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SOTL

Savita Oil Technologies Limited
Micro-capChemicals ↗

What the six lenses say about SOTL — its relative strength vs the baselines, price & RS trend, the 8-quarter financials, and live filings.

Price
₹705.8
2026-09-08
VWAP · 1Y anchor
₹609
+15.9% from VWAP
P/E · TTM
26.7×
TTM EPS ₹26.5
52-week range
85%
position low→high
RSI(14)
53
momentum

Own sector index

Chemicals ↗
Neutral

1M

-2.7%

3M

+4.7%

1Y

—

Breadth >EMA21

40%

How SOTL’s own sector index is moving — context for reading the stock’s six lenses.

Six-lens read

What the six lenses say

How the lenses are scored ↗
Strength
6.0
avg conviction decile
Leadership
—
top-decile composite in cohort
Each lens is a decile within its cap cohort (D10 = top 10%) — no black-box composite. Expand a lens for the real numbers behind it.
LensDecile · Micro-cap cohortDRaw
TechnicalD9100›

The actual numbers

Price vs VWAP (1y)+15.9%
EMA trend stackUp · 21>50>200
Price vs 200-EMA+39.7%
Price vs 50-EMA+8.8%
RSI(14)53
RS vs Nifty 500 · 3M+25.4%
RS vs sector · 3M+25.2%
52-week range85%
Volume vs 30d avg0.45×
Volume vs 60d avg0.60×
ATR(14) · volatility53.1
Bollinger width · vol contraction0.150
FundamentalD643›

The actual numbers

Return on equity (ROE)10.0%
Operating margin6.1%
Net margin4.2%
Revenue growth · YoY+14.4%
EPS growth · YoY+62.1%
Debt / equity0.00×

Full 8-quarter history in the financials table below.

ValuationD523›

The actual numbers

P/E (TTM)26.7×
TTM EPS₹26.5
52-week range85%
CatalystD225›

The actual numbers

Earnings & momentum11
Capital actions35
Governance56

Every filing in the corporate-announcements panel below.

FlowD342›

The actual numbers

Promoter holding68.9%
Delivery · 30d avg36.0%
Up/down-day asymmetry-4.7pp
How the decile & conviction are calculated

Decile — each lens’s 0–100 score is ranked against every Micro-cap stock in the universe. D10 = top 10% (strongest), D1 = bottom 10%. A decile is simply where this stock sits versus its size-peers on that lens — no weighting, no black box.

Conviction — the average of the two active conviction-lens deciles (Technical & Flow):

( D9 + D3 ) ÷ 2 = 6.0(Technical · Flow)

Fundamental, Catalyst, Valuation and Policy are shown for context but carry weight 0 in the current model, so they are not scored into conviction. Full detail on the methodology page ↗.

Glass box

How the score is built

Click a lens to expand its sub-components, then drill to the actual values. The eye icon on any term explains it.

Conviction score · Highest
94
Conviction score 94/100 · avg-decile strength 6.0/10
Conviction score94/100›
TechnicalD9›
FundamentalD6›
ValuationD5›
CatalystD2›
FlowD3›

Policy

Government policy · Chemicals

Active policies relevant to this sector — flagged as a Red / Amber / Green signal, not scored into the six-lens conviction. The lenses say what the market is doing; policy is context for why.

Watch· MEDIUM impact

China+1 Manufacturing Shift

Supply-chain diversification away from China benefiting Indian chemical and component manufacturers

Relative strength · always on

Percentage-point spread vs each baseline across six windows. Green = outperforming, red = lagging. Data as of 2026-09-08.

Baseline1D1W1M3M6M12M
Nifty 50
Large-cap anchor
-4.2pp
+3.8pp
-6.3pp
+27.0pp
+101.9pp
+78.0pp
Nifty 500
Broad-market baseline
-4.3pp
+3.8pp
-7.3pp
+25.4pp
+96.2pp
+72.7pp
Sector
Own-sector index
—
—
-7.0pp
+25.2pp
+90.0pp
—

From atlas_foundation.technical_daily. Sector row covers 1M–12M (1D/1W not stored).

Trend

Price · EMA 20 / 50 / 200

SOTL daily close with the three trend EMAs · atlas_foundation.ohlcv_stock.

₹ (close)
705.75-35.00

Relative strength

RS vs baseline · rebased to 100

SOTL ÷ Nifty 500, rebased to 100 at window start — above 100 = outperforming since then.

RS vs Nifty 500 (=100)
123.71-5.59

TradingView composite technical analysis — multi-timeframe consensus

Quarterly financials

Last 8 quarters from the company’s filings (₹ crore) — revenue, profit, margins and the growth trend.

MetricJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26
Revenue (₹cr)9559079451,0069891,0761,0741,224
↳ change QoQ—-5.1%+4.2%+6.4%-1.7%+8.8%-0.2%+14.0%
EBITDA (₹cr)6460284860514065
EBITDA margin6.7%6.7%3.0%4.8%6.1%4.7%3.7%5.3%
PAT (₹cr)4031122956413847
↳ change QoQ—-22.1%-59.8%+132.4%+93.1%-26.8%-7.3%+23.7%
Net margin4.2%3.4%1.3%2.9%5.7%3.8%3.5%3.8%
EPS (₹)5.774.501.824.238.105.925.546.90
D/E————————
YoY growth · Mar '26Revenue +21.7% YoYPAT +62.1% YoY

Corporate announcements

Filings to the exchange — capital actions, earnings and governance. Most recent first.

  • 7 Sep '26
    LOWgovernance
    Analysts/Institutional Investor Meet/Con. Call Updates
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 1 Sep '26
    LOWgovernance
    Updates
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 7 Aug '26
    LOWgovernance
    Updates
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 6 Aug '26
    LOWgovernance
    Updates
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 5 Aug '26
    HIGHearnings
    Outcome of Board Meeting
    ›

    An exchange filing — open the original disclosure on NSE for the full text.

    View original filing on NSE ↗
  • 24 Jul '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 23 Jul '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 7 Jul '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 6 Jul '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 22 Jun '26
    MEDIUMgovernance
    Disclosure under SEBI Takeover Regulations
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 18 Jun '26
    MEDIUMgovernance
    Disclosure under SEBI Takeover Regulations
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 9 Jun '26
    MEDIUMgovernance
    Disclosure under SEBI Takeover Regulations
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 5 Jun '26
    LOWgovernance
    Analysts/Institutional Investor Meet/Con. Call Updates
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 4 Jun '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗
  • 3 Jun '26
    LOWgovernance
    Spurt in Volume
    ›

    A governance / disclosure filing — lower signal weight, context only.

    View original filing on NSE ↗

…and 5 more.

Ownership

Who holds SOTL

Mutual funds holding SOTL (1)

FundWeightAUM ₹crGrade
SBI Energy Opportunities Reg Gr3.16%8,647

ETFs holding SOTL (0)

No tracked ETF holds SOTL ≥0.5%.

Show company profile (about, sector, employees, IPO)
Native from atlas_foundation — lens journal, technical_daily, ohlcv_stock; TradingView for the live instrument view. ← Back to Chemicals