52-week rangeThe lowest and highest prices the stock traded at over the last year, from each day's intraday low and high. The marker is today's close: 0% means it sits at the year's low, 100% at the high. It describes where the price is, not where it is going.60.9% up the range
Rs 6,442Rs 8,230
What Eicher Motors Limited does
A short, human-reviewed summary of the business, written from public sources. Background, not analysis, and not updated intraday.
business summary
Eicher Motors is best known as the listed parent of Royal Enfield, the motorcycle brand dominating India's mid-size segment, but its commercial vehicle joint venture is the larger business by revenue. VE Commercial Vehicles, a 50:50 partnership with Sweden's Volvo Group formed in 2008, builds Eicher and Volvo branded trucks and buses in India and manufactures engines Volvo exports worldwide. In FY26 the venture earned more revenue than Royal Enfield's own motorcycle business.
1
1Sector
Automobiles
2
2What it sells
Makes Royal Enfield motorcycles, mainly in the 250cc to 750cc middleweight class, and through VE Commercial Vehicles produces Eicher branded trucks and buses, distributes Volvo Trucks and Volvo Buses in India, and manufactures engines for export to Volvo Group worldwide.
3
3Who buys it
Royal Enfield sells mainly to individual riders in India and a growing base of riders overseas, including strong followings in the UK and South Korea. VE Commercial Vehicles sells trucks and buses to fleet operators and state transport bodies in India, and its engine plant supplies Volvo Group's global truck operations.
4
4How it earns
Revenue comes from motorcycle and accessory sales at Royal Enfield, and from truck, bus and engine sales through the VE Commercial Vehicles joint venture with Volvo, whose earnings show up in Eicher's results as a share of joint venture profit. In 2026 Eicher and Volvo Financial Services agreed a further 50:50 joint venture to finance purchases of their commercial vehicles.
Implied vs realized volatility
This compares the volatility options are pricing (from the chain) with the volatility the stock has actually delivered. It appears once the live options chain is available.
options live in market hours
The options-implied volatility comes from the live chain, which is available during and around market hours (9:15-3:30 IST, Mon-Fri). The stock has realized 16.9% volatility over the last 30 days; the implied figure and the comparison will show when the chain is live.
EICHERMOT price vs the biggest options level
The daily candles are the actual stock. The two labeled lines are the single strike with the most call open interest (a resistance level option sellers are defending) and the single strike with the most put open interest (a support level). The full breakdown across every strike is in the Open Interest Profile card below.
EOD 11 Sept
IndicatorsVolume
Loading EICHERMOT price...
Options snapshot
The live stock option chain (PCR, max pain, expected move, OI) loads during and around market hours.
live in market hours
EICHERMOT's live option chain - put-call ratio, max pain, expected move and open-interest walls - appears during market hours (9:15-3:30 IST, Mon-Fri). Come back when the market is open for the full options view.
Returns and valuation
Built from the company's own balance sheet and cash flow. Return on equity is the trailing twelve months of profit against the equity on the books; the balance sheet behind it is filed twice a year, not four times.
from the filing as at 2026-03-31
Market cap
Rs 2,06,699 Cr
what the whole company is priced at today
Return on equity
23.0%
profit earned on every Rs 100 of shareholders money
Price to book
8.23x
8.23 times the value on its own books
Return on assets
17.9%
profit against everything it owns
Return on capital
23.5%
EV / EBITDA
28.3x
Dividend yield
0.93%
paid out on today's price
Book value / share
Rs 914
the company's own books, per share
What it owns and what it owes
Straight from the balance sheet in the company's filing. Net debt is borrowings less cash and liquid investments, so a negative figure means it holds more cash than debt.
as at 2026-03-31
Total assets
Rs 32,164 Cr
everything the company owns
Shareholders equity
Rs 25,100 Cr
78% of what it owns is funded by its owners
Cash and equivalents
Rs 234 Cr
cash and near-cash on hand
Net debt
Rs -2,747 Cr
holds more cash than debt
Debt to equity
0.01x
borrowings against the owners' money
Current ratio
1.90x
short-term assets against short-term dues
Companies file a balance sheet twice a year, not every quarter, so this is the most recent one published rather than the latest quarter.
The cash it actually made
Profit is an accounting figure; cash flow is what moved. Free cash flow is the cash from running the business less what was spent on plant and equipment, so it is what was left over to pay down debt or return to shareholders.
year to 2026-03-31
Cash from operations
Rs 4,805 Cr
cash the business itself threw off
Free cash flow
Rs 3,530 Cr
what was left after spending on the business
FCF margin
15.1%
free cash for every Rs 100 of sales
Cash vs profit
0.87x
profit is being reported faster than cash arrives
Cash flow is reported for the year to date, so this covers the full period ending 2026-03-31 rather than a single quarter.
Fundamentals
Trailing-twelve-month valuation, margins and growth from the company's own filings.
as of 2026-06-30
P/E (TTM)
35.9
PEG
1.68
EPS (TTM)
Rs 210.1
Net margin
23.1%
Rev growth YoY
+31.55%
Profit growth YoY
+21.35%
TTM revenue
Rs 24,998 Cr
TTM net profit
Rs 5,773 Cr
Against its sector
Where this stock sits within its own sector on each measure. The marker is its position in the peer group and the notch is the sector median. A position is a fact about the cohort, not a view on the stock.
Median rather than average, so one loss-making or one very expensive peer cannot drag the reference. Valuation is shown without a colour verdict: a higher multiple can mean expensive, or faster growth expected, and only you can decide which.
The business
Sales and net profit from the company's own filings, by financial year or by quarter. Hover any bar for that period's complete figures including operating margin and the change against the comparable earlier period. The single TTM figure above is the sum of the last four quarters.
5 years · 20 quarters
Full financial years - the long arc of the business.
Sales growth
+17.5%
a year, 3 years
Profit growth
+23.7%
a year, 3 years
Operating margin
24.7%
latest year
Sales by financial yearRs 23,408 Cr
Net profit by financial yearRs 5,515 Cr
FY225 full years · hover a yearFY26
Operating margin has gone from 21.1% to 24.7% over these years - the share of every rupee of sales kept after running costs, before interest and tax. Full financial years only, so a part-year is never shown as a whole one. Hover any year for its complete figures.
Dividends paid
Cash paid per share, from the exchange's corporate-action record, restated to today's share count across bonuses and splits. Dates shown are ex-dates: you must own the shares before that date to receive the payment.
1.09% yield
Rs 1,090 / year
Paid 11 of 11 yrs
on Rs 1 lakh at today's price · 1.09% yield · Rs 82/share
What each year paid, on Rs 1 lakh
133
146
166
166
226
279
491
677
930
1,089
17
18
19
20
21
22
23
24
25
26*
* 2026 so far - more may still be declared this year
2026 has paid Rs 82.00 per share, about Rs 1,089 on Rs 1 lakh at today's price. Earlier years are restated to today's share count, so a bonus or split never reads as a dividend cut. Dividends are at the company's discretion and can be cut or skipped.
Technical snapshot
Momentum, trend and delivery-based conviction from the actual price and volume history.
EOD 11 Sept
RSI (14) - momentum
33.2Neutral
0 oversold3070overbought 100
Delivery % - genuine buying vs churn
62.7%Near average
today 62.7%20d avg 59.3%
The share of traded quantity that was actually delivered (not squared off intraday) - high delivery vs its 20-session average suggests real buying or holding, not just churn.
vs 50-DMA
-3.31%
vs 200-DMA
+1.87%
1-month
-7.04%
3-month
-0.75%
1-year
+14.43%
Realized vol (30d)
16.9%
Insider trading disclosures
Promoter, director and other insider trades in the company's own shares, as disclosed to the exchange under SEBI's insider-trading regulations - usually within a few days of the transaction.
last 18 months
Insider trading data unavailable.
Recent announcements
The company's own filings to the exchange - results, board meetings, investor calls - with a link to the source document.
last 6 months
Announcements unavailable.
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Equity price, fundamentals and realized volatility are end-of-day / quarterly from real market data. The option chain (PCR, max pain, expected move, IV, OI) is live from the exchange during market hours; outside them it shows the last session's close. Shareholding, insider trades and announcements are the company's own exchange filings. Analysis only, not investment advice.