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Sector: Realty

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Small Cap

Ajmera Realty Share Price

Ajmera Realty & Infra India Ltd.

129.99

10.04(8.37%)
25th May 2026 | 3:28 PM
NSE : AJMERA
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Ajmera Realty Performance

Price Movement

₹129.99

₹118.99

₹141.00

Today's LowToday's High

1 Year Performance

₹129.99

₹98.03

₹221.40

52 Week Low52 Week High

Markets Today

High₹141.00
Low₹118.99
Open at₹122.15
Prev Close₹119.95
Volumes68.53 L
Avg Price₹134.85
Lower Circuit₹95.96
Upper Circuit₹143.94

Historical Performance

3M High₹141.00
3M Low₹98.03
1 Yr High₹221.40
1 Yr Low₹98.03
3 Yr High₹244.98
3 Yr Low₹64.40
5 Yr High₹244.98
5 Yr Low₹25.86

Ajmera Realty Fundamentals

Market Cap
High in industry
2,585.30 Cr.
PE Ratio (TTM)
Above industry Median
17.30
Dividend Yield
Below industry Median
0.70
Net Profit TTM
18.9% incr over last year
149.79
Net Profit Growth
18.9% incr over last year
149.79
PEG Ratio
Low in industry
0.90
ROE
0% decr over last year
10.43
Operating Revenue TTM
1,090.43
Operating Revenue Growth
47.8% incr over last year
Book Value
Above industry Median
2
MFI
MFI is mid-range
53.91
RSI
RSI is mid-range
46.62
EPS (TTM)
34.01
Debt to Equity
0.56
Face Value
2
Operating Profit Margin Qtr.
30.64
Operating Profit Qtr.
107.09
Net Profit Qtr.
55.60
Operating Revenue Qtr.
431.13
PB Ratio
2

Ajmera Realty Financials

*All values are in Rs. Cr
Loading chart...
Indicator
Mar 2026
Dec 2025
Sep 2025
Jun 2025
Mar 2025
Total Revenue313.76100.85122.05162.75118
Operating Expense228.6360.0776.4898.3973.56
Operating Profit85.1340.7845.5764.3644.44
Depreciation0.600.610.560.490.49
Interest15.8210.3510.5515.918.63
Tax24.029.929.4714.798.32
Net Profit46.4620.8226.1933.6228.61

AJMERA Stock Recommendation by HDFC

View Call ↗

Research Type

Equity , Long Term

Buy Range

204 - ₹210

Target Price

245.40

Stop Loss

-

Target Date

13 Jul 26

Potential Returns

20.29 %

View Call ↗

Ajmera Realty Technicals

Ajmera Realty & Infra India Ltd. EMA & SMA

129.99

10.04 (8.37%)

Bullish Moving Average

11

Bearish Moving Average

5

Day EMA5 ₹120.7
Day EMA10 ₹122
Day EMA12 ₹122.3
Day EMA20 ₹122.6
Day EMA26 ₹122.7
Day EMA50 ₹125.6
Day EMA100 ₹137.7
Day EMA200 ₹153.3

Ajmera Realty Support and Resistance

Resistance

First Resistance₹121.56
Second Resistance₹123.17
Third Resistance₹124.85

Support

First Support₹118.27
Second Support₹116.59
Third Support₹114.98

Technical Indicators

Day RSI46.62
Day MFI53.91
Day ADX11.79
Day Commodity Channel Index-105.00
William-77.44
Day MACD-0.42
Day MACD Signal Line0.41
Day ATR6.58
Day ROC125-40.98
Day ROC21-4.38

About Ajmera Realty & Infra India Limited Share Price

Ajmera Realty & Infra India Limited is a prominent real estate development company in India, engaged in the construction and development of residential and commercial properties. The company was founded by Chhotalal S. Ajmera on March 18, 1985, and is headquartered in Mumbai, India. The Ajmera Realty share price today on the NSE and BSE is a reflection of how market participants respond to a company’s performance and broader business developments within its industry. It captures the sentiment of the investors based on financial results, operational updates, macroeconomic factors, and trends specific to sectors. Movements in the share price͏ reveal how the market evaluates the company’s current position and its future prospects, making ͏it a key indicator of market perception across various industries.

Market sentiment around the Ajmera Realty stock price often mirrors shifts in housing demand, interest rate cycles, and investor views on the real estate sector’s growth prospects. Factors such as the pace of new project launches, sales velocity, regulatory changes like RERA, and government policies on affordable housing influence near-term market valuation and medium-term earnings forecasts. All these factors must be closely monitored to have an idea about the Ajmera Realty stock price movements.

Ajmera Realty live share price provides real-time information about the last price traded, bid price, ask price, and volume traded. These indicators represent trading activity and liquidity and the reaction of investors to corporate announcements, quarterly results, and sector news. Constant monitoring of Ajmera Realty live price helps observe short-term price fluctuations and understand how the stock is moving in relation to the broader market.

Furthermore, monitoring the Ajmera Realty price today helps investors understand real-time market sentiment, price volatility, and trading behaviour. It allows market participants to evaluate short-term performance, identify possible entry or exit points, and respond to news, quarterly results or sector trends that may affect the company’s valuation and overall investment outlook.

Ajmera Realty & Infra India Limited Company Fundamentals

a. Company Background

Ajmera Realty & Infra India Limited was incorporated in 1985. The company’s registered office is located in Mumbai, Maharashtra, India. The company was founded by Chhotalal S. Ajmera on March 18, 1985. Ajmera Realty’s primary activity involves the development and construction of residential and commercial real estate properties across India, with a focus on premium developments in luxury and mid-luxury projects in the residential segment. It initially focused on Mumbai’s real estate market before gradually expanding to other regions. Over the years, Ajmera Realty has significantly expanded its project portfolio, launching four new projects in FY26 aggregating an estimated gross development value (GDV) of ₹3,088 crore. The company operates in a competitive environment, with its projects catering to homebuyers and commercial investors across PAN India presence along with an international presence. The company has a huge development potential available on its balance land parcel at Ajmera I-Land, Bhakti Park, Wadala, and Central Mumbai. Ajmera Realty has consistently focused on enhancing its project pipeline and execution capabilities to meet the growing demand for quality real estate.

b. Product Lines

  • Residential apartments and housing complexes in luxury and mid-luxury segments
  • Commercial office spaces and retail properties
  • Premium residential developments including Ajmera Manhattan 2, 33Fifteen, Ajmera Solis, and Ajmera Vann
  • Land development and township projects including Ajmera I-Land, Bhakti Park, Wadala
  • Redevelopment projects in prime Mumbai locations
  • Affordable housing projects under government schemes
  • Mixed-use developments combining residential and commercial spaces

c. Company Revenue Model

  • Primary revenue from sale of residential apartments and commercial spaces to individual buyers and institutional investors
  • Volume-driven revenue based on number of units sold and average realization per square foot
  • Project completion-based revenue recognition as per percentage of completion method
  • Revenue from new project launches and subsequent phases of existing projects
  • Pre-sales and collections contributing to revenue visibility and cash flow generation
  • Asset-right strategy focused on development potential from balance land parcels
  • Seasonal variations in demand for residential properties affecting revenue patterns throughout the year, with Q4 typically being strong
  • Government policy changes on real estate regulations and RERA compliance influencing revenue stability

d. Geographic Presence

  • Strong presence across Mumbai Metropolitan Region (MMR) including key locations like Wadala, Bhakti Park, Santacruz, and other prime areas
  • PAN India presence along with an international presence through project portfolio
  • Registered office and headquarters located in Santacruz, Mumbai
  • Huge development potential available on balance land parcel at Ajmera I-Land, Bhakti Park, Wadala, and Central Mumbai
  • Focus on expanding into new micro-markets within MMR and other metropolitan cities
  • Digital platform enabling customer acquisition across domestic and international markets
  • Operations primarily concentrated in Mumbai region with growing footprint in other metropolitan areas
  • Strategic expansion through new project launches across prime locations

e. Key Milestones

  • 1985: Incorporated as Ajmera Realty & Infra India Limited on March 18
  • 1985: Founded by Chhotalal S. Ajmera
  • 2024: Stock reached all-time high of ₹882.40 on BSE on April 24, 2024
  • 2025: Achieved strong operational performance with annual pre-sales growth
  • 2026: Launched four new projects aggregating estimated GDV of ₹3,088 crore in FY26
  • 2026: Achieved highest-ever annual pre-sales of ₹1,701 crore in FY26, a 57% YoY increase
  • 2026: Reported record annual collections of ₹1,103 crore in FY26, up 71% YoY

f. Industry Perspective

Ajmera Realty & Infra India Limited operates in the real estate development industry, specifically within the residential and commercial property segment. Globally, the real estate market was valued at approximately USD 4.2 trillion in 2025 and is projected to grow at a CAGR of approximately 5-6% from 2025 to 2030, driven by urbanization and rising disposable incomes. In India, the real estate sector is poised for substantial growth as the nation urbanizes rapidly. According to industry reports, the Indian real estate market is expected to reach USD 1 trillion by 2030, growing at a CAGR of 12-15%. The residential segment accounts for approximately 80% of the market, with luxury and mid-luxury segments growing at 15-20% annually. The government’s focus on affordable housing and infrastructure development, including the Pradhan Mantri Awas Yojana (PMAY), has created significant opportunities. The real estate regulatory authority (RERA) has improved transparency and buyer confidence. Key challenges include rising interest rates, input cost inflation (cement, steel, labour), and regulatory compliance costs. The Mumbai Metropolitan Region (MMR) remains one of India’s largest real estate markets, accounting for approximately 20-25% of the country’s total real estate activity.

Ajmera Realty & Infra India Limited Stock Market Presence: Listings & Index Representation

Ajmera Realty is actively traded on India’s principal equity markets, with its shares listed on the National Stock Exchange of India (NSE) under the symbol AJMERA and on the Bombay Stock Exchange (BSE) with the scrip code 513349. Its listing on both exchanges ensures that the Ajmera Realty price is accessible to a wide investor base, encompassing both retail and institutional market participants. The company has been listed on stock exchanges for several decades. The company forms part of several benchmark indices that represent broad market segments. Ajmera Realty is included in indices such as BSE 500, BSE AllCap, BSE SmallCap, BSE Realty, and Nifty 500 on the NSE. Being represented in multiple indices enhances the visibility and liquidity of the Ajmera Realty stock price, as index tracking funds and exchange traded strategies often adjust allocations in line with constituent revisions. It also allows investors to benchmark the company’s stock performance relative to broader market trends and peer groups, facilitating cross sectional comparisons within India’s real estate development landscape. The inclusion of Ajmera Realty in these indices reflects its market capitalisation and trading depth, which are key factors market participants consider when evaluating long term investment prospects and the responsiveness of the stock price to corporate and industry developments.

Ajmera Realty & Infra India Limited Stock Performance and Share Price History

The Ajmera Realty price has exhibited significant volatility over the past decade, shaped by the company’s performance in the real estate sector and broader industry cycles. The Ajmera Realty share price recorded a negative total return of approximately 46.09% over the last 1 year (including dividends), underperforming broader market indices and reflecting near-term headwinds including interest rate hikes and demand moderation. The Ajmera Realty share price delivered a 10-year total return of 14.6% (price return) and a 10-year CAGR of 15.09%, demonstrating moderate long-term wealth creation despite recent underperformance. The Ajmera Realty share price reached a 52-week high of ₹221.40 and a 52-week low of ₹98.03, indicating a wide trading range and substantial price fluctuations of approximately ₹123 from peak to trough. The Ajmera Realty share price recorded a strong rally in 2024, delivering a substantial positive annual return of 140.7%, while the subsequent period has seen the Ajmera Realty stock price correct significantly from its peak levels. The Ajmera Realty share price has shown a 1-month return of approximately -9.6% to -15.6% and a 6-month return of -27.28% as of April 2026, indicating recent consolidation.

The Ajmera Realty stock price has been particularly responsive to quarterly earnings releases and corporate announcements. When the company reported record pre-sales of ₹1,701 crore in FY26 (a 57% YoY increase) and collections rising 71% to ₹1,103 crore, the Ajmera Realty stock price showed a positive reaction, rallying 4.96% to ₹127.28. The Ajmera Realty share price has shown a pattern of positive momentum when the company announced new project launches and strong pre-sales numbers, while periods of earnings moderation or concerns over interest rates have contributed to consolidation in the Ajmera Realty price. Corporate developments, including strategic announcements such as the launch of four new projects (Ajmera Manhattan 2, 33Fifteen, Ajmera Solis, and Ajmera Vann) with combined estimated GDV of ₹3,088 crore, have also influenced short-term fluctuations in the Ajmera Realty share price. The Ajmera Realty share price has shown a 5-year total return of 36.3% and a 3-year return of 23.6%. The Ajmera Realty share price reached its 52-week high of ₹221.40 before declining to its 52-week low of ₹98.03, reflecting the volatility inherent in the real estate space. The Ajmera Realty share price has shown a year-to-date return of approximately -42% to -43.4% as of April 2026, indicating continued pressure in the current fiscal year. Comprehending these patterns in the Ajmera Realty share price is instrumental for investors seeking to contextualise long term performance trends vis à vis short term price dynamics, as the Ajmera Realty stock price movements illustrate how industry fundamentals, interest rate cycles, and investor expectations converge in market pricing.

The Ajmera Realty share price has shown distinct seasonal patterns over the past decade. In terms of annual performance, the Ajmera Realty share price delivered its strongest annual return of 140.7% in 2024, followed by a positive return of 99.6% in 2021, 42.0% in 2023, 15.5% in 2020, and 10.3% in 2022. The stock recorded negative annual returns in 2019 (-31.5%), 2025 (-15.0%), and 2026 year-to-date. The Ajmera Realty price has demonstrated that the stock tends to perform better in periods of strong housing demand and favourable interest rate environment, while underperforming during phases of rising interest rates and regulatory uncertainty.

Ajmera Realty & Infra India Limited Investor Relevance and Role in Portfolio

Ajmera Realty holds a significant position for portfolio investors who seek exposure to India’s real estate sector with a focus on the Mumbai Metropolitan Region. The company’s asset-right strategy and huge development potential on balance land parcels at prime locations aligns it with investment strategies that value land banks and project execution capabilities. The Ajmera Realty share price often mirrors how these themes resonate with investor portfolios, whereby both thematic and sector specific funds monitor pre-sales numbers, collection growth, and new project launch metrics when evaluating allocation decisions.

Institutional stakeholders play a significant role in Ajmera Realty’s ownership profile, with notable long term investment entities such as Chhotalal S. Ajmera Estate (promoter holding 5.78%), Fahrenheit Fun And Games Private Limited (4.00%), Authum Investment & Infrastructure Limited, Asset Management Arm (1.93%), and other key shareholders identified in institutional holdings data. Mutual fund holders of Ajmera Realty include UTI Mutual Fund among others. As of December 2025, promoter holding stands at 68.2%, Mutual Funds hold 0.00%, Institutional Investors hold 1.74%, Domestic Institutional Investors hold 1.21%, and Foreign Institutional Investors hold 0.53%. These investors represent a blend of domestic and institutional perspectives that contribute to the stock’s market liquidity and visibility within broader investment frameworks.

The beta analysis of Ajmera Realty across multiple time periods highlights its changing volatility in relation to the overall market. Based on data, the long-term beta (5-year) stands at 0.42, indicating that the stock is significantly less volatile than the broader market over an extended period. In short-term analysis, beta values over the one-year range of 0.71 to 1.53 show varying sensitivity to market fluctuations, with one source reporting beta of 1.53 indicating higher volatility and another reporting beta of 0.71 indicating lower volatility. Weekly volatility of the stock is approximately 7%, which has been stable over the past year. The stock’s price volatility is 2.49% according to recent data. The average weekly movement of Ajmera Realty stock is approximately 7%, compared to the real estate industry average of 6% and the market average of 5-6%. The stock’s beta coefficient of 0.71 on some sources suggests that it is less volatile than the market, while other sources indicate a beta of 1.53 suggesting higher volatility. This discrepancy reflects the stock’s changing sensitivity to market movements across different measurement periods. The Ajmera Realty share price has shown periods of heightened responsiveness to sector-specific news and quarterly earnings releases. The Ajmera Realty stock price’s beta reflects that the company’s established land bank and asset-right strategy may provide some stability, though the real estate sector remains sensitive to interest rate fluctuations and regulatory changes.

Ajmera Realty & Infra India Limited Sectoral Relevance and Peer Positioning

The sector relevance of Ajmera Realty is anchored in its role within the broader Indian real estate development industry, where it competes with other diversified real estate companies. As part of this industry, the company’s strategic positioning connects residential and commercial development that serves homebuyers and investors across India’s property market. Competitors in the real estate development segment include companies such as DLF Limited, Lodha Developers Limited, Prestige Estates Projects Limited, The Phoenix Mills Limited, Sunteck Realty Limited, Godrej Properties Limited, Oberoi Realty Limited, Macrotech Developers Limited (Lodha), and Sobha Limited. Firms with parallels in either project portfolio scale or land bank size are often referenced when evaluating relative performance and operational positioning within the sector.

In valuation terms, factors like the Ajmera Realty P/E ratio have shown variations over different periods. The current P/E ratio of Ajmera Realty stands at approximately 16.8 to 22.72 times, representing a discount to its peers’ median range of 30.17 to 32.41 times. The Ajmera Realty P/E ratio has shown fluctuations over the past several years, with the ratio at 17.64, 28.68, 13.82, 30.14, and 31.74 in various periods, reflecting changing investor perceptions of the company’s earnings potential.

Similarly, the Ajmera Realty EPS narrative has shown variation according to how operational performance aligns with industry cycles and project execution. Structural gains from new project launches and strong pre-sales supported directional improvement in earnings per share during favourable conditions, while cyclical headwinds from rising interest rates and construction cost inflation have moderated EPS momentum. Ajmera Realty earnings have shown a trajectory that responded to both pre-sales growth and margin pressures over the analysed period. Ajmera Realty market cap has fluctuated in line with investor perceptions of the company’s growth potential in a competitive and evolving real estate market.

Over the last five years (FY2020 to FY2025), the market capitalisation of Ajmera Realty has followed a pattern of growth followed by moderation. The company’s market cap showed an increasing trend from FY2020 to FY2024, reflecting strong investor confidence during the real estate upcycle. The market cap increased from lower levels in FY2020 to approximately ₹2,845 crore in recent periods, with market cap growth rates of -30.43%, 37.75%, 162.04%, -15.48%, 178.51%, and 83.74% in various years. According to data, market cap stood at ₹2,840 crore as of February 2026, with a 5-year total return of 494.89% according to peer comparison data. The current market cap is approximately ₹2,144 crore to ₹2,845 crore as of April 2026. This decrease from peak levels mirrors the correction in the Ajmera Realty share price and the broader underperformance of the real estate sector relative to broader market indices.

The earnings history of Ajmera Realty over the past five years has been characterised by a period of growth followed by recent moderation. Net income showed a generally increasing trend, with reported net profit rising from lower levels to ₹167.08 crore PBT in recent periods. For the trailing twelve months, net profit stands at approximately ₹119 crore to ₹122.8 crore. The company reported net profit of ₹30.37 crore in its last quarter. For Q3 FY26, consolidated net profit declined 24.6% to ₹25.54 crore on 5.8% increase in revenue from operations to ₹181.75 crore over Q3 FY25. The 10-year aggregate net profit stands at ₹685.08 crore. This earnings performance reflects the impact of project execution, pre-sales growth, and operational efficiency on the company’s profitability.

The Earnings Per Share (EPS) history for Ajmera Realty has shown significant variation over the past decade. The diluted EPS growth rate has shown variation, with EPS at ₹6.07 TTM, ₹32 in some periods, and ₹27.71 in others. According to data, EPS was ₹10.42 at some periods, ₹17.64 at others, ₹27.71, ₹10.85, and ₹27.53 in various years. Over a ten-year period, the company demonstrated mixed EPS performance, with average earnings per share growth of approximately 10-15% per year in recent years. The current TTM EPS stands at approximately ₹6.07.

The Price-to-Earnings (P/E) ratio history of Ajmera Realty has shown fluctuations over the ten-year period. At the end of recent fiscal years, the P/E ratio varied, with 2024 at 26.47, 2023 at 25.01, 2022 at 13.68, 2021 at 25.59, 2020 at 13.82, 2019 at 6.94, and 2018 at 8.98. The mean historical P/E ratio over the last ten years has been around 17-20 times. The current P/E ratio stands at a discount to the industry peer median of 30.17-32.41 times, reflecting that investor expectations are adjusting to near-term earnings headwinds. The Ajmera Realty share price has been influenced by these valuation metrics. The Ajmera Realty stock price continues to be evaluated in the context of its earnings potential and market position.

Summary

Ajmera Realty is a leading real estate development company in India listed on both the NSE and BSE, where the Ajmera Realty share price reflects housing demand cycles, interest rate movements, and project execution within the real estate sector. Its representation in multiple stock indices supports market visibility, while investor interest is shaped by earnings trends, valuation narratives, and broader urban development themes. Within the sector, the company’s competitive context and earnings dynamics provide key perspectives on its role in India’s real estate market.

Ajmera Realty Shareholding Pattern

Held ByDec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoter68.268.268.268.268.268.2
FII10.60.50.80.50.8
DII1.72.41.71.21.21.1
Public2928.829.629.83029.9

Ajmera Realty Delivery And Volume

PeriodCombined Delivery VolumeNSE+BSE Traded Volume AvgDaily Avg Delivery Volume %
Day37.99 K1.12 L34.05%
Week1.27 L2.83 L45.05%
1 Month1.74 L3.96 L44.05%
6 Month1.59 L3.19 L49.94%

Ajmera Realty SWOT Analysis

Strengths14
Weakness13
Opportunity2
Threats0

Positive Breakout Third Resistance ( LTP > R3)

Best results last week in YoY net profit and revenue growth

Annual Profit Growth higher than Sector Profit Growth

PEG lower than Industry PEG

Good Aggregate Candlestick Strength (total bullish - bearish candlesticks)

Effectively using its capital to generate profit - RoCE improving in last 2 years

Efficient in managing Assets to generate Profits - ROA improving since last 2 year

Companies with reducing Debt

Annual Net Profits improving for last 2 years

Book Value per share Improving for last 2 years

High Volume, High Gain

Top Gainers

High Volume, High Gain

Volume Shockers

Ajmera Realty Corporate Action

Ex-Date
Dividend Amount
Dividend Type
Record Date
Instrument Type
02 Sep, 20254.5FINAL02 Sep, 2025Equity Share
02 Aug, 20244FINAL02 Aug, 2024Equity Share
04 Aug, 20233FINAL04 Aug, 2023Equity Share
11 Aug, 20222.25FINAL12 Aug, 2022Equity Share
08 Sep, 20211.4FINALEquity Share
24 Sep, 20201.4FINALEquity Share
24 Sep, 20193.3FINALEquity Share
14 Sep, 20183.3FINALEquity Share
21 Sep, 20173FINALEquity Share
18 Aug, 20160.8FINALEquity Share

Ajmera Realty Stock Comparison

Financials
Price (₹)₹105₹613.15₹69.96₹118.86₹46₹221.50
% Change-0.35%9.99%0.14%5.04%0.99%2.98%
Revenue TTM (₹ Cr)-₹2,985.14-₹751.27₹23.30₹593.56
Net Profit TTM (₹ Cr)-₹304.59-₹148.11₹28.82₹97.82
PE TTM-13.40-14.9074.1011.00
1 Year Return4.98-41-20.97-31.33-13.26-27.9
ROCE-20.370.1822.11-16.02

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