Hindustan Petroleum Corporation Ltd.

363.250.01%

2026-08-21

hindustanpetroleum.comBSE: 500104NSE: HINDPETRO
Market Cap₹ 77,144 Cr.
Current Price₹ 363
High / Low₹ 508 / 316
Stock P/E0.0
Book Value₹ 227
Price to Book1.19
Dividend Yield6.69 %
ROCE24.0 %
ROE32.5 %
Face Value₹ 10

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ABOUT

KEY POINTS

Revenue Breakup Mar 2015 • Downstream Petroleum: 100.0%

PROS

  • Company has a good return on equity (ROE) track record: 3 Years ROE 30.7%
  • Operating margins have improved to 6.3% from -1.2%
  • Strong cash generation - operating cash flow backs reported profits (CFO/PAT 1.89x)
  • Company has been maintaining a healthy dividend payout of 30.0%
  • Offers a healthy dividend yield of 6.7%
  • Company generates healthy free cash flow

CONS

  • Recent results are weak - TTM profit is down 91.8% versus prior year

* 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.RELIANCE1315.5523.821780273.130.4623196.00-24.65311850.0025.4112.1715.30
2.IOC135.905.70191907.635.15-1141.09-116.76281933.0727.0819.691.69
3.BPCL308.957.82134038.135.66-1872.70-127.38159527.0523.0827.09-2.29
4.HINDPETRO362.5546.1677144.216.69-12264.67-398.34145225.1121.3923.10-11.08
5.MRPL174.059.7130503.982.30945.68449.4041608.9698.2518.123.24
6.CHENNPETRO1388.754.9520680.074.461031.352671.9529358.7557.1435.155.35
Detailed Comparison with:

Quarterly Results

Standalone Figures in Rs. Crores / View Consolidated

Jun 2023
1,18,651
1,09,389
Operating Profit
OPM %
Other Income
628
Interest
588
Depreciation
1,364
8,331
Tax %
25.53%
Net Profit
6,204
29
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Sep 2023
1,02,238
94,402
Operating Profit
OPM %
Other Income
344
Interest
579
Depreciation
1,240
6,742
Tax %
24.09%
Net Profit
5,118
24
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Dec 2023
1,17,986
1,16,279
Operating Profit
OPM %
Other Income
556
Interest
614
Depreciation
1,338
768
Tax %
31.12%
Net Profit
529
2
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Mar 2024
1,20,941
1,16,729
Operating Profit
OPM %
Other Income
854
Interest
734
Depreciation
1,611
3,312
Tax %
14.17%
Net Profit
2,843
13
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
1,419
Reserves
0
Promoter Pledge %
0.00%
Jun 2024
1,20,359
1,18,752
Operating Profit
OPM %
Other Income
552
Interest
731
Depreciation
1,476
471
Tax %
24.49%
Net Profit
356
2
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Sep 2024
1,07,704
1,05,492
Operating Profit
OPM %
Other Income
595
Interest
942
Depreciation
1,522
835
Tax %
24.45%
Net Profit
631
3
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Dec 2024
1,18,410
1,12,959
Operating Profit
OPM %
Other Income
470
Interest
929
Depreciation
1,510
4,010
Tax %
24.62%
Net Profit
3,023
14
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Mar 2025
1,17,774
1,12,537
Operating Profit
OPM %
Other Income
800
Interest
709
Depreciation
1,583
4,304
Tax %
22.06%
Net Profit
3,355
16
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Jun 2025
1,19,580
1,12,533
Operating Profit
OPM %
Other Income
523
Interest
749
Depreciation
1,549
5,826
Tax %
24.98%
Net Profit
4,371
21
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Sep 2025
1,09,803
1,03,432
Operating Profit
OPM %
Other Income
546
Interest
761
Depreciation
1,557
5,119
Tax %
25.17%
Net Profit
3,830
18
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Dec 2025
1,23,953
1,17,464
Operating Profit
OPM %
Other Income
686
Interest
674
Depreciation
1,619
5,413
Tax %
24.76%
Net Profit
4,072
19
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Mar 2026
1,23,075
1,14,624
Operating Profit
OPM %
Other Income
936
Interest
965
Depreciation
2,400
6,550
Tax %
25.17%
Net Profit
4,902
23
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Jun 2026
1,45,126
1,63,853
Operating Profit
OPM %
Other Income
1,281
Interest
765
Depreciation
1,821
-17,446
Tax %
33.93%
Net Profit
-11,526
-5
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
2,128
Reserves
0
Promoter Pledge %
0.00%

Profit & Loss

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
1,87,091
1,76,447
Operating Profit
12,092
OPM %
6
Other Income
1,448
Interest
536
Depreciation
2,535
9,021
Tax %
31
Net Profit
6,209
EPS
41
Dividend Payout %
49
Minority Interest
0
Share of Associates
0
Adjusted EPS
27
Minority Interest
0
Share of Associates
0
Adjusted EPS
27
Mar 2018
2,19,333
2,08,709
Operating Profit
12,521
OPM %
6
Other Income
1,897
Interest
567
Depreciation
2,753
9,202
Tax %
31
Net Profit
6,357
EPS
42
Dividend Payout %
41
Minority Interest
0
Share of Associates
0
Adjusted EPS
28
Minority Interest
0
Share of Associates
0
Adjusted EPS
28
Mar 2019
2,75,215
2,63,812
Operating Profit
13,077
OPM %
5
Other Income
1,675
Interest
726
Depreciation
3,013
9,339
Tax %
35
Net Profit
6,029
EPS
40
Dividend Payout %
40
Minority Interest
0
Share of Associates
0
Adjusted EPS
26
Minority Interest
0
Share of Associates
0
Adjusted EPS
26
Mar 2020
2,68,766
2,63,643
Operating Profit
6,962
OPM %
3
Other Income
1,838
Interest
1,082
Depreciation
3,304
1,573
Tax %
-68
Net Profit
2,637
EPS
17
Dividend Payout %
56
Minority Interest
0
Share of Associates
0
Adjusted EPS
12
Minority Interest
0
Share of Associates
0
Adjusted EPS
12
Mar 2021
2,32,997
2,17,071
Operating Profit
18,714
OPM %
8
Other Income
2,789
Interest
915
Depreciation
3,553
14,247
Tax %
25
Net Profit
10,664
EPS
71
Dividend Payout %
31
Minority Interest
0
Share of Associates
0
Adjusted EPS
49
Minority Interest
0
Share of Associates
0
Adjusted EPS
49
Mar 2022
3,49,683
3,39,507
Operating Profit
13,146
OPM %
4
Other Income
2,970
Interest
973
Depreciation
3,969
8,204
Tax %
22
Net Profit
6,383
EPS
45
Dividend Payout %
31
Minority Interest
0
Share of Associates
0
Adjusted EPS
30
Minority Interest
0
Share of Associates
0
Adjusted EPS
30
Mar 2023
4,40,403
4,47,925
Operating Profit
-5,453
OPM %
-1
Other Income
2,069
Interest
2,132
Depreciation
4,330
-11,915
Tax %
25
Net Profit
-8,974
EPS
-63
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
-42
Minority Interest
0
Share of Associates
0
Adjusted EPS
-42
Mar 2024
4,33,525
4,08,686
Operating Profit
27,221
OPM %
6
Other Income
2,382
Interest
2,516
Depreciation
5,552
19,153
Tax %
23
Net Profit
14,694
EPS
104
Dividend Payout %
30
Minority Interest
0
Share of Associates
0
Adjusted EPS
69
Minority Interest
0
Share of Associates
0
Adjusted EPS
69
Mar 2025
4,33,728
4,17,122
Operating Profit
19,022
OPM %
4
Other Income
2,416
Interest
3,311
Depreciation
6,090
9,621
Tax %
23
Net Profit
7,365
EPS
35
Dividend Payout %
30
Minority Interest
0
Share of Associates
0
Adjusted EPS
35
Minority Interest
0
Share of Associates
0
Adjusted EPS
35
Mar 2026
4,41,448
4,10,958
Operating Profit
33,182
OPM %
8
Other Income
2,691
Interest
3,149
Depreciation
7,125
22,907
Tax %
25
Net Profit
17,175
EPS
81
Dividend Payout %
30
Minority Interest
0
Share of Associates
0
Adjusted EPS
81
Minority Interest
0
Share of Associates
0
Adjusted EPS
81
TTM
5,01,957
4,99,373
Operating Profit
OPM %
Other Income
3,449
Interest
3,165
Depreciation
7,397
-365
Tax %
450
Net Profit
1,278
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:
10%
5 Years:
14%
3 Years:
0%

COMPOUNDED PROFIT GROWTH

10 Years:
17%
5 Years:
10%
3 Years:

STOCK PRICE CAGR

10 Years:
8%
5 Years:
17%
3 Years:
28%
1 Year:
-8%

RETURN ON EQUITY

10 Years:
21%
5 Years:
16%
3 Years:
31%
Last Year:
32%

Balance Sheet

Standalone Figures in Rs. Crores / View Consolidated

Corporate actions

2024

Jun 21

1:2

2017

Jul 11

1:2

Hindustan Petroleum Corporation Ltd has informed BSE that the Board of Directors of the Company at its meeting held on May 26, 2017, inter alia, have recommended Capitalization of Reserve and issue of Fully Paid Bonus Shares in the ratio of 1 (One) Bonus Equity Shares of Rs. 10 Each for every 2 (two) existing equity shares of Rs. 10 each subject to approval of the shareholders which would be taken through the process of Postal Ballot.

2016

Sep 14

2:1

Mar 2017
Equity Capital
1,016
19,331
10,892
Trade Payables
12,665
34,566
Total Liabilities
78,470
36,132
Capital Work in Progress
1,810
10,919
18,576
0
Cash & Bank
34
10,999
Total Assets
78,470
Total Debt
21,250
Net Working Capital
-12,840
Contingent Liabilities
3,793
Book Value per Share
200.29
Face Value
10.00
Total Debt
21,250
Net Working Capital
-12,840
Contingent Liabilities
3,793
Book Value per Share
200.29
Face Value
10.00
Mar 2018
Equity Capital
1,524
22,424
10,762
Trade Payables
15,638
36,459
Total Liabilities
86,807
37,972
Capital Work in Progress
3,985
11,105
18,420
0
Cash & Bank
1,179
14,146
Total Assets
86,807
Total Debt
20,991
Net Working Capital
-11,114
Contingent Liabilities
4,634
Book Value per Share
157.16
Face Value
10.00
Total Debt
20,991
Net Working Capital
-11,114
Contingent Liabilities
4,634
Book Value per Share
157.16
Face Value
10.00
Mar 2019
Equity Capital
1,524
26,651
13,793
Trade Payables
16,957
44,915
Total Liabilities
1,03,839
40,979
Capital Work in Progress
9,496
11,819
20,193
0
Cash & Bank
96
21,256
Total Assets
1,03,839
Total Debt
27,240
Net Working Capital
-13,793
Contingent Liabilities
5,630
Book Value per Share
184.89
Face Value
10.00
Total Debt
27,240
Net Working Capital
-13,793
Contingent Liabilities
5,630
Book Value per Share
184.89
Face Value
10.00
Mar 2020
Equity Capital
1,524
27,438
16,146
Trade Payables
11,299
57,608
Total Liabilities
1,14,015
48,290
Capital Work in Progress
17,047
12,512
19,141
0
Cash & Bank
113
16,911
Total Assets
1,14,015
Total Debt
43,021
Net Working Capital
-19,727
Contingent Liabilities
5,248
Book Value per Share
190.06
Face Value
10.00
Total Debt
43,021
Net Working Capital
-19,727
Contingent Liabilities
5,248
Book Value per Share
190.06
Face Value
10.00
Mar 2021
Equity Capital
1,452
34,734
14,819
Trade Payables
16,475
63,774
Total Liabilities
1,31,253
49,901
Capital Work in Progress
24,053
14,993
28,592
0
Cash & Bank
237
13,477
Total Assets
1,31,253
Total Debt
40,009
Net Working Capital
-18,468
Contingent Liabilities
5,165
Book Value per Share
249.21
Face Value
10.00
Total Debt
40,009
Net Working Capital
-18,468
Contingent Liabilities
5,165
Book Value per Share
249.21
Face Value
10.00
Mar 2022
Equity Capital
1,419
37,258
8,216
Trade Payables
26,448
76,821
Total Liabilities
1,50,161
57,134
Capital Work in Progress
26,557
17,944
35,346
0
Cash & Bank
131
13,050
Total Assets
1,50,161
Total Debt
43,193
Net Working Capital
-20,950
Contingent Liabilities
4,396
Book Value per Share
272.65
Face Value
10.00
Total Debt
43,193
Net Working Capital
-20,950
Contingent Liabilities
4,396
Book Value per Share
272.65
Face Value
10.00
Mar 2023
Equity Capital
1,419
26,294
14,764
Trade Payables
22,852
89,737
Total Liabilities
1,55,067
67,539
Capital Work in Progress
22,509
21,211
29,344
0
Cash & Bank
539
13,926
Total Assets
1,55,067
Total Debt
64,517
Net Working Capital
-29,857
Contingent Liabilities
4,117
Book Value per Share
195.36
Face Value
10.00
Total Debt
64,517
Net Working Capital
-29,857
Contingent Liabilities
4,117
Book Value per Share
195.36
Face Value
10.00
Mar 2024
Equity Capital
1,419
39,611
16,651
Trade Payables
27,202
88,884
Total Liabilities
1,73,767
78,799
Capital Work in Progress
16,649
25,678
33,966
9,321
Cash & Bank
352
9,001
Total Assets
1,73,767
Total Debt
60,254
Net Working Capital
-33,277
Contingent Liabilities
3,541
Book Value per Share
289.23
Face Value
10.00
Total Debt
60,254
Net Working Capital
-33,277
Contingent Liabilities
3,541
Book Value per Share
289.23
Face Value
10.00
Mar 2025
Equity Capital
2,128
43,830
23,131
Trade Payables
29,670
87,436
Total Liabilities
1,86,195
81,388
Capital Work in Progress
17,740
24,235
38,146
11,796
Cash & Bank
167
12,724
Total Assets
1,86,195
Total Debt
63,323
Net Working Capital
-38,423
Contingent Liabilities
4,545
Book Value per Share
215.99
Face Value
10.00
Total Debt
63,323
Net Working Capital
-38,423
Contingent Liabilities
4,545
Book Value per Share
215.99
Face Value
10.00
Mar 2026
Equity Capital
2,128
57,719
13,039
Trade Payables
31,026
89,959
Total Liabilities
1,93,870
95,896
Capital Work in Progress
7,420
24,708
39,409
7,400
Cash & Bank
102
18,936
Total Assets
1,93,870
Total Debt
47,599
Net Working Capital
-31,466
Contingent Liabilities
3,691
Book Value per Share
281.26
Face Value
10.00
Total Debt
47,599
Net Working Capital
-31,466
Contingent Liabilities
3,691
Book Value per Share
281.26
Face Value
10.00

Cash Flows

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
9,983
Cash from Investing
-5,310
Cash from Financing
-4,015
658
Free Cash Flow
4,596
OCF / Net Profit
1.61
Cumulative 5-Year FCF
0
OCF / Net Profit
1.61
Cumulative 5-Year FCF
0
Mar 2018
11,018
Cash from Investing
-7,391
Cash from Financing
-4,324
-697
Free Cash Flow
4,317
OCF / Net Profit
1.73
Cumulative 5-Year FCF
0
OCF / Net Profit
1.73
Cumulative 5-Year FCF
0
Mar 2019
8,450
Cash from Investing
-11,383
Cash from Financing
2,691
-243
Free Cash Flow
-2,959
OCF / Net Profit
1.40
Cumulative 5-Year FCF
0
OCF / Net Profit
1.40
Cumulative 5-Year FCF
0
Mar 2020
5,453
Cash from Investing
-14,166
Cash from Financing
8,478
-234
Free Cash Flow
-12,259
OCF / Net Profit
2.07
Cumulative 5-Year FCF
0
OCF / Net Profit
2.07
Cumulative 5-Year FCF
0
Mar 2021
17,722
Cash from Investing
-12,728
Cash from Financing
-4,393
601
Free Cash Flow
5,700
OCF / Net Profit
1.66
Cumulative 5-Year FCF
-605
OCF / Net Profit
1.66
Cumulative 5-Year FCF
-605
Mar 2022
15,890
Cash from Investing
-12,565
Cash from Financing
-3,119
205
Free Cash Flow
2,631
OCF / Net Profit
2.49
Cumulative 5-Year FCF
-2,570
OCF / Net Profit
2.49
Cumulative 5-Year FCF
-2,570
Mar 2023
-3,359
Cash from Investing
-10,933
Cash from Financing
15,477
1,185
Free Cash Flow
-13,680
OCF / Net Profit
0.37
Cumulative 5-Year FCF
-20,567
OCF / Net Profit
0.37
Cumulative 5-Year FCF
-20,567
Mar 2024
23,920
Cash from Investing
-13,412
Cash from Financing
-15,810
-5,302
Free Cash Flow
13,177
OCF / Net Profit
1.63
Cumulative 5-Year FCF
-4,431
OCF / Net Profit
1.63
Cumulative 5-Year FCF
-4,431
Mar 2025
14,276
Cash from Investing
-10,282
Cash from Financing
-4,426
-432
Free Cash Flow
5,034
OCF / Net Profit
1.94
Cumulative 5-Year FCF
12,862
OCF / Net Profit
1.94
Cumulative 5-Year FCF
12,862
Mar 2026
36,107
Cash from Investing
-11,436
Cash from Financing
-22,762
1,909
Free Cash Flow
25,741
OCF / Net Profit
2.10
Cumulative 5-Year FCF
32,903
OCF / Net Profit
2.10
Cumulative 5-Year FCF
32,903

Ratios

Standalone Figures in Rs. Crores / View Consolidated

Mar 2017
EPS (₹)
61.12
Book Value (₹)
200.29
Dividend per Share (₹)
30.00
Cash EPS (₹)
38.26
Operating Margin %
5.60%
Net Margin %
2.88%
ROE %
32.41%
ROCE %
23.67%
8.39%
Debtor Days
7
Inventory Days
27
Payable Days
25
9
Debt to Equity (x)
1.04x
Interest Coverage (x)
17.84x
0.72x
Revenue Growth %
5.28%
Operating Profit Growth %
33.12%
Net Profit Growth %
66.63%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2018
EPS (₹)
41.72
Book Value (₹)
157.16
Dividend per Share (₹)
17.00
Cash EPS (₹)
39.86
Operating Margin %
5.08%
Net Margin %
2.58%
ROE %
28.70%
ROCE %
22.58%
7.69%
Debtor Days
7
Inventory Days
27
Payable Days
27
8
Debt to Equity (x)
0.88x
Interest Coverage (x)
17.24x
0.77x
Revenue Growth %
17.23%
Operating Profit Growth %
3.55%
Net Profit Growth %
2.39%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2019
EPS (₹)
39.56
Book Value (₹)
184.89
Dividend per Share (₹)
15.90
Cash EPS (₹)
39.56
Operating Margin %
4.37%
Net Margin %
2.01%
ROE %
23.13%
ROCE %
20.06%
6.32%
Debtor Days
7
Inventory Days
24
Payable Days
24
6
Debt to Equity (x)
0.97x
Interest Coverage (x)
13.86x
0.76x
Revenue Growth %
25.48%
Operating Profit Growth %
4.44%
Net Profit Growth %
-5.17%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2020
EPS (₹)
17.31
Book Value (₹)
190.06
Dividend per Share (₹)
9.75
Cash EPS (₹)
25.99
Operating Margin %
2.40%
Net Margin %
0.91%
ROE %
9.23%
ROCE %
4.17%
2.42%
Debtor Days
6
Inventory Days
25
Payable Days
21
10
Debt to Equity (x)
1.49x
Interest Coverage (x)
2.45x
0.65x
Revenue Growth %
-2.34%
Operating Profit Growth %
-46.77%
Net Profit Growth %
-56.25%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2021
EPS (₹)
73.44
Book Value (₹)
249.21
Dividend per Share (₹)
22.75
Cash EPS (₹)
65.27
Operating Margin %
6.87%
Net Margin %
3.91%
ROE %
32.74%
ROCE %
20.46%
8.70%
Debtor Days
7
Inventory Days
32
Payable Days
25
14
Debt to Equity (x)
1.11x
Interest Coverage (x)
16.57x
0.70x
Revenue Growth %
-13.31%
Operating Profit Growth %
168.82%
Net Profit Growth %
304.35%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2022
EPS (₹)
44.99
Book Value (₹)
272.65
Dividend per Share (₹)
14.00
Cash EPS (₹)
48.65
Operating Margin %
3.49%
Net Margin %
1.69%
ROE %
17.05%
ROCE %
11.61%
4.54%
Debtor Days
6
Inventory Days
31
Payable Days
24
13
Debt to Equity (x)
1.12x
Interest Coverage (x)
9.43x
0.70x
Revenue Growth %
50.08%
Operating Profit Growth %
-29.76%
Net Profit Growth %
-40.15%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2023
EPS (₹)
-63.26
Book Value (₹)
195.36
Dividend per Share (₹)
0.00
Cash EPS (₹)
-21.83
Operating Margin %
-1.16%
Net Margin %
-1.91%
ROE %
-27.03%
ROCE %
-11.24%
-5.88%
Debtor Days
5
Inventory Days
25
Payable Days
21
9
Debt to Equity (x)
2.33x
Interest Coverage (x)
-4.59x
0.60x
Revenue Growth %
25.94%
Operating Profit Growth %
-141.48%
Net Profit Growth %
-240.60%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2024
EPS (₹)
103.58
Book Value (₹)
289.23
Dividend per Share (₹)
31.50
Cash EPS (₹)
95.15
Operating Margin %
5.34%
Net Margin %
3.16%
ROE %
42.75%
ROCE %
22.40%
8.94%
Debtor Days
6
Inventory Days
25
Payable Days
24
8
Debt to Equity (x)
1.47x
Interest Coverage (x)
8.61x
0.61x
Revenue Growth %
-1.56%
Operating Profit Growth %
599.19%
Net Profit Growth %
263.74%
263.74%
P/E (x)
3.06x
P/B (x)
1.65x
Dividend Yield %
6.62%
4.68x
Mar 2025
EPS (₹)
34.61
Book Value (₹)
215.99
Dividend per Share (₹)
10.50
Cash EPS (₹)
63.23
Operating Margin %
3.53%
Net Margin %
1.57%
ROE %
16.93%
ROCE %
12.28%
4.09%
Debtor Days
8
Inventory Days
28
Payable Days
26
10
Debt to Equity (x)
1.38x
Interest Coverage (x)
3.91x
0.60x
Revenue Growth %
0.05%
Operating Profit Growth %
-30.12%
Net Profit Growth %
-49.88%
-66.59%
P/E (x)
10.41x
P/B (x)
1.67x
Dividend Yield %
2.92%
7.35x
Mar 2026
EPS (₹)
80.72
Book Value (₹)
281.26
Dividend per Share (₹)
24.25
Cash EPS (₹)
114.20
Operating Margin %
6.30%
Net Margin %
3.55%
ROE %
32.47%
ROCE %
24.05%
9.04%
Debtor Days
7
Inventory Days
29
Payable Days
29
8
Debt to Equity (x)
0.80x
Interest Coverage (x)
8.27x
0.64x
Revenue Growth %
1.78%
Operating Profit Growth %
74.43%
Net Profit Growth %
133.21%
133.21%
P/E (x)
4.15x
P/B (x)
1.19x
Dividend Yield %
7.23%
3.58x

Shareholding Pattern

Numbers in percentages

TRADES
Jun 2024
54.90
13.22
21.47
0.01
10.39
Sep 2024
54.90
14.11
21.67
0.01
9.31
Dec 2024
54.90
14.44
21.81
0.01
8.83
Mar 2025
54.90
12.55
23.55
0.01
8.98
Jun 2025
54.90
13.55
23.16
0.00
8.38
Sep 2025
54.90
14.48
22.24
0.00
8.37
Dec 2025
54.90
16.35
20.64
0.00
8.11
Mar 2026
54.90
17.26
19.57
0.00
8.26
Jun 2026
54.90
13.58
22.84
0.00
8.67

Documents

Announcements

Credit Ratings

  • Credit Rating

    2026-07-14 - Hindustan Petroleum Corporation Limited has informed the Exchange about Credit Rating

  • Credit Rating

    2025-10-28 - Hindustan Petroleum Corporation Limited has informed the Exchange about Credit Rating

  • Credit Rating

    2025-10-07 - Hindustan Petroleum Corporation Limited has informed the Exchange about Credit Rating

Concalls