Nifty 50
Tools & Calculators
Stocks
F&O
Mutual Funds
Sector: General Industrials
|Small Cap
DCM
₹98
₹97.00
₹100.00
₹55.00
₹136.00
Markets Today
Historical Performance
As of 10-07-2026 18:03, DCM Ltd. share price today is ₹0, with a change of ₹-100.06 (-100.00%) from the previous close of ₹100.06. The stock opened at ₹99.56 and traded between ₹97 and ₹100, with a total traded volume of 4113 shares. The company has a market capitalization of ₹186.9 Cr in the General Industrials sector. while its 52-week high and low are ₹136 and ₹55, respectively.
DCM Ltd. valuation metrics include a P/E ratio of 64.9, EPS of ₹1.55, and book value of ₹4.00. Profitability indicators show ROE of 6.19%. DCM Ltd. has reported revenue of ₹71.78 Cr and net profit of ₹2.88 Cr.
DCM Ltd. technical indicators include Day RSI at 61.6, Day MFI at 68.62, Day ADX at 41.02. Additional indicators include Commodity Channel Index (CCI) at 134 and Williams %R at -20.68. Momentum indicators show Day MACD at 2.39, Day MACD Signal Line at 2.78, DayATR at 4.94. Rate of Change indicators for DCM Ltd. include ROC125 at 8.13 and ROC21 at 7.3.
Exponential moving averages include EMA5 at ₹98.5, EMA10 at ₹98, EMA12 at ₹97.8, EMA20 at ₹96.5, EMA26 at ₹95.4, EMA50 at ₹91, EMA100 at ₹87.2, EMA200 at ₹87.9. Simple moving averages include SMA5 at ₹98.2, SMA10 at ₹98.1, SMA20 at ₹97, SMA30 at ₹95.5, SMA50 at ₹90.6, SMA100 at ₹80.7, SMA150 at ₹83.9, SMA200 at ₹86.9.
Support levels for DCM are placed at First Support ₹96.71, Second Support ₹93.35, Third Support ₹90.71. Resistance levels are seen at First Resistance ₹102.71, Second Resistance ₹105.35, Third Resistance ₹108.71. DCM Ltd. shareholding pattern shows promoter holding at 50.1%, FII holding at 0%, DII holding at 0%, public holding at 46.55%.
Indicator | Mar 2026 | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 |
|---|---|---|---|---|---|
| Total Revenue | 0.04 | 0 | 0.12 | 0.07 | 0 |
| Operating Expense | 2.06 | 2.83 | 1.33 | 1.19 | 3.03 |
| Operating Profit | -2.02 | -2.83 | -1.21 | -1.12 | -3.03 |
| Depreciation | 0.55 | 0.75 | 0.75 | 0.75 | 0.71 |
| Interest | 0.23 | 0.23 | 0.25 | 0.25 | 0.28 |
| Tax | 0 | 0 | 0 | 0 | 0 |
| Net Profit | -1.65 | -3.63 | 1.41 | -1.93 | 4.03 |
₹98.00
↗ Bullish Moving Average
16
↘ Bearish Moving Average
0
DCM Limited, with its corporate operations in New Delhi, functions as a diversified industrial and IT services company in India. The company was initially established on March 26, 1889 as Delhi Cloth & General Mills Co. Limited. DCM was founded by Lala Sri Ram and subsequently renamed DCM Limited on October 6, 1983. The company operates through multiple segments including Real Estate, Grey Iron Castings, IT Infrastructure Services, and Other segments. DCM Limited has been restructured over the years and currently comprises DCM Engineering Products, DCM Data Products, DCM Textiles, and DCM Estates. The company is engaged in the business of textiles, grey iron castings, IT infrastructure services, and real estate.
DCM share price today on NSE and BSE signifies how market participants react to the company’s operational performance across its diversified segments and the overall developments in the textiles, IT, and real estate sectors. The company’s financial health depends on production volumes of textiles and castings, raw material costs including cotton and iron, capacity utilization rates, domestic demand from manufacturing and infrastructure sectors, and the performance of its real estate and IT services segments. DCM stock price is influenced by various factors such as earnings, changes in government policies affecting textiles, real estate, and IT sectors, regulatory changes in the manufacturing industry, and global commodity price trends. In the longer run, strategies such as expanding IT services capabilities, developing real estate assets, optimizing manufacturing operations, and product portfolio diversification affect the stock market perceptions. All these factors need to be monitored closely to have an idea about the company’s stock price movements.
DCM live share price provides real-time information about the last price traded, bid and ask prices, and trading volume. These indicators represent market activity and liquidity for this small-cap diversified stock, reflecting investor response to corporate announcements, economic conditions, and sector news. Constant monitoring of the DCM live price helps in observing short-term price volatility and shows how a stock moves relative to the broader BSE SmallCap index. Furthermore, monitoring DCM stock price movements helps investors understand real-time market sentiment, price fluctuations, and trading behaviour. It allows them to evaluate short-term performance, and respond to news, quarterly results, or sector trends that may influence the company’s valuation and overall investment outlook.
DCM Limited was initially established on March 26, 1889 as Delhi Cloth & General Mills Co. Limited and was founded by Lala Sri Ram. The company was renamed DCM Limited on October 6, 1983. The DCM Group became one of India’s largest conglomerates, expanding and diversifying into manufacturing activities such as textiles, sugar, chemicals, rayon, tyre cord, fertilizers, information technology, and engineering products. The company now operates through multiple segments: Real Estate, Grey Iron Castings, IT Infrastructure Services, and Other segments. Its operations are based in India, with its head office located in New Delhi. The company was reorganized into four companies in April 1990, and over time has absorbed technologies for the manufacture of complex toolings. The company has increased its installed capacity of spindles and alloy iron/SG iron castings over the years. DCM’s Real Estates division started construction as part of massive real estate development projects. Financial performance is assessed through standard metrics such as revenue growth, operating margins, and segment performance. Market valuation indicators such as the P/E ratio are used by analysts for comparative assessment within the diversified industrial sector. Overall fundamentals are influenced by raw material availability, demand cycles in manufacturing and real estate, and input cost fluctuations.
The product portfolio is structured to serve both domestic and select industrial clients.
Revenue performance is primarily influenced by real estate demand, industrial production cycles, IT services demand, and selling price realizations in domestic markets.
The diversified industrial sector encompassing textiles, castings, IT services, and real estate is influenced by multiple demand drivers including economic activity, industrial production, infrastructure spending, and technology adoption. Demand trends are affected by government policies across different sectors, raw material price fluctuations, and global economic conditions.
The textile segment is affected by cotton price volatility and export demand, while the casting segment is linked to automotive and engineering production cycles. The IT services segment is influenced by corporate technology spending and outsourcing demand. The real estate segment depends on housing demand, commercial property development, and regulatory policies.
Companies operating across these diverse segments must manage varied cyclical patterns, cost volatilities, regulatory compliance, and competitive pressures while maintaining operational efficiency across unrelated businesses. These factors collectively influence financial performance and investor perception of firms like DCM Limited.
DCM Limited is listed on the National Stock Exchange (NSE) under the symbol DCM and on the Bombay Stock Exchange (BSE) with the scrip code 502820. DCM share price is actively traded on both exchanges. The company’s market presence is within the small-cap segment of the market. Due to its size and sector focus, DCM stock price is generally tracked by investors interested in the diversified manufacturing and industrial sector.
DCM Limited is part of several broad-based and sector-specific stock market indices, reflecting its position as a small-cap diversified company in India. While it is not included in benchmark indices like the Sensex or Nifty 50, it is a constituent of wider market indices such as the BSE SmallCap and BSE Industrials indices. DCM share price finds representation in these indices based on its market standing. DCM stock price presence in these indices helps investors track the company relative to other diversified industrial and manufacturing companies.
DCM share price on the NSE reflects its position as a diversified conglomerate with interests in real estate, grey iron castings, IT infrastructure services, and textiles. Its performance is qualitatively driven by factors such as performance of its real estate projects, production volumes of castings, growth in IT services clientele, and the ability to manage operational costs across its diverse segments. Investors compare the DCM share price movement with other diversified industrial companies to assess relative strength.
These underlying factors become visible through real market movements across different time periods. Similar trends appear during earnings-driven price changes. Broader sector strength has also supported DCM share price. Beyond operational and sector influences, corporate actions such as the company’s major expansion projects, rights issues, and strategic reorganizations have significantly affected share price movements by shaping growth expectations over its long history. This shows how strategic initiatives may trigger short-term swings, even within a regulatory environment influenced by textile policies, real estate regulations, and infrastructure spending.
While short-term movements respond to events and announcements, longer-term valuation trends are better captured by the stock’s annual high and low levels, offering context beyond daily or weekly changes. A notable peak indicates stronger performance across its diversified segments, whereas a significant low aligns with market corrections or sector volatility. DCM share price extremes reflect the impact of economic cycles, government policies across multiple sectors, and earnings visibility, providing a framework for understanding historical performance.
DCM stock price behaviour mirrors the trading patterns of a small-cap diversified industrial company within India’s corporate ecosystem. The company’s century-old legacy and diversified portfolio spanning textiles, castings, IT services, and real estate have shaped its price history. Over recent years, DCM share price has experienced periods of movement in line with overall market sentiment and sectoral rotations.
The company’s performance has closely tracked the performance of its diverse business segments. Positive momentum has appeared when segments like real estate or castings performed well. However, the company’s net profit for the most recent quarter decreased compared to the same quarter in the prior year, reflecting challenging conditions across its diverse businesses.
Despite market fluctuations, DCM shares have a long history of navigating India’s industrial evolution. The company has weathered the 90s wave of consolidation and focusing on core business areas and has restructured its operations multiple times over its history.
DCM share price has declined for several recurring reasons. A slowdown in any of its key segments such as real estate, castings, or textiles directly impacts consolidated performance and leads to selling pressure. Changes in government policy regarding real estate regulations, textile export incentives, or infrastructure spending can also cause DCM share price to fall. Moreover, increases in operational costs without matching growth in revenues compress margins, making the stock less attractive. Periods of economic slowdown affect multiple segments simultaneously, raising concerns about overall corporate health, leading to price declines. Broader market sell-offs in small-cap stocks also pull DCM share price down, regardless of the company’s individual performance.
DCM Limited is a holding in small-cap and diversified industrial sector portfolios, offering exposure to a century-old conglomerate with interests in real estate, grey iron castings, IT infrastructure services, and textiles. Its inclusion in small-cap indices underscores its importance in India’s diversified industrial landscape. The company’s long history and diversified asset base make it a consideration for long-term allocations.
DCM share price receives influence from the company’s ownership structure. DCM equity is held by a broad mix of promoters, institutional investors, and retail investors, reflecting its standing in India’s industrial sector. Promoters hold a stable majority stake, with promoter holding standing at a certain percentage of the company’s total shares. Domestic institutional investors hold a modest portion of the company’s shares. The public holds the remaining stake. This investor base, with stable promoter participation, underscores the company’s role as a holding in both domestic and focused portfolios concentrating on diversified manufacturing.
Beyond fundamentals and ownership, the stock is actively monitored in cash market segments, where trading volumes and delivery patterns reflect expectations on performance across its diverse business segments, real estate demand, and regulatory policy actions. The stock is available for trading on both major Indian exchanges, allowing investors to take positions based on their outlook for the diversified industrial sector. Market participants watch these trading indicators to gauge sentiment around quarterly results and policy announcements affecting any of its key segments.
Technical indicators provide additional insight into short-term momentum shifts in DCM stock price. While these indicators are primarily used for near-term trading decisions, they also help investors and portfolio managers understand broader market sentiment and anticipate potential volatility, especially around key events or announcements. In the short term and weekly timeframe, the stock has exhibited price movements that correlate with broader small-cap sector trends. The company’s debt levels reflect a manageable capital structure. Return on equity and the company’s book value per share serve as reference points for valuation.
Overall, DCM demonstrates a certain volatility profile compared to the broader market, with the stock generally considered to have moderate systematic risk. This makes it responsive to broader market movements and sector-specific factors across its diverse business lines.
DCM Limited sector relevance stems from its over century-long presence in Indian industry since 1889, its position as a diversified conglomerate operating across real estate, grey iron castings, IT infrastructure services, textiles, and other segments, its history as part of the DCM Group which became one of India’s largest conglomerates with activities in textiles, sugar, chemicals, rayon, tyre cord, fertilizers, information technology, and engineering products, its major real estate development projects, its alloy iron/SG iron castings facility in Ropar, Punjab, its merger of DCM Data Systems Limited and its acquisition of software business from DCM Technologies, and its restructuring into four companies, establishing it as a focused small-cap diversified industrial provider with a legacy spanning over a century. Peer comparisons with companies like DCM Shriram Industries, DCM Shriram Consolidated, and other diversified industrial firms focus on segment performance, asset quality, revenue mix, and value-added diversification rather than short-term stock moves. These benchmarks help investors assess operational scale, efficiency, and regulatory adherence. Institutional tracking of real estate demand, industrial production, and government infrastructure policies further highlights DCM positioning within India’s broader diversified industrial market.
DCM market cap highlights its position as a small-cap player within India’s diversified industrial sector. Based on recent data, the company’s market capitalization fluctuates within a range depending on the reporting period. The market cap has moved in line with investor perceptions of the company’s growth potential following its restructuring and diversification into IT services and real estate. From earlier years through more recent periods, DCM market cap showed patterns as the company evolved its business mix and focused on core areas, followed by phases of consolidation. This pattern reflects investor confidence during favourable industrial cycles, followed by contraction during challenging periods impacted by sectoral downturns and competitive pressures.
DCM earnings trajectory demonstrates the impact of its diversified operational execution. In recent fiscal years, total income showed trends supported by its various business segments. However, the company’s net profit for the most recent quarter decreased compared to the same quarter in the prior year. Profit after tax has shown patterns aligned with the performance of its real estate, casting, and IT services segments. The company’s quarterly performance has shown movement, with profit after tax showing changes from earlier quarters to later quarters. DCM earnings have faced headwinds from fluctuating raw material costs, competitive pressures across its industries, and changes in demand across its multiple segments. However, the company has a long history of adapting to changing economic conditions.
DCM EPS provides insight into its operational performance and income generation from real estate, castings, IT services, and other activities. The company reported certain levels of basic EPS in recent quarters that showed movement compared to previous quarters, indicating performance trends. The company’s basic EPS for the most recent fiscal period stood at a certain level.
DCM P/E ratio reflects how investors perceive the company’s earnings relative to its revenue streams from real estate, castings, IT services, and other segments. Based on available data, the current P/E ratio stood at a certain level. The company’s profit after tax has shown patterns from previous fiscal years to the most recent fiscal year. Quarterly performance has demonstrated movement, with profit after tax showing changes from earlier quarters to later quarters, accompanied by movement in total income on a quarter-on-quarter basis. DCM P/E ratio reflects how market sentiment evolves alongside the company’s operational performance across its diversified segments.
DCM Limited operates as a small-cap diversified industrial conglomerate with a history spanning over 135 years. DCM share price gets influenced by the performance of its real estate, castings, IT services, and textiles segments, overall economic conditions, and sector-specific policies. The company’s long legacy, diversified asset base, and its evolution over time support its market position. DCM stock price reflects operational execution across its diverse industrial segments. The ownership structure shows promoter holding with institutional and retail participation.
| Held By | Dec 2024 | Mar 2025 | Jun 2025 | Sep 2025 | Dec 2025 | Mar 2026 |
|---|---|---|---|---|---|---|
| Promoter | 48.5 | 49.6 | 49.6 | 49.8 | 49.9 | 50.1 |
| FII | 0 | 0 | 0.4 | 0.2 | 0 | 0 |
| DII | 3.4 | 3.4 | 3.4 | 3.3 | 3.4 | 3.4 |
| Public | 48.1 | 47 | 46.6 | 46.7 | 46.8 | 46.6 |
| Period | Combined Delivery Volume | NSE+BSE Traded Volume Avg | Daily Avg Delivery Volume % |
|---|---|---|---|
| Day | 24.54 K | 24.54 K | 100.00% |
| Week | 8.8 K | 8.8 K | 100.00% |
| 1 Month | 8.57 K | 8.81 K | 97.28% |
| 6 Month | 11.15 K | 15.95 K | 69.88% |
Companies with no Debt
30 Day SMA crossing over 200 Day SMA, and current price greater than open
Strong Momentum: Price above short, medium and long term moving averages
Relative Outperformance versus Industry over 1 Month
Expensive Performers (DVM)
PEG lower than Industry PEG
High Momentum Scores (Technical Scores greater than 50)
Relative Outperformance versus Industry over 1 Week
Relative Outperformance versus Industry over 1 Month
Increasing Revenue every Quarter for the past 4 Quarters
Company able to generate Net Cash - Improving Net Cash Flow for last 2 years
Book Value per share Improving for last 2 years
Companies with Zero Promoter Pledge
RSI indicating price strength
Top Gainers
High Volume, High Gain
Volume Shockers
Stocks Outperforming their Industry Price Change in the Quarter
Ex-Date | Dividend Amount | Dividend Type | Record Date | Instrument Type |
|---|---|---|---|---|
| 20 Nov, 2015 | 1.5 | INTERIM | 23 Nov, 2015 | Equity Share |
| 10 Aug, 2015 | 1.5 | FINAL | Equity Share | |
| 26 Nov, 2014 | 1.5 | INTERIM | 27 Nov, 2014 | Equity Share |
| 23 Jul, 2014 | 1.5 | FINAL | Equity Share | |
| 25 Nov, 2013 | 1.5 | INTERIM | 26 Nov, 2013 | Equity Share |
| 04 Jul, 2013 | 1.5 | FINAL | Equity Share | |
| 22 Nov, 2012 | 1.5 | INTERIM | 24 Nov, 2012 | Equity Share |
| 28 Jun, 2012 | 2.5 | FINAL | Equity Share | |
| 07 Jul, 2011 | 2.5 | FINAL | Equity Share |
Financials | ||||||
|---|---|---|---|---|---|---|
| Price (₹) | ₹76.81 | ₹13.73 | ₹143.90 | ₹74.49 | ₹298.40 | ₹294.25 |
| % Change | 1.99% | 4.33% | -0.85% | 1.39% | 0.32% | 10.00% |
| Revenue TTM (₹ Cr) | ₹451.15 | ₹15.97 | ₹1,715.28 | ₹1,249.31 | ₹579.68 | ₹341.58 |
| Net Profit TTM (₹ Cr) | ₹-14.29 | ₹-326.18 | ₹204.30 | ₹91.70 | ₹43.17 | ₹104.40 |
| PE TTM | -45.80 | -2.30 | 14.40 | 20.70 | 19.00 | 36.10 |
| 1 Year Return | 24.31 | 1216 | -5.14 | -24.26 | -46.98 | -54.99 |
| ROCE | 4.18 | -25.46 | 34.83 | 14.58 | - | - |
Oswal Pumps Ltd.
₹ 411.00
+0.20%
De Nora India Ltd.
₹ 885.00
-0.11%
DVR - Jain Irrigation Systems
₹ 23.58
+2.12%
Mamata Machinery Ltd.
₹ 378.10
-0.92%
Rossell Techsys Ltd.
₹ 1003.25
-0.74%
Diffusion Engineers Ltd.
₹ 403.10
+0.72%
Revathi Equipment India Ltd.
₹ 723.00
-2.01%
Gala Precision Engineering Ltd.
₹ 1185.00
+0.20%
JNK India Ltd.
₹ 506.85
-0.51%
Bajel Projects Ltd.
₹ 189.00
+1.79%
ideaForge Technology Ltd.
₹ 900.75
+4.99%
Uniparts India Ltd.
₹ 707.05
+3.91%
DCX Systems Ltd.
₹ 201.70
+2.54%
Ddev Plastiks Industries Ltd.
₹ 285.00
+2.85%
Avro India Ltd.
₹ 9.68
-2.71%
Atam Valves Ltd.
₹ 68.94
+0.85%
Universus Photo Imagings Ltd.
₹ 350.00
-1.81%
Prince Pipes & Fittings Ltd.
₹ 267.20
+0.34%
Prakash Pipes Ltd.
₹ 272.00
-1.04%
Aartech Solonics Ltd.
₹ 49.15
+4.53%
The Anup Engineering Ltd.
₹ 2160.00
+0.31%
Synergy Green Industries Ltd.
₹ 606.80
+2.17%
Affordable Robotic & Automation Ltd.
₹ 173.99
+2.52%
IFGL Refractories Ltd.
₹ 229.80
-1.74%
By signing up I certify terms, conditions & privacy policy