data from date