NAVAPower

NAVA LIMITED

Power Generation · ISIN INE725A01030 · BSE 513023 · NSE EQ · FV ₹1
Last price
₹547
-0.31%today
What this company does

NAVA LIMITED operates in Power Generation, part of the Power sector. It booked ₹1,212 cr of revenue in its latest quarter (Q1 FY27) and kept 22.9% of sales as profit. It is the 9th largest of 9 Power Generation companies we track, by market value.

Nava Limited is a diversified Global conglomerate with an expanding global footprint and established leadership in ferro alloys and thermal power generation. Headquartered in Hyderabad, the Company operates across India, Zambia, and Southeast Asia, reflecting its transformation into a multi-continental business group.
In the report:
73out of 100
Equitytale Health Score
Solid

Healthier than 73% of companies in Power, on all six measures of filed financials. Each measure is ranked against the 10–21 companies that reported it.

Measures financial condition, not whether to buy. Learn what this score means · How this is calculated

Price momentum
neutral
RSI (14)
42

At close. Not part of the score.

Profitability & returns75

How much profit it earns on the money it employs

Balance sheet98

How much it owes, and whether earnings cover the interest

Cash quality84

Whether reported profit actually arrives as cash

Growth & consistency47

Whether sales and profit have grown, and how steadily

Valuation33

What today's price implies, against our models or its peers

Governance & risk100

How much of the promoters' stake is pledged, and how much they hold · highest in its sector on what we could measure

Is this company doing well?
not investment advice
Strengths
Makes a profit
Strong 23% net margin
Promoters hold 50%
No promoter shares pledged
Turns profit into real cash
Watch-outs
! Profit down 10% vs last year

What if I invest in NAVA?

Set a growth rate and see what a monthly SIP would add up to. Your assumption, our arithmetic.

You would put in
₹12.00 lakh
120 instalments
At 0% a year, it would become
₹12.00 lakh

The slider starts at 0%, taken from this company's own free-cash-flow trend. That is history, not a forecast — this is your assumption, and the figure above is arithmetic on it. Returns are not steady year to year, and a real holding would not grow in a straight line. We do not publish price targets or predict returns.

Key ratios · latest quarter + price
₹547 -0.31%
latest close · 2026-09-17
52-wk low ₹53442 sessions so far52-wk high ₹600
Is it cheap or expensive?
What you pay for the profits, book value and cash flow. Higher isn't automatically worse — it can signal faster growth.
P/E ratio13.9Low
LowAverageHigh
P/B ratio1.77Moderate
Below bookModerateHigh
EV / EBITDA6.7Low
LowAverageHigh
How good is the business?
How much profit it earns from its money and its sales.
Return on equity12.7%Fair
WeakFairStrong ▸15%
Return on capital14.2%Fair
WeakFairStrong
Net margin22.9%Strong
ThinDecentStrong
EBITDA margin48.1%Healthy
ThinDecentHealthy
Is it financially safe?
How much it owes, and whether it can comfortably cover it.
Debt to equity0.21Comfortable
LowModerateHigh ▸1
Interest cover193.5×Strong
RiskyOkayStrong ▸5×
Current ratio7.62Ample
Tight ◂1HealthyAmple
More figures
Market cap
₹15,490 cr
Book value
₹309
EPS
₹9.81
latest quarter
Net debt
₹122 cr
owes more than its cash
Enterprise value
₹15,612 cr
EBITDA
₹2,334 cr
annualised
EBIT
₹1,929 cr
annualised
Operating margin
39.8%
Return on assets
7.7%
Earnings yield
7.18%
P/S
3.20
Sales / share
₹171.0
Tax rate
30.5%
Face value
₹1
Shares
28.3 cr
Working capital
₹4,972 cr
Current assets
₹5,723 cr
Current liabilities
₹751 cr
Delivery %
51.2%
Strong / safeFairWeak / riskyValuation — a level, not good/badBands are general rules of thumb, not advice.

P/E, ROE, ROCE and margins are annualised from the latest quarter; per-share and balance-sheet ratios use the most recent balance sheet on file · prices as of 2026-09-17.

Worth vs price · from the FY 2025 report & filings
not investment advice
Looks overpricedHigh confidence
Median of 3 models ₹350 vs market price ₹547 — price is 56% above it
Safety cushion-56.2%(target ≥ +20%)
Models span ₹321₹460, midpoint ₹350
Model ₹350
Price ₹547
Cheap sideExpensive side

An educational model from the company's own filings, every assumption shown — not investment advice or a price target. Prices can stay above or below any model for years.

P&L · Q1 FY27 (consolidated)
Revenue from Operations₹1,212 cr
Other Income₹57 cr
Total Income₹1,269 cr
Cost of Materials₹314 cr
Purchases of Stock-in-Trade₹0 cr
Inventory Change (±)₹29 cr
Employee Benefit Expense₹94 cr
Finance Costs₹2 cr
Depreciation & Amortisation₹101 cr
Other Expenses₹249 cr
Total Expenses₹789 cr
Profit before Tax₹480 cr
Tax Expense₹146 cr
Net Profit₹333 cr
Net margin on total income26.2%
Where the money goes · Q1 FY27
% of total income
Materials + stock-in-trade₹343 cr27.0%
Employee benefit expense₹94 cr7.4%
Finance costs₹2 cr0.2%
Depreciation & amortisation₹101 cr8.0%
Other expenses₹249 cr19.6%
Tax expense₹146 cr11.5%
Profit for the period₹333 cr26.2%
Total income ₹1,269 cradds up to ₹100 ✓
Quarterly results · consolidated (₹ cr)
MetricQ3 FY26Q4 FY26Q1 FY27
Revenue991 cr1,143 cr1,212 cr
Total income1,062 cr1,195 cr1,269 cr
Expenses665 cr870 cr789 cr
Profit before tax397 cr325 cr480 cr
Tax70 cr189 cr146 cr
Net profit (owners' share)222 cr127 cr277 cr
Net margin (owners' share, on revenue)22.4%11.1%22.9%
EPS (₹)7.864.509.81
YoY (latest quarter): total income +2.9% · net profit -10.0%
Balance sheet & cash flow · as of Mar 2026
Low debt
Total assets
₹14,372 cr
Shareholder equity
₹8,745 cr
parent shareholders
Total debt
₹2,221 cr
Cash
₹2,099 cr
Cash flow · H1 FY26
Operating
₹1,574 cr
Investing
₹-1,216 cr
Financing
₹334 cr
Peer comparison
Power Generation · by market value
CompanyPriceMarket capP/E
NTPC Limited₹330₹3.20 L cr11.9
Adani Green Energy Limited₹1,274₹2.10 L cr63.1
JSW Energy Limited₹512₹93,821 cr48.5
NHPC Limited₹75₹75,539 cr17.2
NTPC Green Energy Limited₹88₹73,798 cr60.8
NLC India Limited₹262₹36,372 cr18.8
Acme Solar Holdings Limited₹411₹29,022 cr27.7
SJVN Limited₹65₹25,445 cr28.4
NAVA LIMITEDthis company₹547₹15,490 cr13.9
Same industry · latest reported numbers · not a recommendation.
Corporate actions
Dividend yield
1.56%
trailing 12 months
Dividend / share (TTM)
₹8.5
Last dividend
₹5.5
ex 7 Aug 2026
ActionDetailEx-date
Dividend₹5.5 / share7 Aug 2026
Dividend₹3 / share14 Nov 2025
Dividend₹6 / share7 Aug 2025
BuybackBuy Back of Shares28 Feb 2025
Stock splitStock Split From Rs.2/- to Rs.1/-20 Jan 2025
Dividend₹4 / share30 Aug 2024
Who owns it · 2026-06-30
No pledge
Promoter
50.0%
FII / Foreign
10.2%
DII / Domestic
0.6%
Retail / others
39.2%
Promoter stake up 1.2% over the last 12 quarters.
Smart-money activity
Insider trades
BoughtAV Dwellings Private Limited · Promoter Group15,000 · ₹82.8 L15 Sep 26
BoughtAV Dwellings Private Limited · Promoter Group10,000 · ₹55.4 L10 Sep 26
BoughtNikhil Devineni · Promoter Group6.85 L10 Sep 26
Bulk / block deals
short · NSE29 Sep 26
short · NSE15224 Jul 26
short · NSE15017 Jul 26
Stake changes
SoldAshwin Devineni · promoter→ 0.00% · 68.91 L16 Jun 25
BoughtRamaa Devineni · promoter→ 2.80% · 68.91 L16 Jun 25
BoughtAshok Devineni · promoter→ 48.89%25 Mar 25
What shareholders were asked to approve
2 proposals passed only on promoter votes

A company cannot decide everything on its own. Things like a top executive’s pay, issuing new shares, or re-appointing a director have to be put to the people who own the company, and they vote — one vote per share. So whoever owns the most shares has the most say.

Yearly shareholder meeting · 14 Aug 2026
See the official result
1
Adoption of financial statements
Backed by 100% of shareholders other than promotersneeded 50%
5.90 cr votes for, 2,384 against · 0% of mutual funds and other big investors said no
2
Declaration of final dividend on the equity shares
Backed by 100% of shareholders other than promotersneeded 50%
5.95 cr votes for, 10 against · 0% of mutual funds and other big investors said no
3
Director liable to retire by rotation - Mr. P. Trivikrama Prasad
Promoters had a personal stake in this
Backed by 95% of shareholders other than promotersneeded 50%
5.56 cr votes for, 27.24 L against · 10% of mutual funds and other big investors said no
4
Director liable to retire by rotation - Mr. Nikhil Devineni
Promoters had a personal stake in this
Backed by 94% of shareholders other than promotersneeded 50%
5.59 cr votes for, 36.27 L against · 13% of mutual funds and other big investors said no

Every vote count above is taken from the result the company filed with the stock exchange, certified by an independent counter. To work out what would have happened without the promoters, we simply remove their votes and re-apply the same legal bar the proposal had to clear. Nothing here is an estimate or an opinion.

Who controls this company, and what it pays them

Most Indian companies are controlled by a family or group — the promoters. The exchange requires them to be listed by name, including members who own no shares at all, and requires the company to disclose any business it does with them.

The promoter group — 18 named members
owning 50.0% between them · as of 2026-06-30
NAV DEVELOPERS LIMITED11.36%
AN INVESTMENTS PRIVATE LIMITED6.69%
SRT INVESTMENTS PVT LTD5.49%
RAJ FAMILY TRUST (REPRESENTED BY D ASHOK, MANAGING TRUSTEE AND P RAJASHREE TRUSTEE)5.00%
RAJASHREE PINNAMANENI4.94%
RAMMA DEVINENI2.83%
DEVINENI BHAKTAPRIYA1.94%
TRIVIKRAMA PRASAD PINNAMANENI1.94%

Names and holdings from the company’s shareholding pattern filed with the exchange; transactions from the related-party note in its annual report. Every figure is as filed — these are legal, disclosed dealings, and what to make of them is your call.

How the stock has moved · adjusted for splits & bonuses
Data from primary exchange filings · analysis tool, not investment advice.