Signatureglobal (India) Ltd.

NSE: SIGNATURE
NIFTY500
Analyst consensus:Strongly constructive· 5 analysts
₹780.30-38.7%1Y
Last updated 02:54:41 IST· Public market feed (~15 min delay during market hours)

Signatureglobal (India) Ltd.: A 30-second snapshot

Signature Global (Realty) trades at ₹851.3, carrying a trailing PE of 10.86 — the lowest among its 6 Realty peers whose PEs range from 23.5 (OBEROIRLTY) to 49.6 (PHOENIXLTD). Five-year revenue and earnings growth are reported at +129.7% and +1,789.7% respectively, and FY26 net profit reached ₹1,094 crore; however, the stock is down 26% over 12 months, sits 15.7% below its 200-DMA, and carries a debt-to-equity of 161.04 with a rising debt trend.

P/E

10.9

Forward P/E

15.2

ROE

Debt / Equity

161.04

Profit Margin

+0.2%

Div. Yield

5Y ROE > 15%

0/5

5Y FCF > 0

3/5

Quality

48/100

Recent context

  • ·Signature Global announced a ₹3,500 crore investment plan for FY27 targeting land acquisition and construction, with stated focus on the Gurugram housing market; the company separately guided for 21% growth in sales bookings.
  • ·FY26 full-year net profit was reported at ₹1,094.64 crore, up significantly year-on-year, reflecting the company's expansion in the affordable-to-mid-premium residential segment.
  • ·A fatal site incident in May 2026 triggered an ESG score reduction to 65 (per Whalesbook); construction safety incidents in the Indian real estate sector are subject to RERA and labour-law scrutiny.

Strengths

  • +Trailing PE of 10.86 is the lowest in the Realty peer group (peers range 23.5–49.6), representing a significant valuation discount to sector contemporaries.
  • +Five-year revenue growth of +129.7% and earnings growth of +1,789.7% indicate a rapid scale-up phase for the company within the Gurugram-focused affordable housing segment.
  • +Reported FY26 net profit of ₹1,094 crore with a 17% profit margin demonstrates positive bottom-line generation at current scale.
  • +Mean analyst rating of 1.0 across 5 analysts on a 1–5 scale (lower = more constructive), representing the most concentrated constructive view in the data.

Weaknesses

  • Price is 15.7% below the 200-DMA (₹1,009.92), down 26% over the past 12 months and 35% from the 52-week high; the stock also declined 10.4% over the past 3 months.
  • Debt-to-equity of 161.04 with a rising debt trend; ROE is unavailable; FCF was positive in only 3 of tracked years; and consistency score stands at 30 out of 100, reflecting fragile earnings quality.
  • Quality score of 43 ranks SIGNATURE 5th of 6 Realty peers — below OBEROIRLTY (65), PHOENIXLTD (55), LODHA (54), and GODREJPROP (44).
  • A fatal construction site incident in May 2026 reduced the reported ESG score to 65 and may attract regulatory attention or project-level delays; the longer-term operational impact is not yet quantifiable.

Open questions

  • ?Does the 5-year earnings growth of +1,789.7% reflect a structural improvement in SIGNATURE's project mix and execution capacity, or does it primarily reflect a low base from an earlier loss-making period?
  • ?Given D/E of 161.04 and a rising debt trend, how does SIGNATURE's interest coverage ratio and upcoming debt maturity profile compare to operating cash flow generation?
  • ?What accounts for the gap between positive news flow (FY26 profit, ₹3,500 cr investment plan) and the 26% 12-month price decline — is the market pricing in execution risk, leverage, or sector-level headwinds?
  • ?How significant is the Gurugram geographic concentration for SIGNATURE's revenue pipeline, and what is the potential impact of any regulatory or demand slowdown specific to that market?

Peer comparison: Realty

Ranks 5 of 6 on quality
SymbolNameP/EROEQuality
SIGNATURESignatureglobal (India) Ltd.You're viewing10.943
Industry avgacross 5 peers31.5+12.3%49
OBEROIRLTYOberoi Realty Ltd.23.5+14.9%65
PHOENIXLTDPhoenix Mills Ltd.49.6+11.1%55
LODHALodha Developers Ltd.24.7+15.7%54
GODREJPROPGodrej Properties Ltd.27.8+10.0%44
DLFDLF Ltd.31.7+10.0%29

Technical state

Current price

₹851.30

SMA 50

₹834.72

SMA 200

₹1,009.92

RSI (14)

48.6 (neutral)

From 52w high

-35.0%

1Y return

-26.0%

3M return

-10.4%

50-DMA

Above

200-DMA

Below

Algorithmic support levels

₹775.20
₹705.20

Algorithmic resistance levels

₹958.10
₹1,111.00

Risk flags

  • high
    Price at ₹851.3 is 15.7% below the 200-DMA (₹1,009.92) and down 26% over 12 months; 52-week drawdown stands at -35%. The stock has remained below the 200-DMA for an extended period while also declining 10.4% over the past 3 months.
  • high
    Debt-to-equity of 161.04 with a rising debt trend and consistency score of 30 out of 100. ROE is unavailable, making it impossible to assess whether returns justify the leverage. FCF was positive in only 3 of the tracked years.
  • medium
    Quality score of 43 places SIGNATURE ranked 5th of 6 Realty sector peers; peers OBEROIRLTY (65), PHOENIXLTD (55), and LODHA (54) all score materially higher. This reflects weaker balance-sheet and earnings consistency relative to the peer group.
  • medium
    A fatal construction site incident reported in May 2026 triggered an ESG score dip to 65. Construction-sector safety incidents can attract regulatory scrutiny, project delays, and reputational overhang, though severity of follow-on impact is not yet quantifiable from current data.

Cross-section contradictions

  • Revenue growth of +129.7% and earnings growth of +1,789.7% over 5 years, alongside a reported FY26 net profit of ₹1,094 crore (17% margin), contrast with a 26% decline in price over 12 months and a 35% drawdown from the 52-week high — strong reported financials against persistent price weakness.
  • News sentiment is positive across 5 of 8 recent headlines, including a ₹3,500 crore investment plan for FY27, yet the 3-month price change is -10.4% and the 12-month change is -26%.

For informational purposes only. Not investment advice. VivaTrades is not a SEBI-registered Investment Adviser or Research Analyst. Market data sourced from public feeds; consult a registered adviser before any investment decision.

Fundamentals & technicals: refreshed 25 Jun 2026 · refreshed daily at 01:00 IST

AI synthesis (narrative, snapshot, strengths/weaknesses, peer ranking): generated 17 May 2026 · rotates through NIFTY 500 every ~5 days