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543435 CLARA

Share Price

 

 

Performance

  • Today's Low
  • ₹34
  • Today's High
  • ₹39
  • 52 Week Low
  • ₹30
  • 52 Week High
  • ₹45
  • Open Price₹39
  • Previous Close₹35
  • Volume33,200
  • 50 DMA₹38.06
  • 100 DMA₹37.92
  • 200 DMA₹36.58

Chart

Investment Returns

  • Over 1 Month -11.84%
  • Over 3 Month -7.89%
  • Over 6 Month -12.5%
  • Over 1 Year -2.51%

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Fundamentals Fundamentals refer to the financial data that companies report on a quarterly or annual basis.

  • P/E Ratio
  • 49.9
  • PEG Ratio
  • -
  • Market Cap Cr
  • 90
  • P/B Ratio
  • 1.6
  • Average True Range
  • 3.89
  • EPS
  • -
  • Dividend Yield
  • 0
  • MACD Signal
  • -0.33
  • RSI
  • 44.61
  • MFI
  • 45.28

Financials

Technicals

EMA & SMA

Current Price
₹35.00
0 (0%)
pointer
  • Bearish Moving Average 15
  • Bullish Moving Average 1
  • 20 Day
  • ₹37.30
  • 50 Day
  • ₹38.10
  • 100 Day
  • ₹37.90
  • 200 Day
  • ₹36.60

Resistance and Support

36 Pivot Speed
  • R3 42.98
  • R2 40.99
  • R1 37.99
  • S1 33.00
  • S2 31.01
  • S3 28.01

Ratings

Master Rating

EPS Strenth

N/A

Price Strength

Buyer Demand

Group Rank

Clara Industries has an operating revenue of Rs. 35.66 Cr. on a trailing 12-month basis. An annual revenue growth of 30% is outstanding, Pre-tax margin of 17% is great, ROE of 2% is fair but needs improvement. The company is debt free and has a strong balance sheet enabling it to report stable earnings growth across business cycles. The stock from a technical standpoint is trading below to its 50DMA and close to its 200DMA. It needs to take out the 50DMA levels and stay above it to make any further meaningful move. It is currently FORMING a base in its weekly chart and is trading around 21% away from the crucial pivot point. From an O'Neil Methodology perspective, the stock has an EPS Rank of 0 which is a POOR score indicating inconsistency in earnings, a RS Rating of 34 which is POOR indicating the underperformance as compared to other stocks, Buyer Demand at E which indicates heavy supply, Group Rank of 75 indicates it belongs to a poor industry group of Containers/Packaging and a Master Score of E is the worst. Overall, the stock has poor technical strength and poor fundamentals, there are superior stocks in the current market environment.

Disclaimer: This stock analysis report is algorithmically generated for informational purposes only and should not be considered as a buy or sell recommendation.

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Corporate Actions - Bonus, Splits, Dividends

Date Purpose Remarks
2026-05-30 Audited Results (Revised) issue of equity shares of Rs. 10/- in the ratio of 2:3 @ premium of Rs. 157/-
2025-11-14 Half Yearly Results
2025-05-21 Audited Results
2025-05-01 Others Inter-alia, to consider 1. To alter AOA of the Company. 2. Proposal for Raising of Funds to augment the financial resources. 3. Capital Clause of the MOA of the Company. 4. Other business matters. issue of equity shares of Rs. 10/- in the ratio of 2:3 @ premium of Rs. 157/-
2024-11-14 Half Yearly Results
Date Purpose Remarks
2024-06-06 FINAL Rs.0.50 per share(5%)Interim Dividend
Date Purpose Remarks
2024-07-08 Bonus Rs.0.00 issue of equity shares in the ratio of 4:1 of Rs. 10/-.

Shareholding Pattern

41.02%
31.24%
20%
7.74%

FAQs

share price is ₹35 As on 21 June, 2026 | 11:00

The Market Cap of is ₹89.9 Cr As on 21 June, 2026 | 11:00

The P/E ratio of is 49.9 As on 21 June, 2026 | 11:00

The PB ratio of is 1.6 As on 21 June, 2026 | 11:00

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Q2FY23