What were Symphony Ltd's latest quarterly results?
Symphony Ltd's latest quarterly results (Dec 2025) show
- PAT Growth YoY: +300.0%
- Revenue Growth YoY: -26.0%
- Operating Margin: 16.0%
Symphony Ltd (Consumer Electronics) — fundamental analysis, earnings data, and key metrics. PE: 30.0. ROE: 32.4%. This stock is not currently in the Nifty 500 momentum outperformers list.
Based on publicly available financial data. This is educational research, not investment advice.
Symphony Ltd's latest quarterly results (Dec 2025) show
Symphony Ltd's current PE ratio is 30.0x.
Symphony Ltd's price-to-book ratio is 6.3x.
Symphony Ltd's fundamental strength based on key financial ratios
Symphony Ltd has a debt-to-equity ratio of N/A.
Symphony Ltd's return ratios over recent years
Symphony Ltd's operating cash flow is positive (FY2025).
Symphony Ltd's current dividend yield is 1.82%.
Symphony Ltd's shareholding pattern (Dec 2025)
Symphony Ltd's promoter holding has remained stable recently.
Symphony Ltd is an established outperformer with 1 weeks of consecutive Nifty 500 outperformance.
Based on quantitative research signals, here is why Symphony Ltd may be worth studying
Symphony Ltd investment thesis summary:
Symphony Ltd's forward outlook based on current data signals
The above FAQs are generated from publicly available earnings data and conference call transcripts. This is educational research only. Sector Alpha is not SEBI registered and does not provide investment advice.