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Rallis

RALLIS NSE

Key Fundamentals

MicrocapPesticides & AgrochemicalsChemicals
Market Cap
₹3,911 Cr
Volatility
Low Risk
P/E Ratio
18.35
EBITDA
₹302 Cr
Return on Equity
9.68%
Debt to Equity
0.03
Book Value
₹105.05
EPS
₹8.12
52W High
₹349.15
52W Low
₹201.95

Tapetide Score

Data-driven rating, 0–100. How it works →

Key Insights

Strengths

2
  • Company is almost debt free.
  • Company has been maintaining a healthy dividend payout of 34.5%

Weaknesses

2
  • The company has delivered a poor sales growth of 3.58% over past five years.
  • Company has a low return on equity of 8.41% over last 3 years.

Growth Rate

Revenue Growth
6.54% higher than 3Y
Net Income Growth
-28.17% lower than 3Y
Cash Flow Change
-23.48% higher than 3Y
ROE
-32.59% lower than 3Y
ROCE
-30.86% lower than 3Y
EBITDA Margin (Avg.)
-22.09% lower than 3Y

AI Analysis — Bull vs Bear

Anthropic anthropic claude-opus-4.6 44d ago
AI opinion · based on fundamentals
Risk high

Rallis India Ltd is a nearly debt-free agrochemicals company with a market cap of ₹4,220 Cr trading at a P/E of 19.7x. While TTM profit growth of 33% signals a recovery, the stock has declined 42% over the past year and compounded sales growth over 5 years remains modest at 4%.

Bull Case 7
  • Company is almost debt-free, providing financial flexibility and low interest cost burden
  • TTM compounded profit growth of 33% indicates a sharp earnings recovery in recent quarters
  • Healthy dividend payout ratio of 34.5% with a current dividend yield of 1.38%, rewarding shareholders consistently
  • ROE improved to 10% in the last year from a 3-year average of 8%, suggesting improving capital efficiency
  • P/B ratio of 2.07x is reasonable for a debt-free chemicals company backed by the Tata Group
  • 10-year compounded sales CAGR of 8% demonstrates long-term revenue scalability in the agrochemicals space
  • TTM sales growth of 4% shows a turnaround from the negative 3-year sales CAGR of -1%
Bear Case 8
  • Stock price has declined 42% over the past 1 year, reflecting significant investor pessimism and capital erosion
  • 5-year compounded sales growth of only 4% (3.58% per known data) indicates persistent top-line weakness
  • 3-year average ROE of just 8% is below the cost of equity for most investors, indicating weak value creation
  • 5-year compounded profit CAGR is -2%, showing earnings have actually contracted over a medium-term horizon
  • 10-year stock CAGR of 0% means the stock has generated zero capital appreciation over a decade
  • 5-year stock CAGR of -8% indicates sustained underperformance and wealth destruction for medium-term holders
  • 10-year compounded profit CAGR of only 5% lags the broader market earnings growth and inflation
  • P/E of 19.7x may appear elevated given the weak long-term growth and low ROE profile

This is AI-generated analysis, not financial advice. Do your own due diligence.

AI News Digest

Anthropic anthropic claude-opus-4.6 44d ago
Positives 1
  • Q1 net profit jumps 32% Jul 20

    Rallis India reported Q1FY26 net profit of ₹125 crore, up 32% YoY, with revenue from operations rising 6.8% to ₹1,022 crore driven by higher revenue and lower expenses.

Neutral 5
  • New statutory auditor appointed Jul 27

    S R B C & CO LLP appointed as statutory auditors for five years, replacing B S R & Co. LLP after the 2027 AGM, subject to shareholder approval.

  • Two independent directors exit Jul 22

    Two independent directors ceased to hold office on July 22, 2026 after completing their second consecutive term.

  • Investor meeting with Whiteoak Capital Jul 21

    Rallis India scheduled a one-on-one meeting with Whiteoak Capital on July 24, 2026 in Singapore. No UPSI to be shared.

  • ESG score of 72.3 assigned Jul 9

    SES ESG Research assigned Rallis India an ESG score of 72.3 for FY 2025-26 based on public domain data.

  • Q1 FY27 earnings call scheduled Jul 9

    Analyst and investor meeting hosted on July 21, 2026 to discuss unaudited Q1 FY27 financial results with senior management.

TL;DR: Rallis India delivered a strong Q1 with 32% profit growth and nearly 7% revenue expansion, signaling healthy operational momentum. No material headwinds emerged in recent newsflow. Governance changes (auditor rotation, director exits) are routine. The trend is improving, and sustained volume growth in the chemicals segment will be key to watch in coming quarters.

Quarterly Results

Particulars Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales
782
832
598
436
783
928
522
430
957
861
623
456
1,022
Expenses
672
699
536
430
687
762
478
450
807
707
565
457
837
Operating Profit
110
133
62
6
96
166
44
-20
150
154
58
-1
185
OPM %
14%
16%
10%
1.4%
12%
18%
8%
-4.7%
16%
18%
9%
-0.2%
18%
Other Income
3
6
2
6
5
10
6
12
12
16
-26
14
15
Interest
3
3
4
8
5
3
2
2
4
3
2
1
2
Depreciation
25
26
30
33
31
30
29
30
29
30
29
29
30
PBT
85
110
30
-29
65
143
19
-40
129
137
1
-17
168
Tax %
26%
25%
20%
-28%
26%
31%
42%
-20%
26%
26%
-100%
-12%
26%
Net Profit
63
82
24
-21
48
98
11
-32
95
102
2
-15
125
EPS in Rs
3.24
4.22
1.23
-1.08
2.47
5.04
0.57
-1.65
4.89
5.25
0.1
-0.77
6.43
Figures in ₹ Crores

Profit & Loss

Particulars Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026TTM
Sales
1,493
1,288
1,386
1,498
1,984
2,252
2,429
2,604
2,967
2,648
2,663
2,897
2,962
Expenses
1,237
1,079
1,148
1,270
1,741
1,987
2,104
2,323
2,746
2,335
2,375
2,534
2,566
Operating Profit
255
209
238
228
243
265
325
281
221
313
288
362
396
OPM %
17%
16%
17%
15%
12%
12%
13%
11%
7%
12%
11%
13%
13%
Other Income
2
5
168
9
30
46
49
22
13
16
33
16
19
Interest
7
10
4
6
8
10
7
7
14
19
14
11
8
Depreciation
45
38
42
41
46
62
64
74
91
114
120
117
118
PBT
206
165
359
191
219
239
304
222
128
196
187
250
289
Tax %
29%
24%
26%
26%
29%
22%
25%
26%
28%
24%
33%
27%
Net Profit
145
126
266
141
154
185
229
164
92
148
125
184
214
EPS in Rs
7.48
6.49
13.68
7.28
7.93
9.54
11.76
8.45
4.73
7.6
6.43
9.46
11.01
Div. Payout %
33%
39%
27%
34%
32%
26%
26%
36%
53%
33%
39%
32%
Figures in ₹ Crores

Balance Sheet

Particulars Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital
19
19
19
19
19
19
19
19
19
19
19
19
Reserves
779
899
1,106
1,159
1,266
1,391
1,572
1,677
1,711
1,810
1,885
2,024
Borrowings
75
36
22
21
73
94
76
93
137
134
63
61
Other Liabilities
359
356
404
533
801
944
920
1,069
931
1,040
1,007
1,241
Total Liabilities
1,232
1,310
1,551
1,733
2,159
2,447
2,587
2,858
2,798
3,003
2,974
3,345
Fixed Assets
373
342
350
351
581
593
631
771
758
1,008
904
849
CWIP
14
24
23
25
51
76
164
130
237
62
52
32
Investments
232
305
534
390
109
302
283
212
223
251
412
505
Other Assets
614
639
644
968
1,419
1,476
1,508
1,745
1,581
1,683
1,607
1,958
Total Assets
1,232
1,310
1,551
1,733
2,159
2,447
2,587
2,858
2,798
3,003
2,974
3,345
Figures in ₹ Crores

Cash Flow

Particulars Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating
64
218
353
-5
79
338
216
166
217
269
295
172
Investing
-42
-134
-275
95
-51
-246
-162
-103
-142
-102
-214
-95
Financing
-24
-52
-74
-92
-52
-74
-67
-61
-41
-184
-80
-66
Net Cash Flow
-2
32
3
-1
-23
18
-13
1
34
-18
1
11
Free Cash Flow
34
161
302
-54
33
272
58
-15
31
188
224
143
CFO/OP
49
121
181
24
62
149
89
83
121
105
121
66
Figures in ₹ Crores

Ratios

Particulars Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debtor Days
50
52
59
89
82
73
61
63
61
80
74
78
Inventory Days
114
128
121
170
224
193
200
227
158
199
185
217
Days Payable
85
95
113
167
178
176
156
182
117
148
134
164
Cash Conversion Cycle
80
85
68
92
129
90
105
107
102
131
126
130
Working Capital Days
36
50
51
93
82
50
61
62
48
67
63
68
ROCE %
26%
19%
20%
17%
18%
17%
19%
14%
8%
11%
10%
14%

Insights

Beta

AI-extracted from concalls & annual reports · figures as reported, with sources

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Shareholding Pattern

Others4.24%Govt.0.41%Promot.55.08%FIIs9.12%DIIs11.72%Public19.43%As ofJun 2026

Documents

Frequently Asked Questions about Rallis

What does Rallis India Ltd do?
Rallis India, a Tata Group company Group Co., has a history of over 150 years. The company is into manufacturing of Agrochemicals and is present across the value chain of agriculture inputs - from seeds to organic plant growth nutrients. Rallis is also in the business of contract manufacturing fo...
Where is Rallis India Ltd (RALLIS) listed?
Rallis India Ltd trades as RALLIS on the NSE and under code 500355 on the BSE.
Which sector does Rallis India Ltd belong to?
Rallis India Ltd is classified under the Chemicals sector, in the Pesticides & Agrochemicals industry.
What is the market capitalisation of Rallis India Ltd?
Rallis India Ltd has a market capitalisation of ₹3,911 Cr, which places it in the Small Cap band.
What is the PE ratio of Rallis India Ltd?
Rallis India Ltd trades at a PE ratio of 18.35, on earnings per share of ₹8.12, against a book value of ₹105.05 per share.
What is the 52-week high and low of Rallis India Ltd?
Over the last 52 weeks Rallis India Ltd has traded between ₹201.95 and ₹349.15.
Does Rallis India Ltd pay dividends?
Rallis India Ltd has a dividend yield of 1.48%.
What is the Return on Equity (ROE) of Rallis India Ltd?
Rallis India Ltd reported a return on equity of 9.68%. Its debt-to-equity ratio is 0.03.

Company Information

Rallis India, a Tata Group company Group Co., has a history of over 150 years. The company is into manufacturing of Agrochemicals and is present across the value chain of agriculture inputs - from seeds to organic plant growth nutrients. Rallis is also in the business of contract manufacturing for global corporations. [1]

Website rallis.com
CEO Dr. Gyanendra Shukla B.S., Ph.D.
Employees 1,677
Listed 1999-04-01
Face Value ₹ 1
Issued Size 19,44,68,890

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