FUNDAMENTALS
EdgeFII/DII
RELIANCEReliance Industries
₹1,300.80-0.69%
Terminal
  • Overview
  • Price
  • Ratios
  • About
  • P&L
  • Balance
  • Cash flow
  • Holders
  • Actions
  • Peers
  • News
RELIANCENSE · EquityRefineries

Reliance Industries

ISIN
INE002A01018
Instrument key
NSE_EQ|INE002A01018
Open in terminal Fundamentals cached for 6 hours
Last traded price
₹1,300.80-9.00 · -0.69%
Day rangecircuit ₹1,178.90 – ₹1,440.70
1,300.00
1,306.10

as of 25/8/2026, 5:03:28 am

Open
₹1,304.30
Day high
₹1,306.10
Day low
₹1,300.00
Prev. close
₹1,309.80
Volume
11.29 L
VWAP
₹1,302.30

On this page

Company

  • Overview
  • Price chart
  • Key ratios
  • About

Statements

  • Profit & loss
  • Balance sheet
  • Cash flow

Ownership

  • Shareholding
  • Corporate actions
  • Peers

Market

  • News

02/Price history

Price chart

1 day · 5-minute candles. Hover the chart for the OHLC of any candle; the table below holds the same data row by row.

1D1W1M
6M
1Y
5Y
MAX
Change · 1D
-0.23%
1,304.50 → 1,301.50
Period high
₹1,306.10
25/8/2026
Period low
₹1,300.50
25/8/2026
From high
-0.35%
+0.08% from low
Avg volume
78.2K
7.04 L total
Candles
9
3 up / 5 down
25 Aug 2026, 4:25 amO 1,301.50H 1,301.50L 1,301.00C 1,301.50Vol 5.2K
SMA 20SMA 50Averages need 50 candles before they begin
Candle data9 rows of open, high, low, close and volumeShowHide
25 Aug 2026, 4:25 am1,301.501,301.501,301.001,301.500.00%0.505.2K
25 Aug 2026, 4:20 am1,302.501,302.601,300.501,301.50-0.08%2.1095.2K
25 Aug 2026, 4:15 am1,303.301,303.601,302.001,302.50-0.06%1.6043.3K
25 Aug 2026, 4:10 am1,303.201,304.701,302.901,303.30+0.01%1.8041.3K
25 Aug 2026, 4:05 am1,303.501,304.101,302.801,303.20-0.02%1.3082.4K
25 Aug 2026, 4:00 am1,302.701,303.501,302.001,303.50+0.06%1.5054.7K
25 Aug 2026, 3:55 am1,303.001,303.701,302.501,302.90-0.01%1.2070.3K
25 Aug 2026, 3:50 am1,305.001,305.001,302.601,303.00-0.15%2.401.13 L
25 Aug 2026, 3:45 am1,304.301,306.101,301.801,304.50+0.02%4.301.98 L

Historical price and volume data · Showing 1–9 of 9

03/Valuation & returns

Key ratios vs sector

Company value benchmarked against the sector median. The ratio set is sector specific — banks report NIM, CASA and Net NPA instead of EV/EBITDA.

P/E

Price ÷ earnings per share

20.07
Company
20.07
Sector
16.67

Worse than sector by 20%

P/B

Price ÷ book value per share

1.96
Company
1.96
Sector
1.47

Worse than sector by 33%

ROA

Net income ÷ total assets

4.04%
Company
4.04%
Sector
6.94%

Worse than sector by 42%

ROE

Net income ÷ shareholders' equity

8.94%
Company
8.94%
Sector
18.13%

Worse than sector by 51%

ROCE

EBIT ÷ capital employed

10.39%
Company
10.39%
Sector
18.47%

Worse than sector by 44%

Quick Ratio

Liquid assets ÷ current liabilities

0.79
Company
0.79
Sector
0.36

Better than sector by 119%

EV/EBITDA

Enterprise value ÷ EBITDA

9.99
Company
9.99
Sector
7.54

Worse than sector by 32%

04/Business

About the company

Sector: Refineries

Reliance Industries Limited is engaged in the activities of hydrocarbon exploration and production, petroleum refining and marketing, petrochemicals, advanced materials and composites, renewables, retail and digital services. The Company’s segments include Oil to Chemicals (O2C), Oil and Gas, Retail, and Digital Services. The O2C segment covers refining, petrochemicals, fuel retailing, aviation fuel, and bulk wholesale marketing, with a portfolio that includes transportation fuels, polymers, polyesters, and elastomers. The Oil and Gas segment focuses on the exploration, development, and production of crude oil and natural gas. The Retail segment involves consumer retail and related services. The Digital Services segment provides a range of digital services. It also operates an oncology-focused healthcare platform, which focuses on technology-driven cancer care. Its subsidiaries include 7-India Convenience Retail Limited, Amante India Limited, Cover Story Clothing Limited, and others.

Sector market cap (INR)
₹17,69,379 Cr

reported in crore

Sector market cap (USD)
$196.60B

reported in billion

Market capitalisation is reported at the sector-constituent level, not the standalone company level.

05/Profit & loss

Standalone income statement

Annual figures in ₹ crore. Growth marked reported is provided; margins are derived.

YearlyQuarterly
ConsolidatedStandalone
Revenue · Mar 2026
₹5.29L Cr
-0.77% vs Mar 2025
Net profit · Mar 2026
₹43,851 Cr
+24.36% vs Mar 2025
Operating margin
10.2%
was 8.6%
Revenue CAGR · 4p
-1.3%
profit -0.3% · op -0.0%
Filed order
Revenue5,29,3235,33,4435,46,6625,50,496
Revenue growthreported-0.8%-2.4%-0.7%—
Operating profit54,07646,12855,27354,118
Operating profit growthreported17.2%-16.6%2.1%—
Operating marginderived10.2%8.6%10.1%9.8%
Net profit43,85135,26242,04244,190
Net profit growthreported24.4%-16.1%-4.9%—
Net marginderived8.3%6.6%7.7%8.0%
EPS — basic₹/share, annual32.4026.0631.0765.32

Figures in ₹ crore. Margin rows are computed from the reported values.

06/Balance sheet

Standalone balance sheet

Only annual balance sheets are available — the quarterly filter does not apply here. Figures in ₹ crore; net worth is assets minus liabilities.

ConsolidatedStandalone
Total assets · Mar 2026
₹11.66L Cr
+14.03% YoY
Total liabilities
₹6.00L Cr
Net worth
₹5.66L Cr
Liabilities ÷ assets
51.4%
lower means a lighter balance sheet
Filed order
Total assets11,65,80910,22,4019,59,6439,22,660
Total liabilities5,99,5744,79,3144,44,5474,43,582
Net worthderived5,66,2355,43,0875,15,0964,79,078
Liabilities ÷ assetsderived51.4%46.9%46.3%48.1%
Asset growthderived14.0%6.5%4.0%—

Figures in ₹ crore. Stacked chart height equals total assets.

Full annual line itemsNon-current & current assets, liabilities, equity capitalShowHide
Filed order
Non-Current Assets8,38,1907,52,8386,97,0186,19,203
Current Assets3,27,6192,69,5632,62,6253,03,457
Total Assets11,65,80910,22,4019,59,6439,22,660
Current Liabilities3,29,7802,57,9352,40,0142,69,387
Net Current Asset-2,16111,62822,61134,070
Non-Current Liabilities2,69,7942,21,3792,04,5331,74,195
Equity Capital5,66,2355,43,0875,15,0964,79,078
Total Equity & Liabilities11,65,80910,22,4019,59,6439,22,660

Figures in ₹ crore unless the line item is per-share.

07/Cash flow

Standalone cash flow

Annual only, in ₹ crore. Negative values are outflows, so healthy companies usually show positive operating and negative investing cash flow.

ConsolidatedStandalone
Operating · Mar 2026
₹79,059 Cr
-0.42% YoY
Investing
-₹50,451 Cr
Financing
-₹2,900 Cr
Free cash flow
₹28,608 Cr
operating + investing
Filed order
Operating activities79,05979,39273,99855,340
Operating changereported-0.4%7.3%33.7%—
Investing activities-50,451-28,106-38,292-7,825
Investing changereported-79.5%26.6%-389.4%—
Financing activities-2,900-38,063-27,465-7,369
Financing changereported92.4%-38.6%-272.7%—
Net cash flowderived25,70813,2238,24140,146
Free cash flowoperating + investing28,60851,28635,70647,515

Figures in ₹ crore.

Full annual line itemsProfit before tax through closing cash balanceShowHide
Filed order
Profit before tax54,07646,12855,27355,557
Income before WC changes62,03358,92475,41966,311
Change in Assets-43,905-9079,586-6,006
Change in Liabilities69,23430,536-1,761-36
Change in WC25,32929,6297,825-6,042
Cash flow from Operations79,05979,39273,99855,340
Cash flow from Investing-50,451-28,106-38,292-7,825
Cash flow from Financing-2,900-38,063-27,465-7,369
Total Cash Flow25,70813,2238,24140,146
Cash (Start of the year)82,47169,24861,00721,714
Cash (End of the year)1,08,17982,47169,24861,007

Figures in ₹ crore unless the line item is per-share.

08/Ownership

Shareholding pattern

Percentage of total shares by holder category across the last 4 reported quarters. Sort any quarter column to rank holders by size.

Promoters
50.48%
+0.48 pts QoQ
FII
17.20%
-1.47 pts QoQ
DII (other)
11.08%
+0.31 pts QoQ
Mutual funds
10.11%
+0.33 pts QoQ
Retail & others
11.13%
+0.34 pts QoQ
Filed order
Promoters50.5%50.0%50.0%50.0%
FII17.2%18.7%19.1%18.6%
DII (other)11.1%10.8%10.7%10.7%
Mutual funds10.1%9.8%9.5%9.7%
Retail & others11.1%10.8%10.7%11.0%
Promoters — QoQ changepts, derived0.5%-0.0%0.0%—
FII — QoQ changepts, derived-1.5%-0.4%0.4%—
DII (other) — QoQ changepts, derived0.3%0.1%-0.0%—
Mutual funds — QoQ changepts, derived0.3%0.3%-0.1%—
Retail & others — QoQ changepts, derived0.3%0.1%-0.3%—
Totalderived100.0%100.0%100.0%100.0%

Values are percentages of total outstanding shares; QoQ rows are percentage-point moves.

09/Events

Corporate actions

Dividends, bonuses, splits and rights issues. Filter by type, sort by any date, and expand a row for the full event detail.

DividendFinal₹6.0060.0%05 Jun 202605 Jun 202624 Apr 2026

10/Comparison

Peers & competitors

Competitor set priced live. Filter by sector, sort any column, and expand a peer for its business description.

Sector
IOCIndian OIL Corp LtdRefineries₹137.24-0.91%11.13 L₹1,95,014 Cr$21.67B
BPCLBharat Petroleum Corp LTRefineries₹311.65-0.08%4.44 L₹1,35,296 Cr$15.03B
HINDPETROHindustan Petroleum CorpRefineries₹371.45-0.13%11.36 L₹79,091 Cr$8.79B
MRPLMrplRefineries₹172.35-0.86%11.77 L₹30,469 Cr$3.39B
CHENNPETROChennai Petroleum Corp LTRefineries₹1,405.90-0.44%2.56 L₹21,027 Cr$2.34B
GANDHARGandhar OIL Refine IND LLubricants₹252.40-1.64%2.79 L₹2,510 Cr$278.90M
KOTYARKINE0J0B01017Agriculture₹34.75-2.17%26.8K₹400 Cr$44.44M

Market cap is the sector-constituent figure reported per peer · Showing 1–7 of 7

1 / 1

11/Coverage

Company news

Articles published in the last seven days, paginated by the provider.

5102050
  • Thumbnail: SENSEX, NIFTY50 snap two-day winning run on weak global cues ahead of details of Iran sanctions
    18h ago24/8/2026, 10:38:20 am
    SENSEX, NIFTY50 snap two-day winning run on weak global cues ahead of details of Iran sanctions

    The SENSEX fell as much as 588 points from the day's highest level and NIFTY50 index touched an intraday low of 24,144 after hitting an intraday high of 24,313 in morning deals.

  • Thumbnail: Stocks to watch, August 24: Natco Pharma, M&M, RIL, Senco Gold, Caplin Point, real estate stocks, Grasim
    yesterday24/8/2026, 2:40:56 am
    Stocks to watch, August 24: Natco Pharma, M&M, RIL, Senco Gold, Caplin Point, real estate stocks, Grasim
Full annual line itemsRevenue, other income, expenses, tax, EPS
ShowHide
Filed order
Revenue5,05,4655,17,2985,33,9315,39,347
Other Income23,67416,09412,12811,149
Total Revenue5,29,1395,33,3925,46,0595,50,496
Total Expenses4,75,0634,87,2644,90,7864,96,378
Profit Before Tax54,07646,12855,27354,118
Tax10,22510,86613,23111,116
Profit After Tax43,85135,26242,04243,002
EPS - Basic32.4026.0631.0765.32
EPS - Diluted32.4026.0631.0765.32

This breakdown is available annually, even when the summary above is quarterly. EPS rows are per share.

Senco Gold and Diamonds is targeting over 25% revenue growth to ₹10,500- ₹11,000 crore this financial year, a top company executive said. Currently, the company has around 190 stores and plans to add around 20 more in 2026-27, of which 12-13 will be on a franchise model, and 6-7 will be company-owned.

  • Thumbnail: NIFTY50 falls for seventh straight session, SENSEX drops 326 points; rising crude dents sentiment
    6d ago19/8/2026, 10:39:58 am
    NIFTY50 falls for seventh straight session, SENSEX drops 326 points; rising crude dents sentiment

    The SENSEX fell as much as 413 points dragged down by losses in index heavyweights like Reliance Industries, ICICI Bank, L&T, HDFC Bank, Bajaj Finance, SBI and ITC.

  • Thumbnail: SENSEX, NIFTY50 edge lower on weak global cues; Reliance, Larsen & Toubro top drags
    6d ago19/8/2026, 4:19:29 am
    SENSEX, NIFTY50 edge lower on weak global cues; Reliance, Larsen & Toubro top drags

    Asian markets were trading sharply lower as rising bond yields and crude oil prices revived inflation fears.

  • Thumbnail: NIFTY50, SENSEX today: Wall Street cues, FII activity, key things to know before markets open on August 18
    7d ago18/8/2026, 3:01:02 am
    NIFTY50, SENSEX today: Wall Street cues, FII activity, key things to know before markets open on August 18

    FIIs sold shares worth ₹2,535.10 crore on Monday while domestic institutional investors bought stocks worth ₹5,101.46 crore, as per NSE data.

  • Showing 1–5 of 5 articles