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Price
PE Ratio
Price

Overview

Detailed Summary
  • Key insightKey insight

    GHCL Limited is one of India's leading manufacturers of Soda Ash, also engaged in sodium bicarbonate production and the home textile sector.

  • Key insightKey insight

    The company is expanding its capacity in Soda Ash and venturing into Bromine and Vacuum Salt production, marking significant diversification.

  • Key insightKey insight

    GHCL completed a Rs. 300 crore share buyback program, reinforcing confidence in financial stability and a commitment to shareholder returns.

  • Key insightKey insight

    Despite global challenges, GHCL maintains strong operating margins through strict cost controls and efficiency, demonstrating resilience.

  • Key insightKey insight

    The company's long-term growth strategy includes a greenfield soda ash project, reflecting its commitment to scaling its chemical business.

Sector

Chemicals & Petrochemicals

Industry

Commodity Chemicals

Market Cap

3,946 Cr

Volatility

Moderate Risk

P/E Ratio

8.4

Industry P/E

44.4

PEG Ratio

0.4

P/B Ratio

1.1

52W High

668.00

52W Low

417.25

Financial Ratios

Sales CAGR

1Y
-3.75%
3Y
-12.35%
5Y
4.23%
10Y
0.45%

Profit CAGR

1Y
-24.30%
3Y
-24.04%
5Y
9.30%
10Y
2.40%

ROE

TTM
13.30%
3Y
18.87%
5Y
21.76%
10Y
20.77%

ROCE

TTM
17.92%
3Y
22.84%
5Y
23.88%
10Y
22.46%

Forecasts

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Financial Statements

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Consolidated Quarterly Results (in ₹ Crores)

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Total Figures
QoQ Changes
Total Figures
Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales798823830793779781796721757791
Expenses648639614582549563599564598615
Operating Profit150184217211230218197157159176
OPM %18.8022.4026.1126.6129.5427.9224.7821.8020.9722.22
Other Income14171817292327171614
Interest5.745.354.304.243.504.082.392.112.641.87
Depreciation26262728282827282927
Profit Before Tax133170203196227209195145143160
Tax %24.9126.4425.9121.1425.8928.1625.9326.1726.0627.66
Net Profit100125151155168150144107106116
EPS in Rs10.9013.6416.4416.9618.3716.3515.7511.6511.2612.27

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026TTM
Sales2,9703,3413,3052,4913,0524,5513,4473,1833,0643,149
Expenses2,3132,5822,5771,8952,3263,0662,5992,3072,3752,292
Operating Profit6577597285967261,485847876689856
OPM %22.1222.7322.0323.9423.8032.6324.5927.5222.4827.20
Other Income3816187.469.96109272887396
Interest12712712074513725169.0114
Depreciation1101171311118794102112111111
Profit Before Tax4075314954185981,463991836642827
Tax %12.5333.9319.8126.6225.4323.7319.9325.3526.4525.35
Net Profit3563513973074461,116794624472618
EPS in Rs35.9642.6935.4270.25124.6986.6068.1250.9350.93
Dividend Payout %13.7914.087.4116.0322.0514.5814.4018.3723.93

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital99979895959596969692
Reserves1,2471,5131,8272,0542,3892,8523,8602,8833,3933,460
Borrowings1,2451,1531,1111,09178278836121011983
Other Liabilities9138659599297121,261816581578665
Total Liabilities3,5043,6283,9954,1693,9784,9955,1333,7704,1854,300
Fixed Assets2,4012,4932,5832,6552,6752,4741,7311,8421,8441,821
CWIP26741171228121310955256450
Investments1719201815173804206511,042
Other Assets1,0591,0431,2751,3751,2072,2922,9141,4531,435987
Total Assets3,5043,6283,9954,1693,9784,9955,1333,7704,1854,300

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Cash from Operating Activity458590530624621643856797638687
Cash from Investing Activity-375-279-271-206-109-337-409-571-358-291
Cash from Financing Activity-113-308-258-339-569-98-530-338-230-451
Net Cash Flow-302.290.6080-57209-83-11250-55

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