Start Filing Your ITR Now
Our plans start from ₹ 499/-

Orkla India Ltd Share Price Target From 2025 to 2030

Orkla India Ltd (formerly part of the global Orkla group’s India portfolio) operates within India’s consumer goods space, focusing on branded food and personal care categories. With strong promoter backing and a healthy dividend profile, the stock attracts investors looking for stability and steady cash returns. Near-term moves may be range-bound, but long-term compounding can be supported by premiumization, distribution gains, and margin efficiency.

In this article, we’ll explore Orkla India Ltd’s share price targets from 2025 to 2030, along with key market data, shareholding, and year-wise investment pointers.


Orkla India Ltd Share Price Today (As of November 2025)

Detail Value
Open ₹673.00
Previous Close ₹675.40
Volume 530,794
Value (Lacs) ₹3,644.70
VWAP ₹678.51
Beta (Volatility) -8.94 (data anomaly/illiquid reading; treat as non-representative)
Market Capitalization ₹9,406 Cr
Day’s High ₹690.50
Day’s Low ₹671.05
UC Limit ₹810.45
LC Limit ₹540.35
52-Week High ₹760.00
52-Week Low ₹671.05
Face Value ₹1
All-Time High ₹760.00
All-Time Low ₹671.05
Book Value Per Share ₹185.22
Dividend Yield 6.38%

About Orkla India Ltd

Orkla India Ltd focuses on branded consumer products, leveraging strong distribution, innovation, and brand equity. The company’s strategy typically emphasizes premiumization, portfolio rationalization, and disciplined capital allocation—supporting consistent cash generation and dividends.

Key Highlights

  • Strong promoter holding (75%) ensures strategic stability

  • High dividend yield (6.38%) attractive for income-focused investors

  • Solid book value (₹185.22) offers valuation anchor

  • Portfolio tailwinds from premiumization and distribution depth

  • Reported negative beta appears statistical/illiquidity-driven; use caution interpreting volatility


Orkla India Ltd Shareholding Pattern (As of 2025)

Investor Type Holding (%)
Promoters 75.00%
Retail & Others 17.42%
Foreign Institutions 3.62%
Mutual Funds 2.42%
Other Domestic Institutions 1.55%

High promoter ownership implies lower free float, which can magnify price swings during events, but also signals long-term commitment.


Orkla India Ltd Share Price Target 2025 to 2030

Year Minimum Target (₹) Maximum Target (₹)
2025 660 710
2026 700 770
2027 735 820
2028 770 865
2029 805 910
2030 850 975

These are illustrative, example-only projections built around current VWAP (₹678.51), recent trading band, dividend support, and typical FMCG re-rating trajectories.


Year-Wise Analysis & Investment Advice

✅ Orkla India Share Price Target 2025: ₹660 – ₹710

Stable range as the market prices in dividend yield and modest growth.
Why?

  • Defensive FMCG positioning

  • Near 52-week low offers valuation support
    Investment Advice: Accumulate on dips; prioritize income + stability.

✅ Orkla India Share Price Target 2026: ₹700 – ₹770

Gradual re-rating on premiumization and operating leverage.
Why?

  • Mix improvement and efficiency gains

  • Steady cash flows supporting payouts
    Investment Advice: Hold; reinvest dividends for compounding.

✅ Orkla India Share Price Target 2027: ₹735 – ₹820

Consistency in margins can push the upper band.
Why?

  • Brand investments and distribution depth

  • Working-capital discipline
    Investment Advice: SIP-style buying; review valuation vs. peers.

✅ Orkla India Share Price Target 2028: ₹770 – ₹865

Broader consumption growth and portfolio innovation help sustain momentum.
Why?

  • Product launches and premium SKUs

  • Potential rural recovery
    Investment Advice: Continue staggered entries; track margin resilience.

✅ Orkla India Share Price Target 2029: ₹805 – ₹910

Earnings compounding and balance-sheet strength support higher ranges.
Why?

  • Scale benefits and steady ROCE

  • Optionality from adjacencies/exports
    Investment Advice: Suitable for core, low-volatility allocation within consumer staples.

✅ Orkla India Share Price Target 2030: ₹850 – ₹975

Long-term case hinges on sustained cash generation and disciplined capital allocation.
Why?

  • Premiumization + distribution moat

  • Dividend continuity and potential buybacks/special payouts
    Investment Advice: Long-term wealth builder for conservative investors.


Should You Invest in Orkla India Ltd for the Long Term?

For investors seeking defensive growth with income, Orkla India Ltd fits well. Strong promoter backing, steady cash flows, and a healthy dividend yield make the stock attractive for patient, low-to-moderate risk profiles.

Key Reasons to Invest

  • High and reliable dividend yield (6.38%)

  • Premium brands and deep distribution

  • Promoter commitment and balance-sheet prudence

Risks to Watch Out For

  • Input cost inflation impacting margins

  • Slower-than-expected consumption cycles

  • Low free float can exaggerate price moves near events

  • Reported beta anomaly suggests data noise; rely on multi-period volatility checks

Always consult a SEBI-registered financial advisor before investing.


Conclusion

Orkla India Ltd offers a blend of income + steady growth within India’s consumer staples universe. Around the ₹673–₹690 trading zone with VWAP at ₹678.51, downside support comes from dividends and brand resilience. On optimistic yet conservative assumptions, ₹975 by 2030 is an example target range top—contingent on sustained execution, margin discipline, and steady consumption trends.


Frequently Asked Questions (FAQs) about Orkla India Ltd

  1. What is the current price range of Orkla India Ltd?
    Trading near ₹673–₹690 based on the latest open/high/low.

  2. What is the 52-week high and low?
    High: ₹760.00 | Low: ₹671.05.

  3. Is Orkla India a good long-term investment?
    Yes, for investors seeking defensive growth plus dividends.

  4. What is the expected share price of Orkla India in 2030?
    Illustrative: ₹850 – ₹975, assuming steady earnings and payouts.

  5. What is the market capitalization?
    ~₹9,406 crore.

  6. Who are the major shareholders?
    Promoters: 75% | Retail & Others: 17.42% | FIIs: 3.62% | Mutual Funds: 2.42% | ODIs: 1.55%.

  7. What is the dividend yield?
    ~6.38%, supportive for income strategies.

  8. What is the face value of shares?
    ₹1 per share.

  9. What is the book value per share?
    ₹185.22.

  10. Why is beta negative?
    Likely a data/statistical artifact due to short windows or low-float behavior; assess realized volatility over longer periods instead.


Disclaimer: This article is for educational and informational purposes only. All price targets are hypothetical examples based on the provided figures. Do your own research and consult a SEBI-registered financial advisor before investing.

author

The Tax Heaven

Mr.Vishwas Agarwal✍📊, a seasoned Chartered Accountant 📈💼 and the co-founder & CEO of THE TAX HEAVEN, brings 10 years of expertise in financial management and taxation. Specializing in ITR filing 📑🗃, GST returns 📈💼, and income tax advisory. He offers astute financial guidance and compliance solutions to individuals and businesses alike. Their passion for simplifying complex financial concepts into actionable insights empowers readers with valuable knowledge for informed decision-making. Through insightful blog content, he aims to demystify financial complexities, offering practical advice and tips to navigate the intricate world of finance and taxation.

Subscribe to the exclusive updates!