Chambal Fertilisers & Chemicals Ltd

NSE :CHAMBLFERT   BSE :500085  Sector : Fertilizers
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20 Jan
225.70
(-0.42%)
19 Jan
226.65
(0.29%)
18 Jan
226.00
(-1.53%)
15 Jan
229.50
(-1.27%)
14 Jan
232.45
(0.11%)
13 Jan
232.20
(-0.17%)
12 Jan
232.60
(-0.47%)
11 Jan
233.70
(-2.63%)
08 Jan
240.00
(-0.35%)
07 Jan
240.85
(-1.67%)
06 Jan
244.95
(2.04%)
05 Jan
240.05
(3.18%)
04 Jan
232.65
(2.15%)
01 Jan
227.75
(0.00%)
31 Dec
227.75
(-1.96%)
30 Dec
232.30
(-1.53%)
29 Dec
235.90
(0.11%)
28 Dec
235.65
(2.37%)
24 Dec
230.20
(1.59%)
23 Dec
226.60
(3.59%)
22 Dec
218.75
(-1.44%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bearish

227.85


10 DMA
Bearish

231.75


20 DMA
Bearish

232.63


50 DMA
Bullish

213.64


100 DMA
Bullish

185.41


200 DMA
Bullish

164.19



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Jan 20, 2021 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 232.15 230.3 226.84 - -
R2 230.3 228.71 226.46 230.19 -
R1 228 227.74 226.08 227.78 229.15
P 226.15 226.15 226.15 226.04 226.73
S1 223.85 224.56 225.32 223.63 225
S2 222 223.59 224.94 221.89 -
S3 219.7 222 224.56 - -

Key Metrics

EPS

31.17

P/E

7.24

P/B

1.98

Dividend Yield

1.77%

Market Cap

9,394 Cr.

Face Value

10

Book Value

114.13

ROE

38.16%

EBITDA Growth

814.89 Cr.

Debt/Equity

2.54

Shareholding Pattern

  60.34% Total Promoter Holding
14.78% Mutual Fund Holdings
5.37% FIIs
17.26% Non Institution
0.87% Insurance Companies
0.18% Custodians
1.2% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Chambal Fertilisers & Chemicals Ltd Quaterly Results


Sep 2019Dec 2019Mar 2020Jun 2020Sep 2020
INCOME 3606.86 3844.13 2116.37 3257.31 4060.83
PROFIT 382.6 480.33 91.98 298.78 437.03
EPS 9.19 11.54 4.75 7.18 10.5

Chambal Fertilisers & Chemicals Ltd Quaterly Results


Sep 2019Dec 2019Mar 2020Jun 2020Sep 2020
INCOME 3595.18 3839.74 2100.51 3271.14 4039.06
PROFIT 375.28 465.82 101.24 314.03 416.14
EPS 9.02 9.84 4.89 7.55 9.99

Profit & Loss (Figures in Rs. Crores)


Chambal Fertilisers & Chemicals Ltd Profit & Loss


Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
INCOME 5878.88 7773.15 8924.15 8453.56 9895.5 9424.27 7690.56 7678.86 10800.38 12304.13
PROFIT 240.59 162.86 217.01 238.44 287.37 261.04 343.99 489.61 709.16 1140.1
EPS 4.89 2.79 4.77 5.34 6.36 3.54 8.62 11.9 14.05 29.45

Chambal Fertilisers & Chemicals Ltd Profit & Loss


Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
INCOME 4860.85 6746.37 8104.06 7567.19 9076.8 9237.69 7586.28 7570.3 10746.76 12373.9
PROFIT 324.19 252.7 280.59 296.5 293.12 156.15 401.65 471.01 661.53 1199.81
EPS 7.5 5.63 7.02 7 5.72 0 10.21 11.54 13.1 29.42

Balance Sheet (Figures in Rs. Crores)

Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011
SOURCES OF FUNDS :
Share Capital 833.63797.72775.76416.21416.21413.95413.96416.21416.21416.21
Reserves Total 3,130.842,478.32,103.571,724.771,450.691,837.151,642.371,436.031,284.951,159.75
Equity Application Money-7.75-11.27-14.23-17.44000000
Total Shareholders Funds3,956.723,264.752,865.12,123.541,866.92,251.12,056.331,852.241,701.161,575.96
Minority Interest-108.22-97.98-87.36-82.57-76.8754.7771.5156.5666.4145.35
Secured Loans 7,092.226,896.974,313.522,587.214,051.443,307.173,336.252,146.251,584.71,509.32
Unsecured Loans 2,603.31,766.741,406.282,031.381,265.69782.181,348.043,095.072,087.691,071.01
Total Debt9,695.528,663.715,719.84,618.595,317.134,089.354,684.295,241.323,672.392,580.33
Other Liabilities14.8910.786.779.646.7415.1229.3842.3448.1631.17
Total Liabilities13,558.9111,841.268,504.316,669.27,113.96,410.346,841.517,192.465,488.124,232.81
APPLICATION OF FUNDS :
Gross Block 7,520.467,517.031,700.111,553.222,267.056,752.096,650.216,261.576,129.45,825.62
Less: Accumulated Depreciation819.43611.85466.24391.2358.543,803.813,617.043,292.063,110.882,785.19
Less: Impairment of Assets0000115.5900000
Net Block6,701.036,905.181,233.871,162.021,792.922,948.283,033.172,969.513,018.523,040.43
Capital Work in Progress84.99121.424,134.631,712.2638.94119.1551.3957.8564.2266.8
Investments 217.16300.2207.08173.58211.0830.110.110.10.090.08
Inventories 1,135.61,323.15795.1849.35868.39738.71685.541,255.33587.33353.66
Sundry Debtors 5,563.114,827.42,534.693,036.23,861.23,171.163,559.493,586.372,218.71689.65
Cash and Bank Balance167.5381.0977.65132.1454.27203.93197.51399.08479.57616.45
Loans and Advances 458.95249.07365.6852.18472.05316.67312.78222.88341.3376.02
Total Current Assets7,325.196,480.713,773.044,869.875,255.914,430.474,755.325,463.663,626.912,035.78
Current Liabilities 931.581,857.35713.741,171.3722.79660.94645.02901.25721.32599.42
Provisions 42.1837.1432.0433.340.7139.3137.69183.42198.81215.54
Total Current Liabilities & Provisions973.761,894.49745.781,204.61763.49800.23782.721,084.66920.13814.96
Net Current Assets6,351.434,586.223,027.263,665.264,492.413,630.243,972.614,378.992,706.781,220.82
Deferred Tax Assets2,210.112,062.631.2966.4611.8928.7724.7727.6315.860.73
Deferred Tax Liability2,172.562,252213.14249.45257.78456.47442.01442.11400.89201.19
Net Deferred Tax37.55-189.37-211.85-182.99-245.89-427.7-417.24-414.48-385.03-200.46
Other Assets166.75117.61113.32139.12224.43110.28201.47200.4883.54105.14
Total Assets13,558.9111,841.268,504.316,669.197,113.896,410.366,841.527,192.455,488.124,232.81
Contingent Liabilities922.887.712.57.46107.3688.1390.3616.7178.2
Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011
SOURCES OF FUNDS :
Share Capital 416.21416.21416.21416.21416.21413.95413.95416.21416.21416.21
Reserves Total 3,507.422,835.62,496.442,136.481,789.881,901.61,772.251,575.591,362.51,207.12
Equity Application Money-7.75-11.27-14.23-17.44000000
Total Shareholders Funds3,915.883,240.542,898.422,535.252,206.092,315.552,186.21,991.81,778.711,623.33
Secured Loans 7,092.226,895.984,313.522,478.913,905.863,168.143,198.612,023.711,475.571,445.39
Unsecured Loans 2,542.771,649.171,295.471,673.62900.73782.181,348.043,091.032,081.331,038.3
Total Debt9,634.998,545.155,608.994,152.534,806.593,950.324,546.655,114.743,556.92,483.69
Other Liabilities14.8910.236.489.645.8914.828.9839.5547.7430.76
Total Liabilities13,565.7611,795.928,513.896,697.427,018.576,280.676,761.837,146.095,383.354,137.78
APPLICATION OF FUNDS :
Gross Block 7,312.637,165.121,371.291,248.691,964.045,489.835,404.995,197.435,116.414,967.04
Less : Accumulated Depreciation 611.6319.08201.92149.85132.492,938.942,772.852,598.242,480.632,288.72
Less:Impairment of Assets0000115.5900000
Net Block 6,701.036,846.041,169.371,098.841,715.962,550.892,632.142,599.192,635.782,678.32
Capital Work in Progress84.99108.674,128.711,706.84626.3892.3642.5444.2354.3359.46
Investments 289.49327.46291.25291.25315.71487.38560.35544.4492.25400.56
Inventories 1,135.61,323.15795.1849.35862.18693.68642.121,226.78517.79331.9
Sundry Debtors 5,563.114,822.642,515.73,023.153,836.963,049.433,440.493,433.632,021.65585.15
Cash and Bank Balance150.8262.0669.22104.0730.8821.3723.66224.71273.5261.82
Loans and Advances 448.56248.17358.94848.36363.69285.83249.71175.88249.87396.66
Total Current Assets7,298.096,456.023,738.964,824.935,093.714,050.314,355.985,0613,062.811,575.53
Current Liabilities 964.41,826.35679.171,139.93663.4440.28474.87707.75364.62260.84
Provisions 37.3132.9429.8526.8224.24126.15120.82170.71186.44210.9
Total Current Liabilities & Provisions1,001.711,859.29709.031,166.75687.63566.43595.69878.47551.06471.74
Net Current Assets6,296.384,596.733,029.933,658.184,406.083,483.883,760.294,182.542,511.751,103.79
Deferred Tax Assets2,210.12,060.7427.6366.2710.8627.9223.2126.0114.8415.45
Deferred Tax Liability2,172.562,251.27240.78249.61257.14454.98442.01442.11400.89216.64
Net Deferred Tax37.54-190.53-213.15-183.34-246.28-427.06-418.8-416.1-386.05-201.19
Other Assets156.33107.55107.78125.62200.7293.22185.32191.8275.2996.84
Total Assets13,565.7611,795.928,513.896,697.397,018.576,280.676,761.847,146.085,383.354,137.78
Contingent Liabilities312.55123.24118.5122.75153.23151.32146.15209.71128.6578.2

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...1,329.33
Depreciation302.21
Interest (Net)471.3
P/L on Sales of Assets22.73
P/L on Sales of Invest-3.5
Prov. and W/O (Net)38.96
P/L in Forex78.88
Others-51.32
Total Adjustments (PBT and Ext...793.13
Operating Profit before Workin...2,122.46
Trade and 0ther Receivables-633.73
Inventories173.05
Trade Payables-407.76
Total Adjustments (OP before W...-1,050.68
Cash Generated from/(used in) ...1,071.78
Direct Taxes Paid-244.69
Total Adjustments(Cash Generat...-244.69
Cash Flow before Extraordinary...827.09
Net Cash from Operating Activi...827.09
Purchased of Fixed Assets-658.15
Sale of Fixed Assets7.65
Sale of Investments18.01
Interest Received19.66
Cancellation of Investment in ...85.73
Net Cash used in Investing Act...-462.31
Proceeds from Issue of shares ...3.12
Proceed from 0ther Long Term B...3,280.91
Proceed from Short Tem Borrowi...955.39
Of the Long Tem Borrowings-3,731.42
Of Financial Liabilities-6.34
Dividend Paid-249.14
Interest Paid-484.39
Net Cash used in Financing Act...-283.19
Net Profit before Tax and Extr...1,325.7
Depreciation286.86
Interest (Net)464.75
Dividend Received71.84
P/L on Sales of Assets22.73
P/L on Sales of Invest-18.01
Prov. and W/O (Net)40.81
P/L in Forex113.88
Others-51.32
Total Adjustments (PBT and Ext...796.88
Operating Profit before Workin...2,122.58
Trade and 0ther Receivables-637.96
Inventories173.06
Trade Payables-388.73
Total Adjustments (OP before W...-1,040.5
Cash Generated from/(used in) ...1,082.08
Direct Taxes Paid-239.48
Total Adjustments(Cash Generat...-239.48
Cash Flow before Extraordinary...842.6
Net Cash from Operating Activi...842.6
Purchased of Fixed Assets-641.17
Sale of Fixed Assets6.67
Purchase of Investments-15.6
Sale of Investments18.01
Interest Received18.95
Cancellation of Investment in ...0.39
Net Cash used in Investing Act...-540.96
Proceeds from Issue of shares ...3.12
Proceed from 0ther Long Term B...3,280.91
Proceed from Short Tem Borrowi...955.39
Of the Long Tem Borrowings-3,673.39
Of Financial Liabilities-6.34
Dividend Paid-249.14
Interest Paid-477.06
Net Cash used in Financing Act...-217.83

News


Company Details

Registered Office
AddressGadepan Village,
Distt Kota
CityKota
StateRajasthan
Pin Code325208
Tel. No.91-7455-2782915
Fax. No.91-7455-274130
Emailisc@chambal.in
Internethttp://www.chambalfertilisers.com
Registrars
AddressGadepan Village
CityKota
StateRajasthan
Pin Code325208
Tel. No.91-7455-2782915
Fax. No.91-7455-274130
Emailisc@chambal.in
Internethttp://www.chambalfertilisers.com
Management
Name Designation
S K Poddar Chairman
Anil Kapoor Managing Director
Shyam S Bhartia Co-Chairman
C S Nopany Director
Marco Wadia Independent Director
Radha Singh Independent Director
Rajveer Singh Company Secretary
Nimesh Nagindas Kampani Independent Director
Vivek Mehra Independent Director
Pradeep Jyoti Banerjee Independent Director
Gaurav Mathur Joint Managing Director