Godrej Consumer Products Ltd.

933-1.48%

2026-08-21

godrejcp.comBSE: 532424NSE: GODREJCP
Market Cap₹ 95,167 Cr.
Current Price₹ 947
High / Low₹ 1,309 / 906
Stock P/E49.7
Book Value₹ 128
Price to Book7.98
Dividend Yield2.15 %
ROCE18.0 %
ROE15.1 %
Face Value₹ 1

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ABOUT

KEY POINTS

Revenue Breakup Mar 2026 • Personal Care: 57.4% • Home care: 42.1% • Other Operating Revenues: 0.5%

PROS

  • Strong cash generation - operating cash flow backs reported profits (CFO/PAT 2.26x)
  • Working capital cycle has improved - days down from 9 to -15
  • Company comfortably covers its interest (8.5x coverage)
  • Company generates healthy free cash flow
  • Company maintains a comfortable, low leverage position

CONS

  • Promoter holding has decreased over last 2 years: -10.0pp
  • Company has a low return on equity of 8.7% over last 3 years
  • Company has delivered a poor profit growth of 1.6% over past five years
  • Recurring exceptional / one-off items are inflating headline profit
  • Stock is trading at 8.0x its book value
  • Company has delivered a poor sales growth of 6.6% over past five years

* The pros and cons are machine generated based on quantitative rules.

Peer comparison

EDIT COLUMNS
S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %NP Qtr Rs.Cr.Qtr Profit Var %Sales Qtr Rs.Cr.Qtr Sales Var %ROCE %OPM %
1.HINDUNILVR2016.0031.67473677.602.032680.00-3.1817341.006.2428.9822.76
2.GODREJCP930.0049.7395167.362.15504.5211.514225.4716.0217.9618.96
3.DABUR398.5035.8570692.192.07586.1615.323764.3910.5721.3719.68
4.COLPAL1876.00117.5451024.502.563430.80970.0516033.001018.01110.0630.12
5.CUPID284.30278.2838228.700.00441.492841.891569.802524.6417.0439.70
6.PGHH8238.400.0026742.453.10126.27-34.25891.46-4.67157.8119.08
7.GILLETTE7505.550.0024457.003.20159.459.44783.0210.8090.6229.09
8.EMAMILTD400.8023.3817494.922.50138.94-15.411039.2114.9529.5421.61
9.GALAXYSURF2361.5023.668372.640.93165.92108.731781.9039.4413.3913.99
10.JYOTHYLAB207.8020.607630.721.6876.27-2.41666.961.0630.7115.49
11.SFL678.0034.527403.980.1562.34770.671031.9425.636.7610.85
12.SAFARI1481.9543.997261.160.2747.75-5.43588.5811.5121.5512.81
Detailed Comparison with:

Quarterly Results

Consolidated Figures in Rs. Crores / View Standalone

Jun 2023
3,418
2,806
Operating Profit
OPM %
Other Income
69
Interest
74
Depreciation
76
480
Tax %
33.56%
Net Profit
0
3
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Sep 2023
3,568
2,898
Operating Profit
OPM %
Other Income
66
Interest
77
Depreciation
61
619
Tax %
30.13%
Net Profit
0
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Dec 2023
3,623
2,819
Operating Profit
OPM %
Other Income
70
Interest
67
Depreciation
54
783
Tax %
25.83%
Net Profit
0
6
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Mar 2024
3,365
2,630
Operating Profit
OPM %
Other Income
64
Interest
78
Depreciation
50
-1,684
Tax %
-12.39%
Net Profit
0
-19
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Jun 2024
3,311
2,607
Operating Profit
OPM %
Other Income
77
Interest
88
Depreciation
49
644
Tax %
30.02%
Net Profit
451
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Sep 2024
3,647
2,907
Operating Profit
OPM %
Other Income
86
Interest
83
Depreciation
50
707
Tax %
30.47%
Net Profit
491
5
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Dec 2024
3,749
3,012
Operating Profit
OPM %
Other Income
83
Interest
90
Depreciation
62
682
Tax %
26.90%
Net Profit
498
5
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Mar 2025
3,494
2,755
Operating Profit
OPM %
Other Income
74
Interest
90
Depreciation
73
639
Tax %
35.58%
Net Profit
412
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Jun 2025
3,642
2,967
Operating Profit
OPM %
Other Income
85
Interest
86
Depreciation
59
614
Tax %
26.28%
Net Profit
452
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Sep 2025
3,802
3,092
Operating Profit
OPM %
Other Income
63
Interest
76
Depreciation
66
625
Tax %
26.51%
Net Profit
459
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Dec 2025
4,079
3,219
Operating Profit
OPM %
Other Income
56
Interest
79
Depreciation
66
700
Tax %
28.87%
Net Profit
498
5
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Mar 2026
3,885
3,059
Operating Profit
OPM %
Other Income
69
Interest
90
Depreciation
76
651
Tax %
30.65%
Net Profit
452
4
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Jun 2026
4,225
3,585
Operating Profit
OPM %
Other Income
52
Interest
86
Depreciation
75
677
Tax %
25.43%
Net Profit
505
0
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
102
Reserves
0
Promoter Pledge %
0.00%

Profit & Loss

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
9,268
7,361
Operating Profit
1,982
OPM %
21
Other Income
75
Interest
154
Depreciation
142
1,687
Tax %
22
Net Profit
1,308
EPS
19
Dividend Payout %
39
Minority Interest
-4
Share of Associates
0
Adjusted EPS
13
Minority Interest
-4
Share of Associates
0
Adjusted EPS
13
Mar 2018
9,847
7,776
Operating Profit
2,187
OPM %
22
Other Income
116
Interest
173
Depreciation
156
2,039
Tax %
20
Net Profit
1,634
EPS
16
Dividend Payout %
63
Minority Interest
0
Share of Associates
0
Adjusted EPS
16
Minority Interest
0
Share of Associates
0
Adjusted EPS
16
Mar 2019
10,314
8,183
Operating Profit
2,240
OPM %
22
Other Income
109
Interest
238
Depreciation
170
2,085
Tax %
-12
Net Profit
2,342
EPS
23
Dividend Payout %
65
Minority Interest
0
Share of Associates
0
Adjusted EPS
23
Minority Interest
0
Share of Associates
0
Adjusted EPS
23
Mar 2020
9,911
7,757
Operating Profit
2,266
OPM %
23
Other Income
112
Interest
228
Depreciation
197
1,760
Tax %
15
Net Profit
1,497
EPS
15
Dividend Payout %
55
Minority Interest
0
Share of Associates
0
Adjusted EPS
15
Minority Interest
0
Share of Associates
0
Adjusted EPS
15
Mar 2021
11,029
8,629
Operating Profit
2,466
OPM %
22
Other Income
67
Interest
138
Depreciation
204
2,080
Tax %
17
Net Profit
1,721
EPS
17
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Mar 2022
12,276
9,869
Operating Profit
2,497
OPM %
20
Other Income
90
Interest
122
Depreciation
210
2,155
Tax %
17
Net Profit
1,783
EPS
17
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Mar 2023
13,316
10,873
Operating Profit
2,612
OPM %
20
Other Income
168
Interest
188
Depreciation
236
2,133
Tax %
20
Net Profit
1,702
EPS
17
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Minority Interest
0
Share of Associates
0
Adjusted EPS
17
Mar 2024
14,096
11,139
Operating Profit
3,226
OPM %
23
Other Income
269
Interest
310
Depreciation
241
198
Tax %
383
Net Profit
-561
EPS
-5
Dividend Payout %
-91
Minority Interest
0
Share of Associates
0
Adjusted EPS
-5
Minority Interest
0
Share of Associates
0
Adjusted EPS
-5
Mar 2025
13,997
10,983
Operating Profit
3,330
OPM %
24
Other Income
316
Interest
361
Depreciation
234
2,672
Tax %
31
Net Profit
1,852
EPS
18
Dividend Payout %
138
Minority Interest
0
Share of Associates
0
Adjusted EPS
18
Minority Interest
0
Share of Associates
0
Adjusted EPS
18
Mar 2026
15,178
12,010
Operating Profit
3,435
OPM %
23
Other Income
266
Interest
344
Depreciation
268
2,590
Tax %
28
Net Profit
1,861
EPS
18
Dividend Payout %
110
Minority Interest
0
Share of Associates
0
Adjusted EPS
18
Minority Interest
0
Share of Associates
0
Adjusted EPS
18
TTM
15,992
12,955
Operating Profit
OPM %
Other Income
240
Interest
331
Depreciation
283
2,653
Tax %
28
Net Profit
1,914
EPS
Dividend Payout %
Minority Interest
0
Share of Associates
0
Adjusted EPS
Minority Interest
0
Share of Associates
0
Adjusted EPS

COMPOUNDED SALES GROWTH

10 Years:
6%
5 Years:
7%
3 Years:
4%

COMPOUNDED PROFIT GROWTH

10 Years:
8%
5 Years:
2%
3 Years:
3%

STOCK PRICE CAGR

10 Years:
6%
5 Years:
-2%
3 Years:
-3%
1 Year:
-24%

RETURN ON EQUITY

10 Years:
19%
5 Years:
11%
3 Years:
9%
Last Year:
15%

Balance Sheet

Consolidated Figures in Rs. Crores / View Standalone

Corporate actions

2018

Sep 12

1:2

Bonus issue

2017

Jun 22

1:1

Godrej Consumer Products Ltd has informed BSE that the Board of Directors of the Company at its meeting held on May 09, 2017, inter alia, has: 1. Declared a fourth interim dividend @ Rs. 12/- per share (1200% on the shares of the face value of Re. 1/- each) for the financial year 2016-17. As intimated earlier the Record Date for ascertaining the names of the shareholders who will be entitled to receive the said dividend is May 17, 2017. The dividend will be paid on May 31, 2017. 2. Recommended that the four interim dividends pertaining to the Financial year 2016-17 declared by the Board of Directors at its meeting held on July 29, 2016, November 7, 2016, January 30, 2017 and May 9, 2017 and aggregating to Rs. 15/-per share (1500% on the shares of the face value of Re. 1 each), be declared as final dividend for the year ended March 31, 2017. 3. Recommended the following for approval of the members: a) Increase in the existing Authorised Share Capital from Rs. 42,00,00,000 (Rupees Forty-two crore) divided into 41,00,00,000 Equity Shares and 1,00,00,000 Preference Shares of Re. 1 each to Rs. 70,00,00,000 (Rupees Seventy crore) divided into 69,00,00,000 Equity Shares and 1,00,00,000 Preference Shares of Re. 1 each and consequent alteration of Memorandum and Articles of Association. b) Issue of Bonus Shares in the ratio of 1:1, i.e. one bonus equity share of Re. 1/- each for every one fully paid-up equity share held, as on the record date. The record date to ascertain members eligible to receive bonus shares will be fixed in due course.

Mar 2017
Equity Capital
34
5,258
233
Trade Payables
1,724
5,692
Total Liabilities
12,940
8,083
Capital Work in Progress
95
934
1,412
0
Cash & Bank
913
1,504
Total Assets
12,940
Total Debt
4,001
Net Working Capital
1,024
Contingent Liabilities
730
Book Value per Share
155.38
Face Value
1.00
Total Debt
4,001
Net Working Capital
1,024
Contingent Liabilities
730
Book Value per Share
155.38
Face Value
1.00
Mar 2018
Equity Capital
68
6,179
154
Trade Payables
2,353
5,110
Total Liabilities
13,864
8,315
Capital Work in Progress
82
997
1,578
0
Cash & Bank
960
1,931
Total Assets
13,864
Total Debt
3,508
Net Working Capital
993
Contingent Liabilities
894
Book Value per Share
91.69
Face Value
1.00
Total Debt
3,508
Net Working Capital
993
Contingent Liabilities
894
Book Value per Share
91.69
Face Value
1.00
Mar 2019
Equity Capital
102
7,152
271
Trade Payables
2,540
3,555
Total Liabilities
13,621
8,670
Capital Work in Progress
51
516
1,559
0
Cash & Bank
895
1,930
Total Assets
13,621
Total Debt
3,382
Net Working Capital
797
Contingent Liabilities
878
Book Value per Share
70.97
Face Value
1.00
Total Debt
3,382
Net Working Capital
797
Contingent Liabilities
878
Book Value per Share
70.97
Face Value
1.00
Mar 2020
Equity Capital
102
7,783
519
Trade Payables
2,480
3,425
Total Liabilities
14,310
9,231
Capital Work in Progress
56
672
1,703
0
Cash & Bank
770
1,878
Total Assets
14,310
Total Debt
3,518
Net Working Capital
262
Contingent Liabilities
1,053
Book Value per Share
77.14
Face Value
1.00
Total Debt
3,518
Net Working Capital
262
Contingent Liabilities
1,053
Book Value per Share
77.14
Face Value
1.00
Mar 2021
Equity Capital
102
9,329
279
Trade Payables
2,012
1,883
Total Liabilities
13,606
8,905
Capital Work in Progress
53
679
1,716
0
Cash & Bank
672
1,581
Total Assets
13,606
Total Debt
1,768
Net Working Capital
337
Contingent Liabilities
1,057
Book Value per Share
92.24
Face Value
1.00
Total Debt
1,768
Net Working Capital
337
Contingent Liabilities
1,057
Book Value per Share
92.24
Face Value
1.00
Mar 2022
Equity Capital
102
11,440
839
Trade Payables
2,163
858
Total Liabilities
15,403
9,219
Capital Work in Progress
115
1,015
2,130
0
Cash & Bank
1,108
1,815
Total Assets
15,403
Total Debt
1,608
Net Working Capital
1,716
Contingent Liabilities
909
Book Value per Share
112.88
Face Value
1.00
Total Debt
1,608
Net Working Capital
1,716
Contingent Liabilities
909
Book Value per Share
112.88
Face Value
1.00
Mar 2023
Equity Capital
102
13,668
622
Trade Payables
1,823
580
Total Liabilities
16,796
9,934
Capital Work in Progress
42
3,029
1,537
1,245
Cash & Bank
391
619
Total Assets
16,796
Total Debt
1,034
Net Working Capital
2,515
Contingent Liabilities
869
Book Value per Share
134.65
Face Value
1.00
Total Debt
1,034
Net Working Capital
2,515
Contingent Liabilities
869
Book Value per Share
134.65
Face Value
1.00
Mar 2024
Equity Capital
102
12,459
3,155
Trade Payables
1,675
720
Total Liabilities
18,112
10,430
Capital Work in Progress
78
3,504
1,271
1,535
Cash & Bank
547
747
Total Assets
18,112
Total Debt
3,155
Net Working Capital
-37
Contingent Liabilities
465
Book Value per Share
122.82
Face Value
1.00
Total Debt
3,155
Net Working Capital
-37
Contingent Liabilities
465
Book Value per Share
122.82
Face Value
1.00
Mar 2025
Equity Capital
102
11,861
3,883
Trade Payables
2,142
1,310
Total Liabilities
19,298
10,590
Capital Work in Progress
458
3,645
1,419
1,819
Cash & Bank
483
884
Total Assets
19,298
Total Debt
3,883
Net Working Capital
393
Contingent Liabilities
567
Book Value per Share
116.94
Face Value
1.00
Total Debt
3,883
Net Working Capital
393
Contingent Liabilities
567
Book Value per Share
116.94
Face Value
1.00
Mar 2026
Equity Capital
102
12,517
4,136
Trade Payables
2,302
1,885
Total Liabilities
20,942
12,471
Capital Work in Progress
220
2,767
1,659
1,837
Cash & Bank
1,005
983
Total Assets
20,942
Total Debt
4,136
Net Working Capital
-687
Contingent Liabilities
599
Book Value per Share
123.33
Face Value
1.00
Total Debt
4,136
Net Working Capital
-687
Contingent Liabilities
599
Book Value per Share
123.33
Face Value
1.00

Cash Flows

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
1,860
Cash from Investing
-2,170
Cash from Financing
665
355
Free Cash Flow
-460
OCF / Net Profit
1.42
Cumulative 5-Year FCF
0
OCF / Net Profit
1.42
Cumulative 5-Year FCF
0
Mar 2018
1,723
Cash from Investing
-340
Cash from Financing
-1,384
-0
Free Cash Flow
1,354
OCF / Net Profit
1.05
Cumulative 5-Year FCF
0
OCF / Net Profit
1.05
Cumulative 5-Year FCF
0
Mar 2019
1,729
Cash from Investing
252
Cash from Financing
-2,039
-58
Free Cash Flow
1,307
OCF / Net Profit
0.74
Cumulative 5-Year FCF
0
OCF / Net Profit
0.74
Cumulative 5-Year FCF
0
Mar 2020
1,588
Cash from Investing
-533
Cash from Financing
-1,295
-240
Free Cash Flow
818
OCF / Net Profit
1.06
Cumulative 5-Year FCF
0
OCF / Net Profit
1.06
Cumulative 5-Year FCF
0
Mar 2021
2,030
Cash from Investing
-316
Cash from Financing
-1,816
-102
Free Cash Flow
2,030
OCF / Net Profit
1.18
Cumulative 5-Year FCF
5,048
OCF / Net Profit
1.18
Cumulative 5-Year FCF
5,048
Mar 2022
1,451
Cash from Investing
-864
Cash from Financing
-380
207
Free Cash Flow
833
OCF / Net Profit
0.81
Cumulative 5-Year FCF
6,341
OCF / Net Profit
0.81
Cumulative 5-Year FCF
6,341
Mar 2023
2,151
Cash from Investing
-1,758
Cash from Financing
-794
-402
Free Cash Flow
1,322
OCF / Net Profit
1.26
Cumulative 5-Year FCF
6,309
OCF / Net Profit
1.26
Cumulative 5-Year FCF
6,309
Mar 2024
2,070
Cash from Investing
-3,363
Cash from Financing
1,406
113
Free Cash Flow
70
OCF / Net Profit
-3.69
Cumulative 5-Year FCF
5,073
OCF / Net Profit
-3.69
Cumulative 5-Year FCF
5,073
Mar 2025
2,577
Cash from Investing
-344
Cash from Financing
-2,182
52
Free Cash Flow
1,968
OCF / Net Profit
1.39
Cumulative 5-Year FCF
6,223
OCF / Net Profit
1.39
Cumulative 5-Year FCF
6,223
Mar 2026
2,488
Cash from Investing
355
Cash from Financing
-2,388
456
Free Cash Flow
424
OCF / Net Profit
1.34
Cumulative 5-Year FCF
4,617
OCF / Net Profit
1.34
Cumulative 5-Year FCF
4,617

Ratios

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
EPS (₹)
38.29
Book Value (₹)
155.38
Dividend per Share (₹)
15.00
Cash EPS (₹)
14.19
Operating Margin %
20.63%
Net Margin %
13.61%
ROE %
27.39%
ROCE %
22.37%
11.57%
Debtor Days
41
Inventory Days
52
Payable Days
142
-49
Debt to Equity (x)
0.76x
Interest Coverage (x)
11.94x
1.31x
Revenue Growth %
10.02%
Operating Profit Growth %
14.65%
Net Profit Growth %
57.47%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2018
EPS (₹)
23.99
Book Value (₹)
91.69
Dividend per Share (₹)
15.00
Cash EPS (₹)
17.51
Operating Margin %
22.00%
Net Margin %
16.44%
ROE %
28.32%
ROCE %
23.20%
12.19%
Debtor Days
42
Inventory Days
55
Payable Days
174
-77
Debt to Equity (x)
0.56x
Interest Coverage (x)
12.78x
1.24x
Revenue Growth %
6.25%
Operating Profit Growth %
10.35%
Net Profit Growth %
24.94%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2019
EPS (₹)
22.91
Book Value (₹)
70.97
Dividend per Share (₹)
15.00
Cash EPS (₹)
24.57
Operating Margin %
19.44%
Net Margin %
20.32%
ROE %
34.69%
ROCE %
22.76%
17.04%
Debtor Days
40
Inventory Days
50
Payable Days
196
-106
Debt to Equity (x)
0.47x
Interest Coverage (x)
9.75x
1.20x
Revenue Growth %
4.74%
Operating Profit Growth %
2.44%
Net Profit Growth %
43.28%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2020
EPS (₹)
14.64
Book Value (₹)
77.14
Dividend per Share (₹)
8.00
Cash EPS (₹)
16.57
Operating Margin %
20.79%
Net Margin %
13.73%
ROE %
19.77%
ROCE %
18.02%
10.72%
Debtor Days
41
Inventory Days
55
Payable Days
215
-119
Debt to Equity (x)
0.45x
Interest Coverage (x)
8.72x
1.06x
Revenue Growth %
-3.91%
Operating Profit Growth %
1.15%
Net Profit Growth %
-36.09%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2021
EPS (₹)
16.83
Book Value (₹)
92.24
Dividend per Share (₹)
0.00
Cash EPS (₹)
18.82
Operating Margin %
20.54%
Net Margin %
14.33%
ROE %
19.87%
ROCE %
19.61%
12.33%
Debtor Days
33
Inventory Days
52
Payable Days
166
-81
Debt to Equity (x)
0.19x
Interest Coverage (x)
16.11x
1.08x
Revenue Growth %
11.28%
Operating Profit Growth %
8.84%
Net Profit Growth %
14.98%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2022
EPS (₹)
17.44
Book Value (₹)
112.88
Dividend per Share (₹)
0.00
Cash EPS (₹)
19.49
Operating Margin %
18.70%
Net Margin %
13.36%
ROE %
17.01%
ROCE %
18.69%
12.30%
Debtor Days
29
Inventory Days
53
Payable Days
125
-44
Debt to Equity (x)
0.14x
Interest Coverage (x)
18.63x
1.43x
Revenue Growth %
11.31%
Operating Profit Growth %
1.24%
Net Profit Growth %
3.64%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2023
EPS (₹)
16.65
Book Value (₹)
134.65
Dividend per Share (₹)
0.00
Cash EPS (₹)
18.96
Operating Margin %
16.88%
Net Margin %
11.76%
ROE %
13.45%
ROCE %
16.58%
10.57%
Debtor Days
30
Inventory Days
46
Payable Days
109
-33
Debt to Equity (x)
0.08x
Interest Coverage (x)
12.32x
1.76x
Revenue Growth %
8.47%
Operating Profit Growth %
4.59%
Net Profit Growth %
-4.54%
-4.55%
P/E (x)
58.17x
P/B (x)
7.19x
Dividend Yield %
0.00%
38.17x
Mar 2024
EPS (₹)
-5.48
Book Value (₹)
122.82
Dividend per Share (₹)
5.00
Cash EPS (₹)
-3.12
Operating Margin %
19.14%
Net Margin %
-3.63%
ROE %
-4.26%
ROCE %
3.32%
-3.21%
Debtor Days
33
Inventory Days
33
Payable Days
101
-35
Debt to Equity (x)
0.25x
Interest Coverage (x)
1.64x
0.99x
Revenue Growth %
5.86%
Operating Profit Growth %
23.51%
Net Profit Growth %
-132.93%
-132.92%
P/E (x)
0.00x
P/B (x)
10.19x
Dividend Yield %
0.40%
40.50x
Mar 2025
EPS (₹)
18.11
Book Value (₹)
116.94
Dividend per Share (₹)
25.00
Cash EPS (₹)
20.39
Operating Margin %
19.92%
Net Margin %
12.24%
ROE %
15.11%
ROCE %
19.17%
9.90%
Debtor Days
40
Inventory Days
32
Payable Days
94
-21
Debt to Equity (x)
0.32x
Interest Coverage (x)
8.40x
1.06x
Revenue Growth %
-0.71%
Operating Profit Growth %
3.24%
Net Profit Growth %
430.44%
430.38%
P/E (x)
63.99x
P/B (x)
9.91x
Dividend Yield %
2.16%
36.62x
Mar 2026
EPS (₹)
18.19
Book Value (₹)
123.33
Dividend per Share (₹)
20.00
Cash EPS (₹)
20.81
Operating Margin %
19.22%
Net Margin %
11.29%
ROE %
15.14%
ROCE %
17.96%
9.25%
Debtor Days
40
Inventory Days
34
Payable Days
90
-15
Debt to Equity (x)
0.33x
Interest Coverage (x)
8.54x
0.91x
Revenue Growth %
8.44%
Operating Profit Growth %
3.13%
Net Profit Growth %
0.50%
0.48%
P/E (x)
54.13x
P/B (x)
7.98x
Dividend Yield %
2.03%
30.25x

Shareholding Pattern

Numbers in percentages

TRADES
Jun 2024
63.01
22.42
9.30
Government
0.00
5.27
Sep 2024
63.00
22.03
9.61
Government
0.00
5.36
Dec 2024
53.04
20.68
11.03
Government
0.00
15.24
Mar 2025
53.07
19.54
12.19
Government
0.00
15.20
Jun 2025
53.07
19.35
12.40
Government
0.00
15.18
Sep 2025
53.06
18.23
13.58
Government
0.00
15.12
Dec 2025
53.05
15.41
16.49
Government
0.00
15.06
Mar 2026
53.05
13.94
18.00
Government
0.00
15.00
Jun 2026
53.05
12.33
19.58
Government
0.00
15.03

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Credit Ratings

Nothing filed yet.

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