Cyient DLM Ltd Stock Analysis & Price Targets
Comprehensive Technical & Fundamental Analysis for 2025-2026
Price Target Forecast (Oct 2025 - Dec 2026)
Upside Price Targets
| Time Frame | Target Price (₹) | Potential Gain | Basis |
|---|---|---|---|
| Short Term (Oct-Dec 2025) | ₹520 - ₹560 | 10% - 19% | Technical Breakout & Q2 FY26 Results |
| Medium Term (Jan-Jun 2026) | ₹580 - ₹650 | 23% - 38% | PE Expansion & Order Wins |
| Long Term (Jul-Dec 2026) | ₹680 - ₹780 | 44% - 65% | Revenue Growth & Market Share Expansion |
Downside Price Targets
| Time Frame | Target Price (₹) | Potential Loss | Basis |
|---|---|---|---|
| Short Term (Oct-Dec 2025) | ₹430 - ₹400 | 9% - 15% | Market Correction & Profit Booking |
| Medium Term (Jan-Jun 2026) | ₹380 - ₹350 | 19% - 26% | Earnings Miss & Sector Weakness |
| Long Term (Jul-Dec 2026) | ₹320 - ₹280 | 32% - 41% | Economic Slowdown & Order Cancellations |
Technical Analysis Levels
Resistance Levels
- ₹520 - Immediate Resistance
- ₹560 - Strong Resistance
- ₹600 - Psychological Resistance
- ₹650 - Previous High Resistance
- ₹720 - All-time High Resistance
Support Levels
- ₹450 - Immediate Support
- ₹420 - Strong Support
- ₹400 - Psychological Support
- ₹380 - 52W Low Support
- ₹350 - Strong Buy Zone
Breakout & Breakdown Levels
- Breakout Level: ₹520 (Confirmed with volume)
- Strong Breakout: ₹560 (Opens way to ₹650+)
- Breakdown Level: ₹450 (Could lead to ₹420)
- Strong Breakdown: ₹400 (Could lead to ₹350)
Strong Buy & Sell Zones
- Strong Buy Zone: ₹380 - ₹420
- Accumulation Zone: ₹420 - ₹450
- Profit Booking: ₹600 - ₹650
- Strong Sell Zone: ₹700+
Expected Financial Performance 2026
| Financial Indicator | Projected 2026 | Growth vs 2025 | Calculation Basis |
|---|---|---|---|
| Revenue | ₹19.40B | 27.6% | Based on 3-year CAGR of 25-30% |
| Operating Expense | ₹3.70B | 27.6% | Proportional to revenue growth |
| Net Income | ₹870M | 27.8% | Improved operational efficiency |
| Net Profit Margin | 4.48% | Stable | Maintaining current margin levels |
| EPS | ₹10.97 | 28.2% | Based on net income growth |
| EBITDA | ₹1.74B | 27.9% | Consistent with revenue growth |
| P/E Ratio | 52-58 | Stable | Industry average consideration |
Investment Strategy & Tips
Short Term Trading (0-3 Months)
Targets: ₹520 - ₹560
- Buy near support levels (₹450-₹470) with strict stop loss at ₹430
- Trade breakouts above ₹520 with increased volume confirmation
- Book partial profits at ₹520 and ₹560 resistance levels
- Monitor Q2 FY26 results for directional cues
Medium Term Investment (3-12 Months)
Targets: ₹580 - ₹650
- Accumulate on dips between ₹420-₹470 range
- Hold with stop loss at ₹400 for medium term perspective
- Watch for order announcements and sector developments
- Consider partial profit booking above ₹600 levels
Long Term Investment (1+ Years)
Targets: ₹680 - ₹780+
- Buy systematically in corrections below ₹450
- Hold core position with 2-3 year perspective
- Monitor quarterly execution and management guidance
- Review investment if fundamentals deteriorate significantly
Frequently Asked Questions
Disclaimer
This analysis is for educational and informational purposes only and should not be considered as financial advice or recommendation to buy/sell any securities. The price targets and projections are based on current financial data, technical analysis, and market conditions which can change anytime. Company financial positions, market dynamics, and economic factors can change rapidly, so investors should regularly monitor their investments, review company financial performance, and stay updated with news related to the company. Past performance is not indicative of future results. Always consult with a qualified financial advisor before making investment decisions.


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