Close 2026-08-21 1267 scanned A

PDSL

PDS
Mid capRs 5,221 crRs 3.0 cr traded a day
Close on 2026-08-21
369.70
−0.12%
52-week range75% of the way up
253.85407.40
Market cap
5,221 cr
P/E (TTM)
28.0×
EPS (TTM)
13.18
Revenue YoY
+14.8%
Q1 FY27
Profit YoY
+42.7%
Net margin
0.8%
+0.2pt vs a year ago
Growth trend
+15.0pt
vs last quarter’s YoY
1 month
+3.7%
Below 52w high
10.2%
RSI (14)
58
Daily swing
3.5%
average true range
Volume
0.4×
vs 20-day average
Traded
Rs 3 cr
median day
Close200-day averageMaterial filing
250300350400Aug 25Oct 25Dec 25Feb 26Apr 26Jun 26Aug 26
260 sessions · hover for the filing behind a move
1 week
−0.04%
1 month
+3.70%
3 months
+22.74%
6 months
+23.11%
1 year
+14.35%

The read

written from the numbers on this page
The evidence leans constructive4 supporting, 1 against, 0 worth knowing

Supporting

  • trading 12% above its 200-day average
  • up 14% over twelve months
  • 3 independent kinds of evidence agree today, which is uncommon
  • revenue grew 15% year on year in the quarter ending 2026-06-30

Against

  • net margin has narrowed from 1.4% to 0.8% across four quarters

Worth knowing

  • nothing the data supports either way
What would change this read: a close below 329, its 200-day average.
Assembled automatically from the figures on this page — the scans matched, their measured record, the filed financials, the derivatives positioning and the peer comparison. It is not a recommendation, no one has spoken to the company, and every claim above can be checked against a number further down this page.

How it has performed

price return over each window, measured against zero
-0.0%1W+3.7%1M+22.7%3M+23.1%6M+14.4%1Y

What the scans say today

6 of 47 matched on 2026-08-21
PDSL matches 6 of the 47 scans today, across 3 different kinds of evidence. Three or more independent families agreeing is uncommon — it is the same test the shortlist on every page uses.

Valuation against its own history

500 sessions since 2024-09-06
20×
median 26×
37×
now 28×
PDSL trades at 28× trailing earnings, close to its median of 26× over this window. The band runs from the 5th to the 95th percentile, so single-day spikes do not set the edges.
This window is short by the standards of valuation history — it begins where four quarters of filed earnings first exist. A stock can look cheap against two years and expensive against ten.

Recent filings

from the exchange, newest first
M&A filings were typically +0.23pt vs the market over the next 5 sessions (n=981) · Analyst call filings were typically +0.14pt vs the market over the next 5 sessions (n=3,352) · Other filing filings were typically -0.08pt vs the market over the next 5 sessions (n=12,093)

The business

from the company’s filed results
Everything below is taken from the company’s own quarterly filing with the exchange — the XBRL document it submitted, not a vendor’s summary of it. Figures in rupees crore.
3.3k3.1k3.5k3.0k3.4k3.2k3.5k3.4k2.8%0.7%0.8%Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26Q1 FY27
RevenueNet profit, drawn inside its revenue barNet margin, own scale belowrupees crore, per quarter as filed. Revenue bars start at zero.

Going for it

  • revenue grew 15% against the same quarter a year earlier
  • profit rose 43% year on year

Going against it

  • net margin narrowed from 2.0% to 0.8%
Quarter-by-quarter numbers, as filed
QuarterRevenueProfit before taxNet profitEPSNet margin
Q1 FY27
2026-06-30 · consolidated
3,44432291.330.8%
Q4 FY26
2026-03-31 · consolidated
3,51980723.472.0%
Q3 FY26
2025-12-31 · consolidated
3,17246371.391.2%
Q2 FY26
2025-09-30 · consolidated
3,41955482.131.4%
Q1 FY26
2025-06-30 · consolidated
2,99927200.920.7%
Q4 FY25
2025-03-31 · consolidated
3,52684752.862.1%
Quarterly filings are unaudited unless stated. Consolidated figures are used where the company files both. A single quarter is a noisy thing — the trend across the column is worth more than the top row.

Where the price stands

the same figures every scan on this site is computed from
Trend
Distance from the averages traders watch. Above all of them is a bull phase; below the 200-day is the line most investors use to say otherwise.
Versus 50-day average+2.9%
Versus 200-day average+12.4%
Below 52-week high-9.3%
Above 52-week low+45.6%
Momentum
How hard it has been pushed lately. Above 70 on RSI is stretched, below 30 is washed out — neither is a signal on its own.
RSI (14)57.6
Higher closes in last 52 of 5
Six-month return+23.11%
Risk and liquidity
What a position costs to hold and to exit. Position sizing starts with the daily swing, not with conviction.
Typical daily swing (ATR)3.49%
Volume versus 20-day0.4x
Median daily turnoverRs 3.0 cr