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volume

Today's low / high

52 WK low / high

bid price (qty)

offer price (qty)

NSE


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volume

Today's' low / high

52 WK low / high

bid price (qty)

offer price (qty)

25 Mar
750.85
(-1.86%)
24 Mar
765.05
(3.16%)
21 Mar
741.65
(4.34%)
20 Mar
710.80
(-0.51%)
19 Mar
714.45
(4.09%)
18 Mar
686.35
(4.84%)
17 Mar
654.65
(-1.77%)
13 Mar
666.45
(-2.15%)
12 Mar
681.10
(0.38%)
11 Mar
678.50
(-0.44%)
10 Mar
681.50
(-4.71%)
07 Mar
715.15
(-1.01%)
06 Mar
722.45
(4.69%)
05 Mar
690.10
(5.06%)
04 Mar
656.85
(4.22%)
03 Mar
630.25
(-0.89%)
28 Feb
635.90
(-3.00%)
27 Feb
655.55
(-5.28%)
25 Feb
692.10
(-3.37%)
24 Feb
716.25
(-0.74%)
21 Feb
721.60
(-0.37%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bullish

736.15


10 DMA
Bullish

705.06


20 DMA
Bullish

692.49


50 DMA
Bearish

771.7


100 DMA
Bearish

913.04


200 DMA
Bearish

883.74



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

Updated On Mar 25, 2025 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 836.76 812.38 766.02 - -
R2 812.38 791.31 760.96 810.79 -
R1 781.61 778.3 755.91 778.43 797
P 757.23 757.23 757.23 755.64 764.93
S1 726.46 736.16 745.79 723.28 741.85
S2 702.08 723.15 740.74 700.49 -
S3 671.31 702.08 735.68 - -

Key Metrics

Shareholding Pattern

  60.24% Total Promoter Holding
0.41% Mutual Fund Holdings
8.31% FIIs
30.56% Non Institution
0.06% Insurance Companies
0% Custodians
0.42% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


AGI Greenpac Ltd Quaterly Results


Jun 2024Sep 2024Dec 2024
INCOME576.54 611.03 673.98
PROFIT63.23 72.07 90.51
EPS9.77 11.14 13.99

AGI Greenpac Ltd Quaterly Results


Jun 2024Sep 2024Dec 2024
INCOME625.45 632.71 576.54 611.03 673.98
PROFIT67.12 64.58 63.23 72.08 90.52
EPS10.37 9.98 9.77 11.14 13.99

Profit & Loss (Figures in Rs. Crores)


AGI Greenpac Ltd Profit & Loss


Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019
INCOME 839.62 1135.15 1513.48 1874.93 1908.01 2004.18 2030.18 2085.85 2337.88 2742.91
PROFIT 43.93 77.18 92.29 70.57 33.9 85.36 108.65 102.22 78.65 67.71
EPS 2.1 3.16 3.79 3.44 1.28 3.08 4.15 3.84 2.84 2.68

AGI Greenpac Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 1880.55 2012.9 2082.66 2336.71 1638.89 1975.27 1251.84 1607.69 2303.94 2495.3
PROFIT 104.02 116.56 104.96 79.32 12.14 47.02 87.61 191.53 261.62 248.26
EPS 3.79 4.45 3.94 2.86 0.58 6.7 13.61 29.88 40.44 38.85

Balance Sheet (Figures in Rs. Crores)

Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014Mar 2013Mar 2012Mar 2011Mar 2010
SOURCES OF FUNDS :
Share Capital 14.4614.4614.4614.4614.4613.2113.2113.2113.2111.01
Reserves Total 1,498.351,473.011,432.071,372.041,308.631,015.081,013.08954.19658.67456.28
Total Shareholders Funds1,512.811,487.471,446.531,386.51,323.091,028.291,026.29967.4671.88467.29
Secured Loans 1,145.21826.29637.16425.65595.19810.31626.53544.74297.02301.26
Unsecured Loans 32.47403.73274.1196.8190.8322.68407.56319.78100.46191.37
Total Debt1,177.681,230.02911.26622.45785.991,132.991,034.09864.52397.48492.63
Other Liabilities61.2864.7467.0527.7825.7920.118.516.4814.630
Total Liabilities2,751.772,782.232,424.842,036.732,134.872,181.382,078.881,848.41,083.99959.92
APPLICATION OF FUNDS :
Gross Block 2,428.422,016.711,746.631,627.582,263.332,070.41,9431,544.811,097.571,035.9
Less: Accumulated Depreciation478.17335.36223.03113.49675.2551.04438.43347.99285.89268
Net Block1,950.251,681.351,523.61,514.091,588.131,519.361,504.571,196.82811.68767.9
Capital Work in Progress120.84209.38151.5862.5333.54119.4762.19333.2829.628.06
Investments 20.3432.75136.0229.1910.8610.8610.8311.1235.7111.72
Inventories 569.96564.34492.5490.06474.36444.33406.68305.92222.33162.58
Sundry Debtors 587.9513.76397.55390.06413.78419.16389.33243.97163.74141.92
Cash and Bank Balance61.11240.2144.3220.1325.1260.2981.9773.4921.8824.68
Loans and Advances 134.45110.5767.9851.3251.614459.1743.9445.8267.81
Total Current Assets1,353.421,428.871,102.34951.56964.87967.79937.14667.32453.77396.99
Current Liabilities 588.83476.65449.32407.12350.99349.73351.84323.73195.74153.18
Provisions 3.823.262.983.240.5827.6525.1127.6822.217.45
Total Current Liabilities & Provisions592.65479.91452.31410.32391.57377.37376.95351.41217.94170.63
Net Current Assets760.77948.97650.03541.24573.3590.41560.19315.91235.83226.36
Deferred Tax Assets39.1421.1233.9739.5441.4738.9522.747.110.718.18
Deferred Tax Liability255.16232.66241.66247.13145.97154.36136.8685.2973.8762.3
Net Deferred Tax-216.02-211.54-207.69-207.59-104.5-115.41-114.12-78.18-73.16-54.12
Other Assets115.6121.33171.397.2633.5456.6955.2269.4544.310
Total Assets2,751.772,782.242,424.842,036.732,134.872,181.372,078.891,848.41,083.99959.92
Contingent Liabilities158.43135.17105.3312.44258.03313.77326.52410.0465.7960.88
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 12.9412.9412.9412.9414.4614.4614.4614.4614.4614.46
Reserves Total 1,801.671,593.641,379.141,220.621,242.421,241.641,474.811,435.581,372.941,421.23
Total Shareholders Funds1,814.611,606.581,392.081,233.561,256.881,256.11,489.271,450.041,387.41,435.69
Secured Loans 595.68709.251,139.88870.27965.97842.67826.29637.16425.65560.63
Unsecured Loans 20.4522.3223.4427.4629.1332.47403.73274.1196.8190.8
Total Debt616.13731.571,163.32897.73995.1875.141,230.02911.26622.45751.43
Other Liabilities19.4522.0421.627.0428.5828.1964.7967.0327.7625.24
Total Liabilities2,450.192,360.192,5772,158.332,280.562,159.432,784.082,428.332,037.612,212.36
APPLICATION OF FUNDS :
Gross Block 2,843.122,584.082,020.912,528.752,313.782,276.642,016.31,746.191,627.142,229.94
Less : Accumulated Depreciation 873.29722.08491.83697.42494.1434.34335.23222.91113.4670.4
Net Block 1,969.831,8621,529.081,831.331,819.681,842.31,681.071,523.281,513.741,559.54
Capital Work in Progress52.39141.5303.9730.5233116.77209.38151.5862.5333.54
Investments 29.3210.6420.9311.1211.7320.0734.55139.5932.62144.49
Inventories 396.74327.56301.62436.14407.98290.67564.3492.5490.06435.71
Sundry Debtors 320.72342.56306.4317.3293.04323.13514.09397.17387.57406.75
Cash and Bank Balance360.94279.2558.6223.4147.539.34239.75143.8218.8323.96
Loans and Advances 99.06108.1713.39108.98145.6579.59109.9167.7550.548.62
Total Current Assets1,177.461,057.471,380.02885.82894.16732.721,428.041,101.24946.96915.05
Current Liabilities 644.45506.96416.39432.82341.55444.2476.02448.62405.29324.43
Provisions 13.6411.9132.388.629.937.683.262.983.240.56
Total Current Liabilities & Provisions658.1518.87448.77441.44351.48451.88479.28451.6408.49364.99
Net Current Assets519.37538.6931.25444.38542.68280.83948.76649.64538.47550.06
Deferred Tax Assets11.688.88042.6250.8440.321.1233.9739.5441.47
Deferred Tax Liability260.36249.31253.72298.88287.19267.19232.66241.66247.13145.97
Net Deferred Tax-248.68-240.43-253.72-256.26-236.35-226.89-211.54-207.69-207.59-104.5
Other Assets127.9847.8845.4997.22109.81126.36121.87171.9497.8429.23
Total Assets2,450.22,360.192,5772,158.322,280.552,159.432,784.082,428.342,037.612,212.36
Contingent Liabilities255.5497.7893.3194.5171.489.2480.1935.2835.8278.6

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...107.36
Depreciation151
Interest (Net)85.59
P/L on Sales of Assets-4.77
Prov. and W/O (Net)-11.13
P/L in Forex6.11
Others162.24
Total Adjustments (PBT and Ext...222.44
Operating Profit before Workin...329.79
Trade and 0ther Receivables-78.37
Inventories-5.61
Trade Payables137.14
Total Adjustments (OP before W...15.51
Cash Generated from/(used in) ...345.3
Direct Taxes Paid-16.31
Total Adjustments(Cash Generat...-16.31
Cash Flow before Extraordinary...328.99
Net Cash from Operating Activi...328.99
Purchased of Fixed Assets-339.03
Sale of Fixed Assets13.72
Purchase of Investments-47.71
Sale of Investments48.05
Interest Received2.07
Net Cash used in Investing Act...-322.17
Of the Short Term Borrowings-232.18
Dividend Paid-28.83
Interest Paid-86.41
Net Cash used in Financing Act...-185.18
Net Profit before Tax and Extr...339.92
Depreciation161.33
Interest (Net)72.49
P/L on Sales of Assets-4.01
P/L on Sales of Invest-0.08
Prov. and W/O (Net)-0.4
P/L in Forex1.51
Total Adjustments (PBT and Ext...229.26
Operating Profit before Workin...569.18
Trade and 0ther Receivables0.56
Inventories-69.18
Trade Payables172.17
Total Adjustments (OP before W...105.94
Cash Generated from/(used in) ...675.12
Direct Taxes Paid-86.74
Total Adjustments(Cash Generat...-86.74
Cash Flow before Extraordinary...588.39
Net Cash from Operating Activi...588.39
Purchased of Fixed Assets-272.25
Sale of Fixed Assets4.08
Purchase of Investments-69
Sale of Investments40
Interest Received12.97
Net Cash used in Investing Act...-351.65
Proceed from 0ther Long Term B...51.63
Of the Long Tem Borrowings-113.24
Of the Short Term Borrowings-57.13
Of Financial Liabilities-0.02
Dividend Paid-32.42
Interest Paid-83.46
Net Cash used in Financing Act...-234.65

Company Details

Registered Office
Address2 Red Cross Place,
CityKolkata
StateWest Bengal
Pin Code700001
Tel. No.91-33-22487407/5668
Fax. No.91-33-22487045
Emailhsilinvestors@hsilgroup.com
Internethttp://www.hsilgroup.com
Registrars
Address2 Red Cross Place
CityKolkata
StateWest Bengal
Pin Code700001
Tel. No.91-33-22487407/5668
Fax. No.91-33-22487045
Emailhsilinvestors@hsilgroup.com
Internethttp://www.hsilgroup.com
Management
Name Designation
Sandip SomanyChairman & Managing Director
Sumita SomanyNon-Exec & Non-Independent Dir
Vijay Kumar BhandariIndependent Non Exe. Director
N G KhaitanIndependent Non Exe. Director
G L SultaniaNon-Exec & Non-Independent Dir
Rakesh SaninIndependent Non Exe. Director
Anil WadhwaIndependent Non Exe. Director
Himalyani GuptaIndependent Non Exe. Director
OmpalCompany Sec. & Compli. Officer