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UMIYA-MROUMIYA BUILDCON LIMITED

NSE
Full chart
92.55INR+0.57 (+0.62%)Close · 6 Oct 2026
10 Jul 2026Last results
TelecommunicationSector
Telecom - Equipment & AccessoriesIndustry
₹173 CrMarket cap
20.2P/E (TTM)
68.8%Delivery

Filings & corporate actions

77 results filed
CSV
Next results · Q2 FY27
Expected 15 Oct 2026 – 14 Nov 2026
Estimate: filed 15–45 days after quarter end, last 5 times
2026
  • 21 JulshareholdingShareholding · 30 Jun 2026+1.1%NSE
  • 10 JulresultsResults · Q1 FY27 · consolidated and standalone-1.5%NSE
  • 27 AprresultsResults · Q4 FY26 · consolidated and standalone-0.1%NSE
  • 16 AprshareholdingShareholding · 31 Mar 2026-1.4%NSE
  • 20 JanresultsResults · Q3 FY26 · consolidated and standalone-10.3%NSE
  • 9 JanshareholdingShareholding · 31 Dec 2025-5.1%NSE

Reaction to results · all yearsrose on day 0 in 33 of 77 CSV

QuarterFiledDay 0+5D+20DRel vol
Q1 FY2710 Jul 2026-1.5%-1.8%-3.1%2.1×
Q4 FY2627 Apr 2026-0.1%+0.6%-4.4%1.9×
Q3 FY2620 Jan 2026-10.3%+10.5%+13.5%8.0×
Q2 FY2615 Oct 2025+10.1%+0.6%-6.6%5.3×
Q1 FY268 Jul 2025-4.2%-3.0%-2.9%5.6×
Q4 FY2529 Apr 2025-6.5%-4.7%+11.6%1.2×
Q3 FY2518 Jan 2025-2.9%-1.2%-1.8%1.7×
Q2 FY2514 Nov 2024-0.6%-1.8%+7.1%1.2×
Q1 FY253 Aug 2024+5.0%+4.2%+33.3%7.8×
Q4 FY2417 May 2024-9.9%-21.4%-28.8%0.8×
Q3 FY2413 Feb 2024+20.0%+17.5%-14.2%3.3×
Q2 FY2410 Nov 2023-1.6%-0.9%+2.6%0.8×
Q1 FY245 Aug 2023-0.3%-2.0%+4.9%0.5×
Q4 FY2310 May 2023-2.2%-0.5%-5.3%1.8×
Q3 FY2325 Jan 2023-6.0%-9.6%-19.9%7.4×
Q2 FY2310 Nov 2022+3.3%+1.3%-1.3%9.0×
Q4 FY2227 May 2022-6.2%+0.6%-2.1%1.3×
Q3 FY229 Feb 2022-4.4%-7.2%-16.1%11.5×
Q2 FY2212 Nov 2021-2.3%-16.1%+8.0%0.7×
Q1 FY2213 Aug 2021+19.9%+18.8%+57.2%0.8×
Q4 FY211 Jul 2021-2.3%+0.5%+6.0%0.9×
Q3 FY213 Feb 2021-4.9%-8.3%-12.7%0.4×
Q2 FY216 Nov 2020-3.3%+4.1%+26.9%9.0×
Q1 FY214 Aug 2020+4.2%+8.4%+22.0%1.2×
Q4 FY2026 Jun 2020-5.0%-15.8%-3.8%2.5×
Q3 FY2013 Feb 2020-5.0%-17.1%-48.8%0.0×
Q2 FY2016 Oct 2019+5.0%+16.3%+51.8%0.6×
Q1 FY209 Aug 2019-2.1%-10.5%-16.5%0.1×
Q4 FY1922 May 2019-4.9%-4.9%-23.4%0.2×
Q3 FY1921 Feb 2019+1.0%+3.6%+2.7%2.6×
Q2 FY1927 Nov 2018+0.1%+2.7%-2.1%0.4×
Q1 FY1910 Aug 2018-4.9%+12.9%+106.0%1.4×
Q4 FY181 Jun 2018+4.9%+33.3%+80.6%0.9×
Q3 FY1814 Feb 2018-4.8%-23.8%-23.3%0.2×
Q2 FY1822 Nov 2017+0.7%+1.3%-34.0%3.9×
Q1 FY182 Sept 2017+1.1%+4.8%0.0%0.5×
Q4 FY1717 Jun 2017+1.0%+4.1%+13.8%1.0×
Q3 FY176 Feb 2017+1.2%+7.8%-1.0%1.3×
Q2 FY1722 Dec 2016-0.6%-4.4%-0.4%0.1×
Q1 FY1726 Aug 2016+13.1%+6.9%+80.9%10.5×
Q4 FY1630 May 2016+1.0%-2.8%+6.6%2.3×
Q3 FY1610 Feb 2016+0.4%+2.0%-2.6%1.9×
Q2 FY165 Nov 2015+1.2%-2.6%+43.2%0.5×
Q1 FY163 Aug 2015-0.5%-14.8%-9.9%0.6×
Q4 FY1530 May 2015-5.3%-15.4%-10.1%1.2×
Q3 FY155 Feb 2015-5.9%-2.0%+3.9%0.8×
Q2 FY1519 Nov 2014+2.3%+19.5%+77.2%1.8×
Q1 FY1512 Aug 2014-4.3%-7.5%+3.1%2.1×
Q4 FY1419 Jun 2014-1.7%+13.4%+4.7%0.0×
Q3 FY1429 Jan 2014-4.2%-5.3%-10.5%0.4×
Q2 FY145 Nov 2013+2.2%-2.2%-6.5%2.3×
Q1 FY1431 Jul 2013+4.7%+11.3%-1.9%0.3×
Q4 FY136 Jun 2013+1.9%-10.3%-23.9%0.4×
Q3 FY131 Feb 2013+0.8%-6.7%-2.5%1.5×
Q2 FY1331 Oct 2012-0.6%0.0%-1.2%1.1×
Q1 FY1325 Jul 2012+1.7%-5.2%-8.0%0.1×
Q4 FY1218 May 2012+2.3%-2.3%-7.3%0.7×
Q3 FY1225 Jan 2012+3.5%+3.5%-3.5%4.0×
Q2 FY1228 Oct 2011+1.5%+7.3%-3.9%0.9×
Q1 FY1227 Jul 2011+0.3%-9.4%-26.8%1.1×
Q4 FY1118 May 2011-4.9%-7.4%-7.9%2.2×
Q3 FY1124 Jan 2011-0.7%-8.9%-17.0%2.5×
Q2 FY1127 Oct 2010-1.0%-0.3%-16.3%0.9×
Q1 FY1128 Jul 2010-2.7%-6.5%-11.7%0.3×
Q4 FY1021 May 2010+2.8%+1.2%+3.8%1.3×
Q3 FY1022 Jan 2010-2.4%-7.5%-16.9%0.6×
Q2 FY1028 Oct 2009-1.8%-11.5%+3.3%0.9×
Q1 FY1029 Jul 2009-2.1%+9.0%+33.0%2.9×
Q4 FY0914 May 2009+3.3%+21.1%+14.5%4.5×
Q3 FY0919 Jan 2009-1.8%-13.0%+14.0%1.5×
Q2 FY0920 Oct 2008-2.3%-29.3%-23.3%0.8×
Q1 FY0930 Jul 2008-0.9%-3.9%+0.6%1.7×
Q4 FY0814 May 2008+5.4%-0.3%-20.0%3.6×
Q3 FY0823 Jan 2008-5.0%-7.8%-17.6%0.5×
Q2 FY0824 Oct 2007+9.1%+2.3%+28.0%6.4×
Q1 FY0827 Jul 2007+0.2%+0.3%-3.7%1.6×
Q4 FY0723 May 2007-4.2%-6.7%-8.5%4.2×
Average-0.2%-1.2%+3.0%

Close-to-close from the session before the filing could trade. Day 0 is the first session after it.

Growth · Q1 FY27

CSV
Revenue YoY+27.3%
Profit YoY-99.2%
Interest cost YoY-1.8%
Revenue QoQ-21.8%
Profit QoQ-62.3%
CAGR2Y3Y4Y5Y6Y7Y
Revenue+27.5%—————
Profit+19.2%—————

Key data

CSV
Open93.00
Day range92.01 – 93.08
52-week range70.00 – 110.90
From 52w high-16.5%
RSI (14)43.5
ATR (14)4.06
Volume10.2K
Avg volume (20D)18.7K
Rel volume0.54×
Volatility (1Y)46.5%
Turnover₹9.4L
SMA 50 / 20093.36 / 87.57

Delivery percentage

Latest · 6 Oct 202668.8%
20-day avg65.8%
1-year avg68.1%
Percentile (own history)53rd
Range14.8–100.0%
Sessions1,641

Over the last 20 sessions UMIYA-MRO settled 65.8% of its traded quantity, which is unusually high for an NSE equity. Its one-year average is 68.1%, so recent sessions are running 2.3 points lower than usual. The latest session ranks higher than 53% of the 1,641 sessions on record for it.

What delivery percentage measuresScan the whole market on delivery

IndustryTelecom - Equipment & Accessories

Performance returns

CSV
1D1W1M3M6M1Y
Price+0.62%-5.12%-4.43%+2.33%+24.70%+7.44%

Valuation

CSV
Market cap₹173 Cr
P/E (TTM)20.2
EPS (TTM)4.59
Shares outstanding1.87Cr
Listed1 Nov 2000

Ownership

CSV
Promoter65.44%
Promoter Δ QoQ+0.42 pp
Public34.56%
FII0.00%
DII0.00%
Pledged0.00%

Quarterly results · consolidated

CSV
Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Revenue (₹ Cr)20.614.820.916.3
YoY chg+59.2%+21.5%+63.1%+27.3%
Net profit (₹ Cr)6.71.00.60.2
YoY chg+244.4%-51.2%+90.1%-99.2%
Net margin32.6%6.9%3.0%1.4%
EPS3.590.540.330.13

Shareholding over time

CSV

By quarter

30 Jun 2026 · promoter 65.44% · public 34.56%
30 Sept 2021: promoter 54.79%31 Dec 2021: promoter 54.79%31 Mar 2022: promoter 55.04%30 Jun 2022: promoter 55.04%30 Sept 2022: promoter 55.04%31 Dec 2022: promoter 55.04%31 Mar 2023: promoter 55.04%30 Jun 2023: promoter 55.04%30 Sept 2023: promoter 55.04%31 Dec 2023: promoter 55.04%31 Mar 2024: promoter 55.04%30 Jun 2024: promoter 55.04%30 Sept 2024: promoter 60.03%31 Dec 2024: promoter 60.03%31 Mar 2025: promoter 60.03%30 Jun 2025: promoter 60.94%30 Sept 2025: promoter 64.18%31 Dec 2025: promoter 64.43%31 Mar 2026: promoter 65.02%30 Jun 2026: promoter 65.44%
2021-092026-06
  • Promoter
  • Public and others
Promoter
65.44%
Public
34.56%
Promoter change
+0.42 pp
Filed
21 Jul 2026
FII
0.00%
DII
0.00%
Promoter pledged
0.00%

Promoter and public shares of total equity, from the pattern filed each quarter. Institutional and pledge figures come from a separate filing stage whose backfill is still running, so they are absent for almost every instrument rather than zero.

Financials · quarterly statement

CSV
₹ crore, as filed
 Q2 FY24Q3 FY24Q4 FY24AQ1 FY25Q2 FY25Q3 FY25Q4 FY25AQ1 FY26Q2 FY26Q3 FY26Q4 FY26AQ1 FY27
Revenue from operations7.217.88.610.912.912.112.812.820.614.820.916.3
Other income0.60.71.50.30.70.90.941.31.40.50.30.3
Total income7.818.510.111.213.613.113.754.222.015.221.216.6
Total expenses10.29.312.49.611.110.413.115.612.613.819.315.4
└ Finance costs1.82.32.82.62.82.92.82.72.72.92.72.7
└ Depreciation0.60.60.70.80.80.80.80.80.80.90.90.9
Profit before tax(2.4)9.3(2.3)1.62.52.70.738.69.31.51.91.2
Tax expense0.6(0.4)(0.0)0.10.50.60.37.12.60.51.31.0
Net profit(2.9)9.7(2.3)1.51.92.10.331.46.71.00.60.2
EPS-1.565.20-1.210.801.041.110.1816.823.590.540.330.13
Net margin-40.30%54.51%-26.09%13.70%15.06%17.05%2.57%245.08%32.59%6.85%3.00%1.44%
PBT margin-32.55%52.05%-26.19%14.89%18.98%22.34%5.28%300.62%45.42%9.97%9.03%7.57%
Tax rate—-4.72%—8.05%20.61%23.67%44.58%18.48%28.25%31.29%66.83%80.92%

A audited · R restated by a later filing · negatives in parentheses. EPS and the share count are restated onto the same split-adjusted basis as the price chart, so they can be read against it; every rupee figure is exactly as filed. A quarterly filing carries a profit and loss only — there is no balance sheet behind it, and so no debt, cash flow or return-on-capital figure here. Latest filed 10 Jul 2026.

UMIYA-MRO at a glance

  • UMIYA-MRO closed at ₹92.55 on 6 Oct 2026, +0.62% on the day, +7.4% over one year, 16.5% below its 52-week high of ₹110.9.
  • Delivery was 68.8% of traded quantity on 6 Oct 2026, the 53rd percentile of its own 1,641 sessions with a reading (20-session average 65.8%, 1-year average 68.1%).
  • Market capitalisation is ₹173 crore at a trailing P/E of 20.2 (trailing EPS ₹4.59).
  • Q1 FY27 results (consolidated, filed 10 Jul 2026): revenue ₹16 crore (+27.3% year on year), net profit ₹0 crore (-99.2%); the price moved -1.5% on the first session after.
  • Promoters held 65.44% at 30 Jun 2026, up 0.42 percentage points on the previous filing.
  • Q2 FY27 results are expected between 15 Oct 2026 and 14 Nov 2026, going by past filing dates — an estimate, not an announcement.

About

CSV
Macro sectorTelecommunication
Basic industryTelecom - Equipment & Accessories
ISININE398B01018
SeriesEQ
Listed1 Nov 2000
History from3 Nov 2000
Sessions6,217

Prices are adjusted for splits and bonuses. Delivery figures come from NSE’s daily reports and are unavailable for older sessions. Sourced from the eod2 dataset, last updated 6 Oct 2026.

More in Telecom - Equipment & Accessories

CSV