IP
IndiaPulse

MONOPHARMA

SME Cap

Mono Pharmacare Ltd.

Pharma

Mono Pharmacare Ltd. operates in Formulations, within the Pharma sector. Use the latest filing and company disclosures below to verify its revenue mix and current business drivers.

₹11.8
+0.00 · +0.00%
Quote09 Jun, 10:02 am
Fundamentals09 Jun 2026 · screener
Score08 Jun, 11:00 pm · v4.2-nightly
Tags24 Apr 2026
Data confidence
Fresh enough for analysis
Investor decision lenses

One read, four checks

75+ is strong, 60-74 is usable, 45-59 is mixed, and below 45 needs caution. These are research lenses, not buy/sell instructions.

Weak fundamentals, management trust needs verification, price trend is neutral, and recent execution is mixed.

Suggested next step
Research, do not rush
The four lenses are not strongly aligned. Compare peers and wait for a cleaner setup.
U-Score
OVERVALUED
20

Fundamental lens: valuation, quality, growth, balance sheet, and cash flow.

Trust
Weak Trust
50

low confidence · 0/0 claims checked

Technical
Neutral
51

Timing lens: price trend and sector relative strength.

Result consistency
mixed
63

Rolling lens: recent quarterly delivery, not the latest single-result score.

Latest result

Quarter ended 30 Sept 2025

Bad · 0/100

Rev -1% YoY · PAT -100% YoY · margin compression

Filed 30 Sept 2025
Open results browser →
MetricThis quarterYoYQoQ
Revenue₹66 Cr-1.5%-18.5%
EBITDA₹2 CrNDF-33.3%
Operating margin3.0%NDF-100 bps
PAT₹0 Cr-100.0%-100.0%
PAT margin0.0%NDF-123 bps

NDF means not disclosed in the current structured filing feed. It is intentionally not treated as zero.

Business and thesis

Issuer presentation review pending

Mono Pharmacare Ltd. operates in Formulations, within the Pharma sector. Use the latest filing and company disclosures below to verify its revenue mix and current business drivers. The structured result feed currently covers the quarter ended 30 Sept 2025. Investor presentations and earnings-call PDFs will be added as issuer-backed evidence before management claims appear here.

Technical timing lens

Trend score and candlestick chart

51Neutral

SMA20 +1.2% / mo

Stock trend: 53
Sector RS: 48
Sector 3M: +0.0% vs Nifty +0.1%

Technical chart

MONOPHARMAdaily · 3Y-42.6%
Latest close ₹11.80 on 2026-06-09
Bar
+0.0%
RSI
48
MACD hist
-0.06
52W pos
19%
Hover for OHLC, volume, and indicators. Use range buttons above the chart to zoom.
₹9₹12₹16₹19₹2352H52LVol2025-112026-012026-022026-042026-06
Up bar
Down bar
Volume
Result date
SMA 50
RSI(14)

Technical trend read

Neutral

Trend is undirectional — long-term trend unclear. RSI 48.

  • SMA20 roughly flat — short-term momentum stalled.
  • RSI(14) at 48 — sideways, no extreme reading.
  • MACD below signal but histogram contracting — bearish momentum easing.
  • 46% off 52W high · 25% above 52W low.

Mechanical read from the price + indicator series above. Not a recommendation — technical setups can reverse without warning, especially around earnings and macro events.

Deep research

Valuation, score drivers, trust methodology, financials, and peers

Use these sections after reviewing the decision summary, latest result, thesis, management accountability, and technical timing above.

20U-SCORE
Distress Watch

Fundamental score breakdown

OVERVALUED
Valuation16/30
Growth10/25
Quality0/20
Balance Sheet0/15
Cash Flow0/10
Piotroski
3/9 (+1)
Penalties
-7
Raw sum
20

Why this score?

Top U-Score contributors and drags from the latest stored fundamentals.

20/100 · OVERVALUED

Positive drivers

  • Fair-value margin of safety is positive at 40.6%.
  • Valuation contributes 16/30 to the score.
  • Growth contributes 10/25 to the score.

Main drags

  • Altman Z is 1.8, in distress territory.
  • Penalty bucket subtracts 7 points.
  • Quality is weaker at 0/20; verify the latest quarterly trend.
Sector valuation model

Healthcare valuation: PE/EVEBITDA with regulatory and pipeline checks

Healthcare valuation needs both earnings quality and regulatory/pipeline context.

Pharma PE/EVEBITDA
Primary lens
PE and EV/EBITDA adjusted for product mix and R&D/pipeline quality.
Secondary checks
USFDA risk, launch pipeline, margin trend, domestic vs export mix.
Main risk check
Regulatory setbacks or one-off product cycles can distort valuation.
PE
25.1
PB
0.7
EV/EBITDA
15.2
ROE
10.4%
ROCE
11.0%
FCF Yield
Debt/Equity
1.7
MoS
+40.6%
Score movement

Stored run vs live recompute

This shows the stored score trend when snapshots exist, and also compares the latest stored nightly score with a live recompute from current fundamentals and price.

Stored run: 08 Jun 2026
v4.2-nightly
Final score
20
Previous: 20
Verdict
OVERVALUED
Previous: OVERVALUED
Margin of safety
+40.6%
Previous: +40.6%

Score history

12 stored score snapshots. Latest stored move: -1 points.

08 Jun 2026
v4.2-nightly
21
18
20
20
18
21
21
21
21
21
21
20

Factor attribution

No pillar movement versus the latest stored run. Historical score trend will appear after snapshot storage is enabled.
Trust Score
50Weak Trust · low confidenceTrust Lite

Trust asks: does management behaviour match later outcomes? Higher is better, but confidence and evidence depth matter as much as the number.

Weak Trust: Claim history is still being built. It ranks around the 6th percentile of the scored universe and 4th percentile within Pharma. Main check: balance sheet trust is weak at 21/100.

Mixed Trust Lite: Promoter holding is 56.7%. Key concern: Operating cash flow is negative at ₹-4 Cr.

Computed 22 May 2026
trust-lite-v1
0 docs indexed · 0 concall links
Score band
Weak Trust

Management or financial behaviour needs caution. Demand stronger valuation compensation.

Relative rank
6th percentile

overall median 67 · Pharma: 4th pctile, median 70 · SME: 5th pctile, median 65

Evidence depth
Financial-only

0 documents indexed, but claim history is not strong enough yet.

Claim delivery
Outcome history still building

0 claims extracted · No contradicted claim yet

How to read this Trust Score

Weak Trust · low confidence
What it measures
Reliability of management and financial delivery, using financial behaviour only.
Confidence
Treat this as an early read until more concalls and outcomes are matched.
Investor use
Needs extra due diligence; demand valuation comfort and recent improvement.

Read Trust alongside U-Score, result consistency, and technical trend. A cheap stock with weak Trust needs a larger margin of safety; a high Trust score does not make an expensive stock attractive by itself.

Forensic breakdown

Read low sub-scores as due-diligence warnings, not automatic sell signals.

Promoter
86
strong · holding, pledge, alignment
Cash flow
28
weak · profit to cash conversion
Balance sheet
21
weak · leverage and solvency
Discipline
60
acceptable · capital discipline
Results
63
acceptable · quarterly consistency

Trust positives

  • Promoter holding is 56.7%.
  • Promoter pledge is zero.
  • OPM spread across recent quarters is 3%.

Trust risks

  • Operating cash flow is negative at ₹-4 Cr.
  • Altman Z is 1.78.
  • Only 0 years of positive FCF.
  • Debt/equity is 1.72.

Trust Lite uses financial behaviour only. Prefer claim-tested Trust when enough concall claims have later outcomes.

Intrinsic value

Graham Number
₹13.68
+13.8% MoS
DCF Fair PE
42.3
DCF Fair Value
₹19.89
+40.6% MoS
PEG
2.51

Fundamentals

Valuation

P/E
25.10
P/B
0.67
EV/EBITDA
15.16
Market Cap
20.80Cr

Profitability

ROE
10.40%
ROCE
11.00%
ROA
0.84%
Dividend Y

Growth (CAGR)

Revenue 5Y
75.92%
EPS 5Y
Revenue 3Y
10.00%
EPS 3Y
10.00%

Balance Sheet

Debt/Equity
1.72
Interest Coverage
1.25×
Altman Z
1.78
Book Value
17.70

Cash Flow

FCF Yield
FCF Positive Y
0/5
OCF
-4.00 Cr
EPS TTM
0.47

Shareholding

Promoter Hold
56.72%
Promoter Pledge
0.00%
Momentum 52W
13%

Financial History

Updated 9/6/2026

Revenue

₹ Cr
No data

Net Profit

₹ Cr
No data

Return on Equity

%
No data
Verify on:NSE India ↗
All information is for study purposes only. For investment decisions, consult your financial advisor. See Playbook for methodology.