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Sector: Realty

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Small Cap

Grovy Share Price

GROVY

48.61

0.49(1.02%)
10th Jul 2026 | 3:11 PM
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Grovy Performance

Price Movement

N/A

₹48.20

₹51.88

Today's LowToday's High

1 Year Performance

Data is not available

Markets Today

High₹51.88
Low₹48.20
Open at₹48.21
Prev Close₹48.12
Volumes2.18 K
Avg Price₹49.81
Lower Circuit₹39.36
Upper Circuit₹59.02

Historical Performance

3M High₹58.99
3M Low₹32.66
1 Yr High₹58.99
1 Yr Low₹32.00
3 Yr High₹98.20
3 Yr Low₹18.23
5 Yr High₹98.20
5 Yr Low₹8.66

Summary

As of 10-07-2026 20:02, Grovy India Ltd. share price today is ₹0, with a change of ₹-48.12 (-100.00%) from the previous close of ₹48.12. The stock opened at ₹48.21 and traded between ₹48.2 and ₹51.88, with a total traded volume of 2184 shares. The company has a market capitalization of ₹64.2 Cr in the Realty sector. while its 52-week high and low are ₹58.99 and ₹32, respectively.

Grovy India Ltd. valuation metrics include a P/E ratio of 22.1, and book value of ₹2.80. Profitability indicators show ROE of 12.57% along with a dividend yield of 0.4%. Grovy India Ltd. has reported revenue of ₹33.2 Cr and net profit of ₹2.9 Cr.

Grovy India Ltd. technical indicators include Day RSI at 50.58, Day MFI at 39.75, Day ADX at 12.51. Additional indicators include Commodity Channel Index (CCI) at -15.7 and Williams %R at -82.22. Momentum indicators show Day MACD at 1.43, Day MACD Signal Line at 1.97, DayATR at 4.24. Rate of Change indicators for Grovy India Ltd. include ROC125 at 5.2 and ROC21 at 13.22.

Exponential moving averages include EMA5 at ₹49.1, EMA10 at ₹49.5, EMA12 at ₹49.4, EMA20 at ₹48.7, EMA26 at ₹48, EMA50 at ₹45.8, EMA100 at ₹44, EMA200 at ₹43.6. Simple moving averages include SMA5 at ₹49.6, SMA10 at ₹49.8, SMA20 at ₹49.4, SMA30 at ₹47, SMA50 at ₹44.8, SMA100 at ₹42.1, SMA150 at ₹43.3, SMA200 at ₹42.4.

Support levels for Grovy are placed at First Support ₹47.48, Second Support ₹46.83, Third Support ₹45.57. Resistance levels are seen at First Resistance ₹49.39, Second Resistance ₹50.65, Third Resistance ₹51.30. Grovy India Ltd. shareholding pattern shows promoter holding at 73%, FII holding at 0%, DII holding at 0%, public holding at 27%.

Grovy Fundamentals

Market Cap
Below industry Median
64.20 Cr.
PE Ratio (TTM)
Above industry Median
22.10
Dividend Yield
Below industry Median
0.40
Net Profit TTM
61.1% incr over last year
2.90
Net Profit Growth
61.1% incr over last year
2.90
PEG Ratio
Above industry Median
0.40
ROE
43.2% incr over last year
12.57
Operating Revenue TTM
33.20
Operating Revenue Growth
30.6% incr over last year
Book Value
Above industry Median
2.80
MFI
MFI is mid-range
39.75
RSI
RSI is mid-range
50.58
EPS (TTM)
-
Debt to Equity
-
Face Value
-
Operating Profit Margin Qtr.
-
Operating Profit Qtr.
-
Net Profit Qtr.
-
Operating Revenue Qtr.
-
PB Ratio
2.80

Grovy Financials

*All values are in Rs. Cr
Loading chart...
Indicator
Mar 2026
Dec 2025
Sep 2025
Jun 2025
Mar 2025
Total Revenue6.99314.968.253.40
Operating Expense6.362.8314.596.793.48
Operating Profit0.630.170.371.46-0.08
Depreciation0.010.010.010.010.02
Interest0.360.050.420.020.42
Tax0.270.200.130.370.02
Net Profit0.890.540.381.100.20

Grovy Technicals

Grovy India Ltd. EMA & SMA

48.61

0.61 (1.27%)

Bullish Moving Average

9

Bearish Moving Average

7

Day EMA5 ₹49.1
Day EMA10 ₹49.5
Day EMA12 ₹49.4
Day EMA20 ₹48.7
Day EMA26 ₹48
Day EMA50 ₹45.8
Day EMA100 ₹44
Day EMA200 ₹43.6

Grovy Support and Resistance

Resistance

First Resistance₹49.39
Second Resistance₹50.65
Third Resistance₹51.30

Support

First Support₹47.48
Second Support₹46.83
Third Support₹45.57

Technical Indicators

Day RSI50.58
Day MFI39.75
Day ADX12.51
Day Commodity Channel Index-15.70
William-82.22
Day MACD1.43
Day MACD Signal Line1.97
Day ATR4.24
Day ROC1255.20
Day ROC2113.22

About Grovy India Limited Share Price

Grovy India Limited, with its corporate operations in New Delhi, functions as a real estate and infrastructure development and consultancy company. The company was incorporated in 1985 and is headquartered in New Delhi, India. Grovy India provides a comprehensive range of real estate development services, including constructing commercial and residential properties such as flats, apartments, farmhouses, bungalows, commercial complexes, warehouses, offices, retail shopping malls, community centers, staff quarters, hostels, restaurants, hotels, food courts, banquet halls, auditoriums, and buildings for hospitals and nursing homes. The company also invests, trades, and deals in financial markets and shares. Its heritage is rooted in the Indian real estate and infrastructure development sector.

Grovy India share price on BSE signifies how market participants react to the company’s operational performance and the overall developments in the real estate sector. The company’s financial health depends on demand for residential and commercial properties, project execution capabilities, and the performance of its trading and investment activities. Grovy India stock price is influenced by various factors such as earnings, fluctuations in real estate demand, regulatory changes in the housing sector, and broader economic conditions. In the longer run, strategies such as expanding project portfolio, entering new geographies, and deepening customer relationships affect the stock market sentiments. All these factors need to be monitored closely to have an idea about the company’s stock price movements.

Grovy India live share price provides real time information about the last price traded, bid and ask prices, and volume traded. These indicators represent market activity and liquidity, reflecting investor response to corporate announcements, economic conditions, and sector news. Constant monitoring of the Grovy India live price helps in observing short term price volatility and shows how a stock moves relative to the broader realty index. Furthermore, monitoring Grovy India 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.

Grovy India Limited Company Fundamentals

a. Company Background

Grovy IndiaLimited was incorporated in 1985 and is headquartered in New Delhi, India. The company is engaged in the business of real estate and infrastructure development and consultancy. It operates through two segments: the Realty Division and Trading of Securities. The Realty Division includes construction and development of commercial and residential properties, while the Trading of Securities segment involves investment and trading in equity markets. Its operations are based in India, with a focus on the Delhi region, while corporate functions are managed from its administrative offices in New Delhi. Over time, the company has completed more than 100 projects. Financial performance is assessed through standard metrics such as revenue growth, operating margins, and return on equity. Market valuation indicators such as the P/E ratio are used by analysts for comparative assessment within the real estate sector. Overall fundamentals are influenced by real estate demand, regulatory policies, and construction input costs.

b. Company Product Lines

  • Residential Properties
  • Develops flats, apartments, farmhouses, and bungalows.
  • Commercial Properties
  • Constructs commercial complexes, warehouses, offices, and retail shopping malls.
  • Hospitality and Community Properties
  • Develops community centers, staff quarters, hostels, restaurants, hotels, food courts, banquet halls, and auditoriums.
  • Healthcare Properties
  • Constructs buildings for hospitals and nursing homes.
  • Trading and Investment
  • Engages in investment, trading, and dealing in financial markets and shares.

The product portfolio is structured to serve both domestic homebuyers and commercial clients across multiple segments.

c. Company Revenue Model

  • Residential Sales
  • Revenue generated through the sale of residential properties and apartments.
  • Commercial Sales
  • Contribution from commercial real estate property sales.
  • Project Development Services
  • Income from real estate development and construction services.
  • Trading Income
  • Revenue from investment and trading activities in equity shares and securities.

Revenue performance is primarily influenced by real estate demand, project execution capabilities, and market conditions in the securities segment.

d. Geographic Presence

  • Corporate Headquarters
  • Primary administrative and management functions based in New Delhi, India.
  • Project Locations
  • Projects primarily in the Delhi region, including South Delhi and Lutyens Delhi.
  • Distribution Network
  • Presence covering Delhi and surrounding regions.

e. Key Milestones

  • 1985 – Incorporation: Grovy India Limited was established.
  • 2024 – Stock Split: The company performed a 4:1 stock split.
  • 2025 – Financial Performance: The company reported a net profit for the financial year.
  • 2025 – Dividend Declaration: Announced an annual dividend.

f. Industry Perspective

The real estate development industry is capital intensive andclosely linked to demand from housing and commercial infrastructure. Demand trends are influenced by economic activity, urbanization, population growth, and government policies on affordable housing. The industry is also affected by fluctuations in interest rates, along with regulatory changes and construction costs. Companies in the sector must manage project execution and financial planning while maintaining customer relationships. These factors collectively influence financial performance and investor perception of firms like Grovy India.

Grovy India Limited Stock Market Presence: Listings & Index Representation

Grovy India Limited is listed on the Bombay Stock Exchange under the scrip code 539522. Grovy India share price is actively traded on the BSE. The company’s market presence is within the small-cap segment of the market. Due to its size and sector focus, Grovy India share price is generally tracked by investors interested in the real estate and infrastructure development industry.

Grovy India Limited is part of several broad-based and sector-specific stock market indices, reflecting its position as a small-cap real estate company in India. It is a constituent of indices including the BSE SmallCap and other realty sector indices. Grovy India finds representation in these indices based on its market standing. This presence helps investors track the stock relative to other real estate and construction companies. Grovy India stock price is monitored by investors as a small-cap player in the Indian real estate sector. Grovy India stock price is also tracked for its performance within the broader market context. Grovy India provides insights into the small-cap segment of the real estate industry.

Grovy India Limited Stock Performance and Share Price History

Grovy India share price today on the BSE reflects its position as a small-cap real estate development company in India. Its performance is qualitatively driven by factors such as project execution momentum, management of construction costs, growth in real estate sales, and the ability to maintain customer relationships. Investors compare Grovy India price movement with other real estate 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 Grovy India at certain times.

Beyond operational and sector influences, corporate actions such as the company’s stock split can significantly affect share price movements by shaping future growth expectations. This shows how strategic initiatives may trigger short-term swings, even within a regulatory environment influenced by real estate demand cycles and client preferences. While short term movements respond to events and announcements, longer term valuation trends are better captured by Grovy India price annual high and low levels, offering context beyond daily or weekly changes. A notable peak indicates stronger housing demand and stable margins, whereas a significant low aligns with market corrections or sector volatility. These extremes reflect the impact of economic conditions, interest rate fluctuations, and earnings visibility, providing a framework for understanding historical performance.

Grovy India share price behavior mirrors the trading patterns of a small-cap real estate company within India’s property ecosystem. The company’s project portfolio spanning residential, commercial, and hospitality properties has shaped its price history. Over the past several years, Grovy India price has experienced periods of sharp gains followed by phases of consolidation. Grovy India price has shown volatility compared to larger real estate companies, reflecting the smaller scale of its operations. The company’s performance has closely tracked housing demand and real estate cycles. Positive momentum appeared during periods of strong real estate demand and favourable economic conditions. However, periods of weak housing demand and intensified competition have led to consolidation in Grovy India share price.

Grovy India share price faced selling pressure when revenue growth showed signs of deceleration, reflecting structural shifts in how clients demand better housing options with lower costs in the competitive real estate market. Despite macroeconomic disruptions, Grovy India showed resilience during certain recovery phases. While the broader real estate sector faced regulatory and demand challenges, the company’s focused approach on the Delhi region and established project execution capabilities helped Grovy India price recover from certain lows. Grovy India has declined for several recurring reasons. A drop in client housing demand or lower project realizations directly impacts revenue visibility and leads to selling pressure. Changes in government policy on real estate regulations or interest rates can also cause Grovy India to fall.

Moreover, increases in construction costs without matching productivity gains squeeze margins, making Grovy India less attractive. Periods of economic slowdown that affect housing demand raise concerns about project pipelines, leading to price declines. Grovy India share price is sensitive to interest rate movements. Broader market sell offs in small cap stocks also pull the price down, regardless of the company’s individual performance. Lower client retention or reduced project flow directly hurts revenue, resulting in a lower valuation. Grovy India also faces pressure when clients demand faster delivery with lower costs, compressing revenue realization despite strong project momentum.

Grovy India share price has seen downward pressure when the company reported fluctuations in net profit margins. Grovy India movements often mirror the broader realty index trends. Grovy India can be impacted by changes in housing demand and interest rates. Grovy India price has historically shown sensitivity to real estate regulations. Grovy India may also be affected by the company’s ability to maintain its competitive edge in the real estate development space. Grovy India performance is closely watched by investors tracking the small-cap real estate segment. Grovy India has moved within a 52-week range that reflects the broader market correction in real estate stocks. Grovy India has seen fluctuations based on market conditions. Grovy India stock price is influenced by various market factors.

Grovy India Limited Investor Relevance and Role in Portfolio

Grovy India Limited is a holding in small cap and real estate sector portfolios, offering exposure to real estate development, infrastructure consultancy, and securities trading activities. Its inclusion in major indices underscores its importance in India’s real estate and construction space. The company’s position as a real estate developer in the Delhi region, together with its diversified business model spanning realty and trading, makes it a consideration for long term allocations. Grovy India is influenced by the company’s ownership structure. Grovy India’s equity is held by a broad mix of promoters and retail investors, reflecting its standing in India’s real estate sector. The company’s management includes Nishit Jalan as CEO and Whole-Time Director, and Prakash Chand Jalan as Non-Executive Chairman.

Beyond fundamentals and ownership, Grovy India share price is actively monitored in the cash market segment, where trading volumes and delivery patterns reflect expectations on housing demand, interest rates, and regulatory policy actions. Grovy India stock price is available for trading on the BSE, allowing investors to take positions based on their outlook for the real estate sector. Market participants watch these trading indicators to gauge sentiment around quarterly results and policy announcements. Grovy India share price is also evaluated for its volatility characteristics.

Technical indicators provide additional insight into short term momentum shifts in Grovy India. 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 realty sector trends. Based on available data, the stock’s beta indicates a certain level of volatility compared to the broader market. The company’s return on equity is a reference point for profitability. Grovy India stock price is monitored by investors for its performance. Grovy India is tracked for its movements.

Overall, Grovy India demonstrates a certain volatility profile compared to the broader market, with the stock generally considered to have its own risk characteristics. This makes it sensitive to broader market movements, and it remains exposed to sector specific factors such as housing demand and interest rate fluctuations. Grovy India share price is also influenced by the company’s ability to manage project execution and maintain its competitive position in the real estate space.

Grovy India Limited Sectoral Relevance and Peer Positioning

Grovy India Limited sector relevance stems from its four decade presence in the real estate industry, its position as a real estate and infrastructure development and consultancy company in India, its portfolio covering residential and commercial properties, hospitality and community properties, and healthcare properties, its established track record of completing more than 100 projects, and its dual focus on real estate development and trading in securities. Peer comparisons with companies like Godrej Properties, Oberoi Realty, Prestige Estates, Sobha, Brigade Enterprises, and other small-cap real estate developers focus on revenue growth, margin performance, project execution capabilities, and geographic diversification rather than short term stock moves. These benchmarks help investors assess operational scale, efficiency, and regulatory adherence. Institutional tracking of housing demand, real estate policies, and interest rates further highlights Grovy India positioning within the broader Indian real estate market.

Grovy India market cap highlights its position as a small cap player within the real estate development sector. The company’s market capitalization has moved in line with investor perceptions of the company’s growth potential. From earlier periods through more recent times, the market cap showed trends as the company expanded its project portfolio and geographic presence. This pattern reflects investor confidence during favourable housing demand cycles, followed by consolidation during challenging periods impacted by economic headwinds and structural shifts in the industry. This decrease mirrors the correction in Grovy India share price from its highs to recent levels.

Grovy India earnings trajectory demonstrates the impact of its operational execution in a competitive industry. In recent fiscal years, total income showed trends supported by the core real estate development business. The company’s revenue from operations increased from the previous fiscal year to the most recent fiscal year, supported by strong demand across residential and commercial segments. Total income increased over the same period. Profit after tax improved, demonstrating margin expansion and operational efficiency. However, the company has faced headwinds from fluctuating housing demand, intensified competition for land acquisitions, and reduced discretionary spending in certain segments.

Grovy India EPS provides insight into its operational performance and income generation from real estate development and trading activities. The company reported earnings that varied based on real estate cycles and client spending patterns. The earnings per share has shown fluctuations over time, with basic EPS for recent periods reflecting the company’s performance. More recent performance suggests that EPS has shown certain trends as the company navigates market conditions.

Grovy India P/E ratio reflects how investors perceive the company’s earnings relative to its revenue streams from real estate development. The current valuation compared to industry averages indicates how the market assesses the company’s earnings potential. The company’s profit after tax has varied across recent fiscal periods based on operational performance, with net profit showing certain trends. Overall, these changes highlight how market sentiment evolved alongside the company’s operational performance in a dynamic industry undergoing structural transformation. Grovy India share price is monitored by investors tracking the real estate sector. Grovy India share price is also evaluated for its performance relative to peers. Grovy India share price is influenced by the company’s earnings and market conditions. Grovy India share price is tracked for its movements in the small-cap segment.

Summary

Grovy India Limited is a small-cap real estate development company based in New Delhi, engaged in residential, commercial, and hospitality projects along with securities trading. The company’s performance is influenced by housing demand, interest rates, and regulatory policies. Investors track Grovy India share price for insights into the small-cap real estate segment. Grovy India stock price reflects the company’s operational performance and the broader economic environment.

Grovy Shareholding Pattern

Held ByDec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoter72.672.672.672.67373
FII000000
DII000000
Public27.427.427.427.42727

Grovy Delivery And Volume

PeriodCombined Delivery VolumeNSE+BSE Traded Volume AvgDaily Avg Delivery Volume %
Day92593399.04%
Week3.95 K4.17 K94.55%
1 Month4.11 K4.96 K82.69%
6 Month1.84 K2.19 K84.06%

Grovy SWOT Analysis

Strengths20
Weakness0
Opportunity0
Threats0

High DVM Mid and Small Caps (subscription)

Growth Factor Screener: Rising returns on equity (ROE), Momentum, and Earnings Yield

Companies with current TTM PE Ratio less than 3 Year, 5 Year and 10 Year PE

Companies with 10% increase in share price over three months, with rising net profit growth

Mid-range Performer (DVM)

Rising Net Cash Flow and Cash from Operating activity

Companies with high TTM EPS Growth

Annual Profit Growth higher than Sector Profit Growth

PEG lower than Industry PEG

High Momentum Scores (Technical Scores greater than 50)

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

Effectively using Shareholders fund - Return on equity (ROE) improving since last 2 year

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

Growth in Quarterly Net Profit with increasing Profit Margin (YoY)

Increasing profits every quarter for the past 2 quarters

Company able to generate Net Cash - Improving Net Cash Flow for last 2 years

Annual Net Profits improving for last 2 years

Companies with Zero Promoter Pledge

Top Gainers

Stocks Outperforming their Industry Price Change in the Quarter

Grovy Corporate Action

Ex-Date
Dividend Amount
Dividend Type
Record Date
Instrument Type
01 Jul, 20260.1FINAL01 Jul, 2026Equity Share
23 Sep, 20250.1FINAL23 Sep, 2025Equity Share
23 Sep, 20240.1FINALEquity Share
22 Sep, 20230.1FINALEquity Share
02 Sep, 20220.1FINALEquity Share
09 Sep, 20210.1FINALEquity Share
20 Sep, 20190.1FINALEquity Share
19 Sep, 20180.1FINALEquity Share

Grovy Stock Comparison

Financials
Price (₹)₹10,13,501.01₹104.40₹87.05₹11,90,000₹697₹74.11
% Change-0.64%0.38%0.00%0.00%-0.39%0.19%
Revenue TTM (₹ Cr)----₹2,985.14-
Net Profit TTM (₹ Cr)----₹304.59-
PE TTM--8.5059.7015.30-
1 Year Return4-19.14-5.13
ROCE--22.18-20.370.18

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