AQYLON
Aqylon Nexus Limited
Each stock's 10,000-path forecast, rendered as light.
Aqylon Nexus Limited (AQYLON) Stock Analysis & Case Study
Is AQYLON a good buy? The data-driven verdict.
Aqylon Nexus Limited (AQYLON) trades at ₹27,on the numbers it worth a closer look, a Downstox Snapshot Score of 59/100.
On the numbers, Aqylon Nexus Limited (AQYLON) worth a closer look, a Downstox Snapshot Score of 59/100, weighing ROE of 391.0%, a 47% model probability of trading higher in a year. Below: the full bull case, bear case, sector-relative valuation, and a probability-weighted price target for 2027-2031.
Last updated . Data snapshot for research, not investment advice.
AQYLON fundamentals at a glance, PE, PB, ROE, ROCE, market cap, dividend yield
How AQYLON ranks against the 2,373 companies in our screener
- AQYLON's market cap of 683 Cr ranks in the 32nd percentile of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- AQYLON's book value of ₹-0 ranks in the bottom 3% of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- AQYLON's promoter holding of 45.6% ranks in the 23rd percentile of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- AQYLON's 3-year profit (PAT) growth of 26.0% ranks in the 65th percentile of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- AQYLON's 3-year revenue growth of 26.0% ranks in the 81st percentile of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
We do not hold a debt-to-equity ratio figure for AQYLON, as of 9 Aug 2026, so it is not ranked here.
AQYLON share price target 2027, 2028, 2029, 2030, 2031, a probability view
Unlike a single guessed number, this is a probability-weighted range from a 10,000-path Monte-Carlo simulation on 9.8y of AQYLON history (-25%/yr drift, 57%/yr volatility).
| Year | Low (P10) | Median target (P50) | High (P90) | Upside vs today |
|---|---|---|---|---|
| AQYLON 2027 | ₹12 | ₹26 | ₹54 | -4% |
| AQYLON 2028 | ₹9 | ₹25 | ₹68 | -9% |
| AQYLON 2029 | ₹7 | ₹23 | ₹81 | -13% |
| AQYLON 2030 | ₹5 | ₹22 | ₹94 | -17% |
| AQYLON 2031 | ₹4 | ₹21 | ₹108 | -20% |
Median (P50) is the central estimate; the P10-P90 band is the 80% confidence range. Probabilities, not promises.
What is the probability AQYLON goes up, or doubles?
The bull case for AQYLON
- AQYLON's return on equity of 391.0% ranks in the top 1% of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- AQYLON's return on capital employed of 39.2% ranks in the top 3% of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
- Upside scenario: the model's optimistic (P90) 3-year path reaches ₹81.
The bear case & risks
- High historical volatility (57%/yr) means a wide, bumpy range of outcomes, size positions accordingly.
- Downside scenario: the model's pessimistic (P10) 3-year path falls to ₹7.
AQYLON volatility & expected range, how bumpy is the ride?
Over the last 9.8 years AQYLON compounded at -25%/year with annualized volatility of 57%. That volatility implies a 1-year 80% range of ₹12-₹54, the honest backbone behind any single price target.
AQYLON price forecast, the full 60-month probability fan
AQYLON price probability fan
Each band shows where 10,000 simulated paths land. The wider the fan, the more uncertainty.
Probability of key outcomes
What are the odds AQYLON hits common targets within the simulated horizon?
Full multi-horizon detail on the AQYLON price target & forecast page.
AQYLON Piotroski F-Score: 4/8, how financially strong is it?
The Piotroski F-Score grades financial strength on profitability, leverage and efficiency checks. Downstox scores the eight checks it can verify from published filings, so 8 is full marks. AQYLON scores 4/8, mixed financial health.
AQYLON MTF margin & leverage across 2 brokers
Margin Trading Facility lets you buy AQYLON with part of the capital. Lower margin % = higher leverage. Rates compared across 2 brokers (no competitor publishes this):
| Broker | Margin required | Approx. leverage |
|---|---|---|
| Kotak Neo | 100.00% | 1.0× |
| Share IndiaCHEAPEST | 41.81% | 2.4× |
Compare every broker on the AQYLON MTF page.
About Aqylon Nexus Limited: sector, index & market-cap context
Aqylon Nexus Limited (AQYLON) is a small-cap NSE-listed company, with a market capitalisation of ₹683 Cr. See more stocks on our screener.
How the AQYLON Snapshot Score & forecast are built
The Downstox Snapshot Score is a transparent, rules-based read of Aqylon Nexus Limited's public fundamentals plus a statistical forecast, not an analyst opinion. It rewards low-to-fair valuation, high ROE/ROCE, a strong Piotroski F-Score, a dividend, low volatility and a favourable probability of upside; it penalises rich valuations, weak capital efficiency, a low F-Score and high volatility. The price target is a 10,000-path Monte-Carlo simulation on real historical volatility, a distribution, not a single guess. The bull and bear cases are generated from the same data, so you always see both sides.
This is information, not investment advice. Do your own due diligence and consult a SEBI-registered adviser before investing.
AQYLON analysis, FAQs
Is Aqylon Nexus Limited (AQYLON) a good buy?
On the numbers, Aqylon Nexus Limited (AQYLON) worth a closer look, a Downstox Snapshot Score of 59/100, weighing ROE of 391.0%, a 47% model probability of trading higher in a year. This is a data snapshot for research, not investment advice.
Is AQYLON overvalued or undervalued?
Valuation ratios for AQYLON are tracked live on Downstox.
What is the AQYLON share price target for 2031?
AQYLON's probability-weighted 2031 median target is ₹21, with an 80% range of ₹4-₹108 (10,000-path Monte-Carlo).
What is the probability AQYLON doubles in 5 years?
The modelled probability of AQYLON reaching ₹54 (2×) within 5 years is 23%.
What is the bull case for AQYLON?
AQYLON's return on equity of 391.0% ranks in the top 1% of the 2,373 NSE companies in our screener, as of 9 Aug 2026. AQYLON's return on capital employed of 39.2% ranks in the top 3% of the 2,373 NSE companies in our screener, as of 9 Aug 2026.
What are the risks in AQYLON?
High historical volatility (57%/yr) means a wide, bumpy range of outcomes, size positions accordingly.