RVNL

IndustrialsEngineering & ConstructionLarge Cap
Rail Vikas Nigam Limited

Rail Vikas Nigam Limited (RVNL) operates in the Industrials sector, specifically Engineering & Construction, engaging in rail infrastructure works in India and internationally. The...

₹230+0.00%1D
Previous trading day close · Data updates nightly
1W: -1.6%
1M: +1.3%
6M: -28.0%
1Y: -33.6%
41/100
Below AvgResearch Score
Market Cap
₹50.2K Cr
Large Cap
P/E Ratio
53.49
Premium
P/B Ratio
4.87
Premium
ROE
14.0%
Decent
ROCE
11.0%
Average
Debt / Equity
0.49
Low debt
Div. Yield
1.5%
Low yield
EV/EBITDA
30.97
Expensive
52W Low: ₹220.16Current: ₹23052W High: ₹400.7
At 5% of 52-week range
Data as of previous trading day close · Updated nightly
📉 Full Technical Chart (RSI, MACD, ADX)
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── Price── SMA50── SMA200Data: Previous trading day close · Updated nightly
Research Score Breakdown
5-factor fundamental analysis — not a buy/sell signal
Quality
ROE, ROCE, margins, cash flow
48/100
Growth
Revenue, EPS, profit growth
30/100
Valuation
PE, PB, EV/EBITDA vs sector
21/100
Risk
Debt levels, volatility, coverage
66/100
News Sentiment
Recent news sentiment
50/100
Weightage: Quality 30% + Growth 25% + Valuation 20% + Risk 15% + News 10%
Mathematical score — not investment advice
Valuation Ratios
P/E Ratio
53.49(Premium)
Forward P/E
41.82(Premium)
P/B Ratio
4.87(Premium)
P/S Ratio
2.31(Good)
EV/EBITDA
30.97(Expensive)
Dividend Yield
1.5%
5Y CAGR
48.9%(High growth)
Revenue Growth
14.2%(Moderate)
Profitability
ROE
14.0%(Average)
ROCE
11.0%(Average)
ROA
6.4%(Average)
Net Margin
4.3%(Low)
EBITDA Margin
8.1%
Financial Health
Debt to Equity
0.49(Low debt)
Current Ratio
2.06(Healthy)
Quick Ratio
2.06(Good)
Interest Coverage
3.82x(Comfortable)
Technical Indicators
Based on previous trading day close
RSI (14)
59(Neutral)
RSI Exp (14)
66(Neutral)
MACD
-0.756(Bearish)
MACD Signal
-1.961
BB Position
68%(Middle)
BB Width
6.69%(Normal)
ADX (14)
19.1(Sideways)
Williams %R
-40.7(Neutral)
MFI (14)
66(Neutral)
CCI (20)
62(Neutral)
Stoch %K
59(Neutral)
ATR (14)
5.28(Avg True Range)
OBV (M)
258.9(Positive)
1W OBV Chg
-3.7%(Decreasing)
Rel Volume
0.79x(Normal)
Volatility
42.0%(High)
Max DD 1Y
-63.6%(High loss)
Return vs Nifty
-34.9%(Below Nifty)
EMA 200
282.8
EMA 50
237.1
SMA 200
288.0
vs SMA 50
-0.9%(Below SMA50)
vs SMA 200
-20.1%(Below SMA200)
Volume
56.05L
Avg Vol 3M
71.4L
Shareholding Pattern
Promoter
72.8%
High confidence
FII
4.9%
DII / MF
6.4%
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⚠️ Research Score is a mathematical fundamental score — not investment advice. Data updates nightly after market close. Please consult a SEBI-registered advisor before investing.