Responsive Industries Ltd (RESPONIND) — shareholding pattern, promoter holding, financials and share price
About Responsive Industries Ltd (RESPONIND)
Responsive Industries Ltd operates in the Furniture, Home Furnishing industry, within the Consumer Durables sector. It trades on the NSE as RESPONIND and on the BSE under scrip code 505509. Its ISIN is INE688D01026.
Responsive Industries Limited, incorporated in 1982 is a leading India-based manufacturer of polyvinyl chloride (PVC)-based products. [1]
Responsive Industries is an integrated PVC and polymer manufacturer focused on vinyl flooring (SPC/LVP/LVT and resilient sheet), synthetic leather, synthetic ropes and waterproofing membranes, operating large-scale manufacturing in Boisar (India) and Ma’anshan (China) and exporting to 70+ countries while servicing 1,000+ institutional and retail customers with both private-label and branded programs.
Despite a domestic-heavy revenue mix (86% domestic in 9M FY26), the business faces short-term export pressure after higher U.S. import tariffs impacted margins; management calls this a transitory quarter and expects tariff rationalization to restore competitiveness while leveraging the company’s China facility and Greenville distribution to scale exports without significant new capex.
Listed peers in Furniture, Home Furnishing: Sheela Foam Ltd, Wakefit Innovations Ltd, Euro Pratik Sales Ltd, Hardwyn India Ltd, BirlaNu Ltd, Stanley Lifestyles Ltd.
Valuation & Returns
10 Jul 2026At ₹188 a share on 10 Jul 2026, Responsive Industries Ltd (RESPONIND) was valued at a price-to-earnings ratio of 33.77x against an industry P/E of 50.62x and a price-to-book of 3.73x on a book value of ₹50.46 per share as of Mar 2025. Solomo computes return on equity of 11.03% and return on capital employed of 11.24% from filed results. Earnings ratios use consolidated results for the twelve months Jun 2025 to Mar 2026.
- P/E
- 33.77x
- Industry P/E
- 50.62x
- P/B
- 3.73x
- EPS (TTM)
- ₹5.57
- Book value / share
- ₹50.46
- ROE
- 11.03%
- ROCE
- 11.24%
- ROA
- 8.54%
- Debt / equity
- 0.19x
- Dividend yield
- 0.05%
- EBITDA margin
- 18.03%
- 52-week range
- ₹117.8 – ₹247.45
Ratios are computed from filed results and the last recorded price. Not investment advice.
Financial Performance
Mar 2026In the year ended Mar 2026, Responsive Industries Ltd (RESPONIND) reported revenue of ₹1,394 crore, net profit of ₹148 crore and earnings per share of ₹5.57. That compares with revenue of ₹1,418 crore and net profit of ₹199 crore in Mar 2025. Figures are consolidated, as filed with the exchanges.
In the quarter ended Mar 2026, revenue was ₹430 crore and net profit ₹23 crore (consolidated).
| Metric | Mar 2022 | Mar 2023 | Mar 2024 | Mar 2025 | Mar 2026 |
|---|---|---|---|---|---|
| Revenue (₹ cr) | 1,103 | 974 | 1,087 | 1,418 | 1,394 |
| Net profit (₹ cr) | 0 | 24 | 161 | 199 | 148 |
| EPS (₹) | 0 | 0.91 | 6.05 | 7.46 | 5.57 |
| Measure | 10Y | 5Y | 3Y | 1Y |
|---|---|---|---|---|
| Sales growth | -12.62% | 5.07% | 4.25% | 30.45% |
| Profit growth | 6.61% | 5.11% | 27.50% | 23.31% |
| Stock price CAGR | 9% | 7% | 6% | -21% |
Ownership Summary
Jun 2026As of Jun 2026, promoters hold 59.14% of Responsive Industries Ltd (RESPONIND) (unchanged from the previous quarter), foreign institutional investors (FII) hold 7.48% and domestic institutional investors (DII) hold 3.22%. Promoters have pledged 5.6% of their holding. Market capitalisation was ₹5,012 crore on 10 Jul 2026. Shareholding is filed quarterly with BSE and NSE; Solomo carries every filing back to Mar 2001.
Largest disclosed public shareholders in Jun 2026: FOSSEBRIDGE LIMITED 12.32%, XATIS INTERNATIONAL LIMITED 12.27%, LIFE INSURANCE CORPORATION OF INDIA 3.22%, BAO VALUE FUND 2.76%, SPARROW ASIA DIVERSIFIED OPPORTUNITIES FUND 2.13%, SANJAY BABULAL SURANA 1.1%. Only stakes above the 1% disclosure threshold are named in filings.
| Quarter | Promoter | Pledged | FII | DII | Public |
|---|---|---|---|---|---|
| Jun 2026 | 59.14% | 5.6% | 7.48% | 3.22% | 40.86% |
| Mar 2026 | 59.14% | 5.6% | 32.2% | 3.22% | 40.86% |
| Dec 2025 | 59.14% | 2.9% | 31.23% | 3.28% | 40.86% |
| Sep 2025 | 58.58% | 3% | 30.61% | 3.3% | 41.42% |
| Jun 2025 | 59.14% | 2% | 31.4% | 3.35% | 40.86% |
| Mar 2025 | 59.14% | 2% | 31.62% | 3.51% | 40.86% |
| Dec 2024 | 59.14% | 1.8% | 32.48% | 3.51% | 40.86% |
| Sep 2024 | 59.14% | 1.9% | 34.78% | 3.57% | 40.86% |