GMM Pfaudler Ltd

NSE :GMMPFAUDLR   BSE :505255  Sector : Capital Goods-Non Electrical Equipment
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11 Apr
1062.55
(4.17%)
09 Apr
1020.00
(-0.45%)
08 Apr
1024.60
(-0.29%)
07 Apr
1027.55
(-0.77%)
04 Apr
1035.50
(0.15%)
03 Apr
1033.95
(-1.60%)
02 Apr
1050.75
(1.31%)
01 Apr
1037.20
(2.30%)
28 Mar
1013.90
(-3.50%)
27 Mar
1050.70
(0.09%)
26 Mar
1049.75
(-0.17%)
25 Mar
1051.55
(0.18%)
24 Mar
1049.70
(0.21%)
21 Mar
1047.45
(-0.40%)
20 Mar
1051.70
(-0.56%)
19 Mar
1057.65
(4.09%)
18 Mar
1016.10
(1.25%)
17 Mar
1003.55
(-4.59%)
13 Mar
1051.80
(-0.52%)
12 Mar
1057.25
(-3.23%)
11 Mar
1092.55
(-2.22%)


Technical Analysis

Short Term Investors

Neutral

Medium Term Investors

Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bullish

1032.03


10 DMA
Bullish

1034.42


20 DMA
Bullish

1038.74


50 DMA
Bearish

1098.2


100 DMA
Bearish

1156.95


200 DMA
Bearish

1273.81



Intraday Support and Resistance
(Based on Pivot Points) undefined |

Updated On Apr 11, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 1132.95 1103.65 1076.26 - -
R2 1103.65 1084.61 1071.69 1105.84 -
R1 1083.1 1072.84 1067.12 1087.48 1093.38
P 1053.8 1053.8 1053.8 1055.99 1058.94
S1 1033.25 1034.76 1057.98 1037.63 1043.53
S2 1003.95 1022.99 1053.41 1006.14 -
S3 983.4 1003.95 1048.84 - -

Key Metrics

EPS

7.72

P/E

136.35

P/B

6.21

Dividend Yield

0.19%

Market Cap

4,777 Cr.

Face Value

2

Book Value

169.62

ROE

19.69%

EBITDA Growth

120.7 Cr.

Debt/Equity

1.06

Shareholding Pattern

  25.18% Total Promoter Holding
11.96% Mutual Fund Holdings
19.67% FIIs
40.7% Non Institution
1.29% Insurance Companies
0% Custodians
1.2% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


GMM Pfaudler Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME848.28 751.26 795.24 804.69 827.31
PROFIT28.89 31.07 25.26 15.22 41.48
EPS6.42 6.92 5.62 3.39 9.23

GMM Pfaudler Ltd Quaterly Results


Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
INCOME260.85 224.72 223.91 211.33 238.47
PROFIT10.8 7.61 7.54 7.82 11.74
EPS2.4 1.7 1.68 1.74 2.61

Profit & Loss (Figures in Rs. Crores)


GMM Pfaudler Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 301.76 291.14 361.3 425.62 516.23 604.44 963.27 2577.93 3264.83 3335.51
PROFIT 18.73 19.96 27.49 42.29 48.43 71.93 91.75 84.81 162.73 178.58
EPS 4.09 4.38 7.1 9.73 11.54 16.22 14.51 17.21 46.8 38.73

GMM Pfaudler Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 225.53 224.49 273.94 336.33 435.18 528.17 638.38 859.69 1106.95 981.63
PROFIT 16.51 18.21 22.36 28.02 39.52 62.91 94.94 94.93 84.7 50.8
EPS 3.73 3.98 5.95 6.47 9.27 14.17 21.71 21.68 22.01 11.36

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 8.998.992.922.922.922.922.922.922.922.92
Reserves Total 958.81791.7524.19403.32326.13266.01224.83190.9163.91147.51
Total Shareholders Funds967.8800.69527.11406.24329.05268.93227.75193.82166.83150.43
Minority Interest6.4311.24141.28115.61000000
Secured Loans 669.87726.83471.16436.78000000
Unsecured Loans 236.16245.81164.64195.8434.4300000
Total Debt906.03972.64635.8632.6234.4300000
Other Liabilities303.02293.69380.61467.9313.4315.4512.578.170.650
Total Liabilities2,183.282,078.261,684.81,622.4376.91284.38240.32201.99167.48150.43
APPLICATION OF FUNDS :
Gross Block 1,679.081,563.861,259.751,137.43177.3103.188.4669.38124.93112.5
Less: Accumulated Depreciation446.35340.02257.9994.2143.7525.517.628.2271.5266
Net Block1,232.731,223.841,001.761,043.22133.5577.670.8461.1653.4146.5
Capital Work in Progress27.3613.3312.984.351.644.996.7824.324.82
Investments 0.010.010.090.6736.1347.6750.5745.9613.7211.72
Inventories 625.36772.89669.53576.44125.82115.4695.6482.2570.8674.26
Sundry Debtors 432.83435.53356.23309.6174.3367.2150.5369.948.6838.02
Cash and Bank Balance343.57371.61327.74292.2876.3975.866.7931.6553.6347.02
Loans and Advances 449.82491.78335.07143.5377.7439.2845.6924.225.456.37
Total Current Assets1,851.582,071.811,688.571,321.86354.28297.74258.65208.02178.61165.67
Current Liabilities 731.381,013.7863.26625.69142.88139.36139.81111.2780.975.35
Provisions 172.28188.47130.69118.684.825.313.992.523.484.69
Total Current Liabilities & Provisions903.661,202.17993.95744.37147.7144.66143.8113.7884.3880.04
Net Current Assets947.92869.64694.62577.49206.58153.08114.8594.2494.2385.63
Deferred Tax Assets234.53263.0110.18120.5309.060.221.561.131.14
Deferred Tax Liability292.04337.948.82134.55.0113.584.754.214.915.03
Net Deferred Tax-57.51-74.89-38.64-13.97-5.01-4.52-4.53-2.65-3.78-3.89
Other Assets32.7746.3313.9910.644.015.561.821.295.585.65
Total Assets2,183.282,078.261,684.81,622.4376.9284.38240.33201.99167.48150.43
Contingent Liabilities6.16.927.048.67.3863.4445.2338.4931.7229.07
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 8.998.992.922.922.922.922.922.922.922.92
Reserves Total 742.2698.99441.7354.43268.16214.79182.88161.88138.4125.32
Total Shareholders Funds751.19707.98444.62357.35271.08217.71185.8164.8141.32128.24
Secured Loans 265.23306.14127.8790.52000000
Unsecured Loans 21.9930.511.9732.0634.4300000
Total Debt287.22336.64139.84122.5834.4300000
Other Liabilities1.28000.35000000
Total Liabilities1,039.691,044.62584.46480.28305.51217.71185.8164.8141.32128.24
APPLICATION OF FUNDS :
Gross Block 382.11362.82323.07243.15166.9485.2671.855.34100.6789.76
Less : Accumulated Depreciation 151.61130.6795.8466.4239.722.5515.297.3761.1156.96
Net Block 230.5232.15227.23176.73127.2462.7156.5147.9739.5632.8
Capital Work in Progress9.156.5410.422.641.644.996.7824.324.83
Investments 519.05519.05171.34171.9157.5269.0672.5767.9635.7233.72
Inventories 133.77199.14230.6112.65110.98103.0578.7959.4549.5256.56
Sundry Debtors 171.84197.43121.0111359.4748.8741.9752.4431.6821.31
Cash and Bank Balance26.4938.1715.3431.8228.9528.8611.273.0425.1629.9
Loans and Advances 125.7118.887.6848.8441.1521.9817.114.454.485.18
Total Current Assets457.8553.54454.63306.31240.55202.76149.12129.38110.84112.95
Current Liabilities 173.31265.14273.54170.73116.39117.3792.379.4348.7154.94
Provisions 8.377.327.1612.144.084.653.351.93.484.08
Total Current Liabilities & Provisions181.68272.46280.7182.87120.47122.0395.6481.3352.1959.02
Net Current Assets276.12281.08173.93123.44120.0880.7353.4848.0558.6553.93
Deferred Tax Assets2.322.091.171.41.391.371.021.381.221.14
Deferred Tax Liability6.877.945.685.926.386.715.953.843.733.83
Net Deferred Tax-4.55-5.85-4.51-4.52-4.99-5.34-4.93-2.46-2.51-2.69
Other Assets9.4211.656.0510.084.015.561.391.295.595.67
Total Assets1,039.691,044.62584.46480.28305.51217.72185.81164.81141.33128.25
Contingent Liabilities6.15.896.217.378.0657.9645.2338.4927.9429.07

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...255.4
Depreciation146.65
Interest (Net)81.02
P/L on Sales of Assets-0.54
Prov. and W/O (Net)1.8
P/L in Forex17.38
Total Adjustments (PBT and Ext...248.72
Operating Profit before Workin...504.12
Trade and 0ther Receivables58.32
Inventories150.65
Trade Payables-335.2
Total Adjustments (OP before W...-126.23
Cash Generated from/(used in) ...377.89
Direct Taxes Paid-94
Total Adjustments(Cash Generat...-94
Cash Flow before Extraordinary...283.89
Net Cash from Operating Activi...283.89
Purchased of Fixed Assets-63.78
Sale of Fixed Assets1.17
Interest Received13.84
Net Cash used in Investing Act...-31.7
Proceed from Short Tem Borrowi...250.17
Of the Long Tem Borrowings-144.77
Of the Short Term Borrowings-206.15
Of Financial Liabilities-46.3
Dividend Paid-8.87
Interest Paid-88.12
Net Cash used in Financing Act...-244.04
Net Profit before Tax and Extr...69.71
Depreciation36.71
Interest (Net)33.99
P/L on Sales of Assets-0.36
Prov. and W/O (Net)5.52
P/L in Forex0.42
Total Adjustments (PBT and Ext...77.15
Operating Profit before Workin...146.86
Trade and 0ther Receivables11.95
Inventories65.37
Trade Payables-90.71
Total Adjustments (OP before W...-13.39
Cash Generated from/(used in) ...133.47
Direct Taxes Paid-20.62
Total Adjustments(Cash Generat...-20.62
Cash Flow before Extraordinary...112.85
Net Cash from Operating Activi...112.85
Purchased of Fixed Assets-12.53
Sale of Fixed Assets0.9
Interest Received0.44
Net Cash used in Investing Act...-8.65
Proceed from Short Tem Borrowi...235.42
Of the Long Tem Borrowings-95.65
Of the Short Term Borrowings-206.12
Of Financial Liabilities-8.48
Dividend Paid-8.86
Interest Paid-33.67
Net Cash used in Financing Act...-117.36

Company Details

Registered Office
AddressVithal Udyognagar,
Anand Sojitra Road
CityKaramsad
StateGujarat
Pin Code388325
Tel. No.91-2692-661700/230416/230516
Fax. No.91-2692-661888/236467
EmailInvestorservices@gmmpfaudler.com, sales@gmmpfaudle
Internethttp://www.gmmpfaudler.com
Registrars
AddressVithal Udyognagar
CityKaramsad
StateGujarat
Pin Code388325
Tel. No.91-2692-661700/230416/230516
Fax. No.91-2692-661888/236467
EmailInvestorservices@gmmpfaudler.com, sales@gmmpfaudle
Internethttp://www.gmmpfaudler.com
Management
Name Designation
Ashok J PatelNon Executive Director
Tarak A PatelManaging Director
Mittal MehtaCompany Sec. & Compli. Officer
NAKUL VINAY TOSHNIWALIndependent Director
Bhawana MishraIndependent Director
Vivek BhatiaIndependent Director
P K ApteChairman & Independent Directo
Shilpa Divekar NirulaIndependent Director
RAGHAV RAMDEVAdditional Director