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UNOMINDA UNO Minda Ltd. — Smart-Money Activity, F&O Buildup & Bulk Deals

Sector: Automobile and Auto Components
₹ 1,085.00
-1.79%
1-year price · range ₹1,018–₹1,337

Smart Money Verdict synthesis of derivatives, deals, and promoter files

No significant institutional activity detected
Derivative metrics and institutional flows are quiet. No recent bulk deals or insider disclosures have been reported.

Analysis what the data is telling us about UNOMINDA

In the last completed session, UNO Minda Ltd. closed -0.99% with futures open interest moving -0.2%. Positioning is neutral — neither side is decisively adding or unwinding right now. The option PCR of 1.05 is balanced — no clear directional preference from option writers. Max-pain strike at ₹1,140 sits 5.1% above the current price, a mild magnet near expiry.

There have been no notable bulk or block deals from FIIs, mutual funds, or insurance companies in UNO Minda Ltd. over the last 30 sessions.

Putting it together, the smart-money picture for UNO Minda Ltd. lacks a clear directional bias.

F&O Positioning EOD derivatives setup

Buildup Class
Neutral
bias: neutral
Futures OI
5,984,000
-9350 (-0.2%)
Option PCR (OI)
1.05
heavy put writing
Max Pain Strike
₹ 1,140
writer loss minimized strike

Quote Details key metrics & weights

Previous Close
₹ 1,104.80
yesterday's EOD close
Index Contribution
—
not a Nifty 50 constituent
Traded Volume
479,061
live shares traded today
Upcoming Earnings
—
no report scheduled

Technical Snapshot as of 2026-10-07 close · from 400 sessions of price history

RSI (14)
33.7
neutral momentum
52-Week High
₹ 1,382.00
-20.1% from high
52-Week Low
₹ 994.00
+11.2% above low
200-DMA
₹ 1,162.21
-4.9% · below trend
50-DMA
₹ 1,224.90
-9.8% from 50-DMA
1-Year Return
-17.3%
1M -11.0%

Key Fundamentals headline ratios · Consumer Cyclical

P/E (TTM)
53.8
price / earnings
P/B
9.3
price / book
ROE
—
return on equity
Market Cap
₹ 63,799 Cr
total market value
Dividend Yield
0.24%
trailing yield
EPS (TTM)
₹ 20.53
earnings per share

Fundamental ratios sourced from public market data, refreshed periodically; verify against company filings before relying on them.

Institutional Deals last 30 sessions (bulk & block)

No institutional bulk or block deals recorded for this stock in the last 30 sessions.

Broker Calls as reported · last 120 days

DateBrokerageCallTargetSource
2026-09-12 Emkay Downgrade · Reduce — Moneycontrol.com
2026-09-03 Emkay Downgrade · Reduce — Moneycontrol.com
2026-08-30 Emkay Downgrade · Reduce — Moneycontrol.com
2026-08-27 Emkay Downgrade · Reduce — Moneycontrol.com
2026-08-21 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-21 Emkay Downgrade · Reduce — Moneycontrol.com
2026-08-20 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-19 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-18 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-17 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-16 Motilal Oswal Initiate · Buy — NDTV Profit
2026-08-16 Emkay Downgrade · Reduce — Moneycontrol.com
Analyst calls as reported in the business press — collected and matched by Strota, not recommendations. Targets are the reporting publication's figures.

Insider & Promoter Filings last 60 days

No insider disclosures filed for this stock in the last 60 days.

Option Chain Ladder nearest expiry 2026-10-27 · spot 1,105 · EOD 2026-10-07

Option writers expect range between 1,100 and 1,300 — +17.7% upside, -0.4% downside.
upside-skewed
Call OI (writers) Strike Put OI (writers)
0
IV 234% Δ 0.69 θ -5.5 ν 1
980
550
0
IV 152% Δ 0.68 θ -3.7 ν 1
1000
40,700 -2k
0
IV 215% Δ 0.66 θ -5.3 ν 1
1020
58,300 +47k
IV 33% Δ -0.13 θ -0.4 ν 1
11,000
IV 41% Δ 0.77 θ -1.0 ν 1
1040
40,150 -2k
IV 33% Δ -0.19 θ -0.6 ν 1
0
IV 198% Δ 0.63 θ -5.1 ν 1
1060
418,000 -1k
IV 31% Δ -0.25 θ -0.6 ν 1
10,450
IV 35% Δ 0.64 θ -1.0 ν 1
1080
33,550 +3k
IV 32% Δ -0.35 θ -0.7 ν 1
67,650 +13k
IV 28% Δ 0.56 θ -0.8 ν 1
1100 S
436,700 +11k
IV 31% Δ -0.44 θ -0.7 ν 1
114,400 +32k
IV 29% Δ 0.45 θ -0.8 ν 1
1120
43,450 +12k
IV 31% Δ -0.54 θ -0.7 ν 1
73,700 +14k
IV 29% Δ 0.35 θ -0.8 ν 1
1140 MP
81,400 +2k
IV 27% Δ -0.67 θ -0.5 ν 1
101,200 +22k
IV 30% Δ 0.26 θ -0.7 ν 1
1160
71,500 -1k
IV 31% Δ -0.73 θ -0.5 ν 1
67,650 +11k
IV 30% Δ 0.19 θ -0.6 ν 1
1180
34,650 -2k
IV 38% Δ -0.75 θ -0.7 ν 1
142,450 +7k
IV 31% Δ 0.14 θ -0.5 ν 1
1200
54,450 -6k
IV 40% Δ -0.80 θ -0.6 ν 1
67,650 -2k
1220
37,400

Chain Interpretation

Spot Underlying 1,104.81
Key Resistance (R) 1,300
Key Support (S) 1,100
Max Pain Strike (MP) 1,140
Concentrations of Option open interest show strong barrier levels. Option writers defend these levels, especially heading into monthly derivatives expiry.

Strategy Builder multi-leg payoff for UNOMINDA options · 2026-10-27 expiry

Underlying: UNOMINDA · Spot: ₹ 1,104.81 · Expiry: 2026-10-27 · Lot: 550

Legs

Side
Type
Strike
Qty
Premium
Net premium—
Max profit—
Max loss—
Breakevens—
Position Delta—
Position Theta/day—
Position Vega/1% IV—

Payoff at expiry

Latest News recent coverage from Reuters, Simply Wall St, MT Newswires and others

No recent news articles found for this stock.

UNOMINDA — frequently asked questions

What is the UNO Minda Ltd. share price today?

UNOMINDA is trading at ₹1,085.00 (-1.79% vs previous close), per the latest update on this page.

What is the P/E ratio of UNO Minda Ltd.?

UNOMINDA (UNO Minda Ltd.) has a trailing twelve-month P/E ratio of 53.8.

What is the market cap of UNO Minda Ltd.?

UNOMINDA has a market capitalisation of approximately ₹63,799 crore.

Is UNOMINDA near its 52-week high?

UNOMINDA is trading -20.1% from its 52-week high of ₹1,382.00 as of 2026-10-07.

What is the RSI of UNOMINDA?

The 14-day RSI of UNOMINDA is 33.7, which is considered neutral.

Is UNOMINDA above its 200-day moving average?

UNOMINDA is trading below its 200-DMA of ₹1,162.21 (-4.9% away).

What is the F&O buildup in UNOMINDA?

The latest end-of-day derivatives data classifies UNOMINDA as Neutral (bias: neutral), based on the day's combined price and open-interest change.

What is the max pain and PCR for UNOMINDA options?

UNOMINDA's option-chain max pain strike is ₹1,140 and its put-call ratio (OI) is 1.05, from the latest end-of-day option chain.

Are FIIs or big investors buying UNOMINDA?

Strota tracks every bulk and block deal in UNOMINDA with named buyers and sellers, plus promoter and insider filings — the tables on this page list the most recent institutional activity as disclosed to the exchanges.

What is the latest broker call on UNOMINDA?

The most recent analyst call reported in the press is Emkay: Downgrade · Reduce (2026-09-12). The Broker Calls section on this page lists reported calls from the last 120 days with links to the original reports.