Reliance Industries Ltd.

1,293

30 (2.4%)stock indicator image for upward trend

RELIANCE Share Price
As on June 12, 2026
SectorOil, Gas & Consumable Fuels
IndustryPetroleum Products
Basic IndustryRefineries & Marketing
Market Cap17,48,907 Cr
P/E Ratio21.66
Dividend Yield0.05 %
Trendline Performance

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Company Information


Market Insights
Open1,277
High1,297
NSE SymbolRELIANCE
Close1,293
Low1,262.5
BSE Symbol500325
Previous Years High/Low
1 Year High1,611.8
3 Year High1,611.8
5 Year High1,611.8
1 Year Low1,253.2
3 Year Low1,110.15
5 Year Low1,008.12

Technicals


IndicatorsValueSignal
5-DMA1,269.46Bullish
10-DMA1,288.98Bullish
20-DMA1,317.18Bearish
50-DMA1,349.63Bearish
100-DMA1,380.06Bearish
200-DMA1,423.48Bearish

Historical Performance


1 Year
-10.3%
3 Years
4.1%
5 Years
16.8%
10 Years
434.6%

Shareholding Pattern


%

Values Analysis


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Profit & Loss

Below figures are in Rs. Crores


ParticularsMar-2026Mar-2025Mar-2024Mar-2023Mar-2022
Net Sales1,05,72,19096,46,93090,10,64087,78,35069,59,630
Total Expenditure87,83,05079,94,38073,88,31073,69,75058,75,170
Other Income2,89,9701,81,6701,60,5701,30,3601,49,430
Operating Profit20,79,11018,34,22017,82,90015,38,96012,33,890
Interest2,70,6102,42,6902,31,1801,95,7101,45,840
Depreciation5,76,8805,31,3605,08,3204,03,0302,97,820
Profit Before Tax12,31,62010,60,17010,43,4009,40,4608,21,540
Consolidated Net Profit8,07,7506,96,4806,96,2106,67,0206,07,050
Adjusted EPS6051514945
Compounded Sales Growth
10 Years:31
5 Years:17.8
3 Years:3.8
TTM:1.8
Compounded Profit Growth
10 Years:22.1
5 Years:10.5
3 Years:3.9
TTM:3
Stock Price CAGR
10 Years:18.2
5 Years:2.8
3 Years:0.4
TTM:-9.5
Return on Equity
10 Years:25
5 Years:44.9
3 Years:51.4
last year:59.7

Quarterly Results

Below figures are in Rs. Crores


ParticularsSep-2024Dec-2024Mar-2025Jul-2025Sep-2025
Sales1,70,7541,35,9361,28,5521,22,1891,05,161
Expenses63,04256,55752,45745,45934,856
Operating Profit1,07,71279,37976,09676,73070,304
OPM %63%58%59%63%67%
Other Income33,91231,75927,33324,87918,947
Interest77,78058,58459,24862,13753,713
Depreciation2,3451,6811,3851,2771,221
Profit Before Tax61,49850,87342,79638,19534,318
Tax %25%25%26%29%35%
Net Profit46,14938,15131,85727,29622,446
EPS in Rs8369585042

Balance Sheet

Below figures are in Rs. Crores


ParticularsMar-2026Mar-2025Mar-2024Mar-2023Mar-2022
Share Capital1,35,3201,35,32067,66067,66067,650
Total Reserves88,98,25082,88,78078,59,35070,84,60077,22,860
Long-Term Borrowings---------------
Total Non-Current Liabilities55,04,26048,63,50043,18,93038,12,58030,09,760
Other Current Liabilities29,95,09018,14,93016,01,73016,41,3509,58,100
Short Term Borrowings7,77,0508,13,0805,66,4208,22,5805,15,860
Total Liabilities2,17,75,4601,94,97,1301,75,50,4801,60,58,8201,49,86,220
Capital Work in Progress19,22,87016,97,10015,23,82011,72,5906,80,520
Long Term Loans & Advances2,59,0602,22,2601,76,9001,71,4001,99,260
Currents Investments9,74,31011,87,09010,61,70011,84,73010,81,180
Short Term Loans and Advances5,47,6204,63,6905,60,5604,90,1504,40,950
Total Current Assets59,42,49049,92,70047,01,00042,52,96034,70,190
Total Assets2,17,75,4601,94,97,1301,75,50,4801,60,58,8201,49,86,220
Adjusted Book Value668623586529576
0%
Positive
(80 to 100)
Neutral
(60 to 79)
Negative
(0 to 59)
  • The stock has a moderate PE of 21.66, suggesting fair valuation relative to earnings.
  • Over the last three years, the stock delivered a weak 3-year price CAGR of 0.4%, indicating poor shareholder returns.
  • The stock carries a beta of 0.9, indicating volatility broadly in line with the market.
  • In the last financial year, the company reported an EBITDA of ₹2079110 million, reflecting positive operating performance.
  • In the previous financial year, the company generated revenue of ₹10572200 million, indicating a large and established business.

Investment Calculator


Investment Amount: ₹ 1000000
Current Value: ₹ 899290.6
No. of Shares: 696 (Approx)
Performance:-10.1%
P/L: ₹-100709.4
NIFTY Performance: -4.4%
1 day Top Gainers
SymbolChange%
IFCI84.57(20%)
AIIL530.15(15%)
TTML46.44(10%)
ASHOKLEY152.45(10%)
NETWEB4587.4(9%)
1 Day Top Losers
SymbolChange%
NESTLEIND1375.7(-3%)
OIL417.8(-3%)
ONGC246.2(-3%)
TECHM1429.2(-3%)
ONESOURCE1612.5(-2%)
INOXINDIA1808.2(-2%)
PREMIERENE1034.6(-2%)
IPCALAB1583(-2%)

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