Chambal Fertilisers & Chemicals Ltd

NSE :CHAMBLFERT   BSE :500085  Sector : Fertilizers
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15 Apr
365.90
(-2.00%)
12 Apr
373.35
(-2.01%)
10 Apr
381.00
(1.79%)
09 Apr
374.30
(-0.80%)
08 Apr
377.30
(-0.91%)
05 Apr
380.75
(3.10%)
04 Apr
369.30
(-1.28%)
03 Apr
374.10
(3.33%)
02 Apr
362.05
(1.29%)
01 Apr
357.45
(4.52%)
28 Mar
342.00
(-0.58%)
27 Mar
344.00
(0.17%)
26 Mar
343.40
(-0.13%)
22 Mar
343.85
(0.00%)
21 Mar
343.85
(1.84%)
20 Mar
337.65
(-0.95%)
19 Mar
340.90
(-0.89%)
18 Mar
343.95
(-0.86%)
15 Mar
346.95
(-0.01%)
14 Mar
347.00
(2.74%)
13 Mar
337.75
(-5.88%)


Technical Analysis

Short Term Investors

Bullish

Medium Term Investors

Neutral

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bearish

374.29


10 DMA
Bearish

371.49


20 DMA
Bullish

357.36


50 DMA
Bullish

358.9


100 DMA
Bullish

357.26


200 DMA
Bullish

318.08



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Apr 15, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 383.84 376.87 369.32 - -
R2 376.87 372.11 368.18 377.24 -
R1 371.39 369.18 367.04 372.13 374.13
P 364.42 364.42 364.42 364.79 365.79
S1 358.94 359.66 364.76 359.68 361.68
S2 351.97 356.73 363.62 352.34 -
S3 346.49 351.97 362.48 - -

Key Metrics

EPS

33.52

P/E

10.91

P/B

1.92

Dividend Yield

2.13%

Market Cap

14,660 Cr.

Face Value

10

Book Value

190.14

ROE

15.35%

EBITDA Growth

778.77 Cr.

Debt/Equity

0.55

Shareholding Pattern

  60.7% Total Promoter Holding
6.39% Mutual Fund Holdings
13.89% FIIs
18.71% Non Institution
0.25% Insurance Companies
0% Custodians
0.06% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Chambal Fertilisers & Chemicals Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 8319.07 3639.98 5603.75 5475.87 4499.87
PROFIT 324.03 94.1 338.64 380.97 459.41
EPS 7.79 2.26 8.14 9.15 11.04

Chambal Fertilisers & Chemicals Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 8319.03 3639.75 5734.25 5467.1 4443.86
PROFIT 324.5 97.92 469.33 372.35 403.55
EPS 7.8 2.35 11.28 8.94 9.7

Profit & Loss (Figures in Rs. Crores)


Chambal Fertilisers & Chemicals Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 8453.56 9895.5 9424.27 7690.56 7678.86 10800.38 12304.13 12839.86 18770.2 26211.97
PROFIT 238.44 287.37 261.04 343.99 489.61 709.16 1140.1 1406.38 1556.74 1005.13
EPS 5.34 6.36 3.54 8.62 11.9 14.05 29.45 41.99 37.63 24.84

Chambal Fertilisers & Chemicals Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 7567.19 9076.8 9237.69 7586.28 7570.3 10746.76 12373.9 12435.06 18491.38 26245.72
PROFIT 296.5 293.12 156.15 401.65 471.01 661.53 1199.81 1349.54 1278.42 1039.96
EPS 7 5.72 0 10.21 11.54 13.1 29.42 32.36 30.92 25.69

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 495.36489.22486.63833.63797.72775.76416.21416.21413.95413.96
Reserves Total 6,652.475,986.134,837.483,130.842,478.32,103.571,724.771,450.691,837.151,642.37
Equity Application Money-0.57-2.76-4.9-7.75-11.27-14.23-17.44000
Total Shareholders Funds7,147.266,472.595,319.213,956.723,264.752,865.12,123.541,866.92,251.12,056.33
Minority Interest-15.19-13.49-13.04-108.22-97.98-87.36-82.57-76.8754.7771.51
Secured Loans 3,256.124,250.083,847.997,092.226,896.974,313.522,587.214,051.443,307.173,336.25
Unsecured Loans 23.1313.7717.752,603.31,766.741,406.282,031.381,265.69782.181,348.04
Total Debt3,279.254,263.853,865.749,695.528,663.715,719.84,618.595,317.134,089.354,684.29
Other Liabilities21.8418.2817.1314.8910.786.779.646.7415.1229.38
Total Liabilities10,433.1610,741.239,189.0413,558.9111,841.268,504.316,669.27,113.96,410.346,841.51
APPLICATION OF FUNDS :
Gross Block 7,919.587,723.857,581.527,520.467,517.031,700.111,553.222,267.056,752.096,650.21
Less: Accumulated Depreciation1,657.191,366.181,101.68819.43611.85466.24391.2358.543,803.813,617.04
Less: Impairment of Assets0000000115.5900
Net Block6,262.396,357.676,479.846,701.036,905.181,233.871,162.021,792.922,948.283,033.17
Capital Work in Progress102.62156.9160.7984.99121.424,134.631,712.2638.94119.1551.39
Investments 2,377.09559.19298.33217.16300.2207.08173.58211.0830.110.11
Inventories 1,373.833,123.21789.141,135.61,323.15795.1849.35868.39738.71685.54
Sundry Debtors 1,760.482,151.31,174.595,563.114,827.42,534.693,036.23,861.23,171.163,559.49
Cash and Bank Balance57.63554.14907.4167.5381.0977.65132.1454.27203.93197.51
Loans and Advances 609.5246.71276.43458.95249.07365.6852.18472.05316.67312.78
Total Current Assets3,801.446,075.363,147.567,325.196,480.713,773.044,869.875,255.914,430.474,755.32
Current Liabilities 1,596.21,910.19704.77931.581,857.35713.741,171.3722.79660.94645.02
Provisions 36.4134.5143.9742.1837.1432.0433.340.7139.3137.69
Total Current Liabilities & Provisions1,632.611,944.7748.74973.761,894.49745.781,204.61763.49800.23782.72
Net Current Assets2,168.834,130.662,398.826,351.434,586.223,027.263,665.264,492.413,630.243,972.61
Deferred Tax Assets1,305.351,453.961,804.732,210.112,062.631.2966.4611.8928.7724.77
Deferred Tax Liability2,009.652,057.032,113.642,172.562,252213.14249.45257.78456.47442.01
Net Deferred Tax-704.3-603.07-308.9137.55-189.37-211.85-182.99-245.89-427.7-417.24
Other Assets226.53139.88160.17166.75117.61113.32139.12224.43110.28201.47
Total Assets10,433.1610,741.239,189.0413,558.9111,841.268,504.316,669.197,113.896,410.366,841.52
Contingent Liabilities166.38129.9219.36114.592.887.712.57.46107.3688.13
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 416.21416.21416.21416.21416.21416.21416.21416.21413.95413.95
Reserves Total 6,460.935,770.144,8813,507.422,835.62,496.442,136.481,789.881,901.61,772.25
Equity Application Money-0.57-2.76-4.9-7.75-11.27-14.23-17.44000
Total Shareholders Funds6,876.576,183.595,292.313,915.883,240.542,898.422,535.252,206.092,315.552,186.2
Secured Loans 3,256.124,250.083,847.997,092.226,895.984,313.522,478.913,905.863,168.143,198.61
Unsecured Loans 23.1313.7717.752,542.771,649.171,295.471,673.62900.73782.181,348.04
Total Debt3,279.254,263.853,865.749,634.998,545.155,608.994,152.534,806.593,950.324,546.65
Other Liabilities21.8418.2817.1414.8910.236.489.645.8914.828.98
Total Liabilities10,177.6610,465.729,175.1913,565.7611,795.928,513.896,697.427,018.576,280.676,761.83
APPLICATION OF FUNDS :
Gross Block 7,711.757,516.027,373.697,312.637,165.121,371.291,248.691,964.045,489.835,404.99
Less : Accumulated Depreciation 1,449.361,158.35893.85611.6319.08201.92149.85132.492,938.942,772.85
Less:Impairment of Assets0000000115.5900
Net Block 6,262.396,357.676,479.846,701.036,846.041,169.371,098.841,715.962,550.892,632.14
Capital Work in Progress102.62156.9160.7984.99108.674,128.711,706.84626.3892.3642.54
Investments 2,140.23302.93302.93289.49327.46291.25291.25315.71487.38560.35
Inventories 1,373.833,123.21789.141,135.61,323.15795.1849.35862.18693.68642.12
Sundry Debtors 1,760.482,151.31,174.595,563.114,822.642,515.73,023.153,836.963,049.433,440.49
Cash and Bank Balance46.61538.79900.89150.8262.0669.22104.0730.8821.3723.66
Loans and Advances 608.48245.68267.31448.56248.17358.94848.36363.69285.83249.71
Total Current Assets3,789.46,058.983,131.937,298.096,456.023,738.964,824.935,093.714,050.314,355.98
Current Liabilities 1,595.31,909.09703.4964.41,826.35679.171,139.93663.4440.28474.87
Provisions 36.3834.4539.4737.3132.9429.8526.8224.24126.15120.82
Total Current Liabilities & Provisions1,631.681,943.54742.871,001.711,859.29709.031,166.75687.63566.43595.69
Net Current Assets2,157.724,115.442,389.066,296.384,596.733,029.933,658.184,406.083,483.883,760.29
Deferred Tax Assets1,305.321,453.931,804.72,210.12,060.7427.6366.2710.8627.9223.21
Deferred Tax Liability2,009.622,0572,113.612,172.562,251.27240.78249.61257.14454.98442.01
Net Deferred Tax-704.3-603.07-308.9137.54-190.53-213.15-183.34-246.28-427.06-418.8
Other Assets219135.85151.48156.33107.55107.78125.62200.7293.22185.32
Total Assets10,177.6610,465.729,175.1913,565.7611,795.928,513.896,697.397,018.576,280.676,761.84
Contingent Liabilities145.54108.09197.55312.55123.24118.5122.75153.23151.32146.15

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...1,416.33
Depreciation308.29
Interest (Net)293.63
P/L on Sales of Assets2.8
P/L on Sales of Invest120.92
Prov. and W/O (Net)-32.65
P/L in Forex-29.2
Total Adjustments (PBT and Ext...612.14
Operating Profit before Workin...2,028.47
Trade and 0ther Receivables391.02
Inventories1,746.38
Trade Payables-287.45
Total Adjustments (OP before W...1,482.27
Cash Generated from/(used in) ...3,510.74
Direct Taxes Paid-271.48
Total Adjustments(Cash Generat...-271.48
Cash Flow before Extraordinary...3,239.26
Net Cash from Operating Activi...3,239.26
Purchased of Fixed Assets-197.74
Sale of Fixed Assets3.51
Purchase of Investments-16,925
Sale of Investments15,130.35
Interest Received24.66
Net Cash used in Investing Act...-1,872.36
Proceeds from Issue of shares ...0.65
Proceed from 0ther Long Term B...2,803.74
Of the Long Tem Borrowings-3,148.93
Of the Short Term Borrowings-890
Of Financial Liabilities-5.88
Dividend Paid-312.1
Interest Paid-309.47
Net Cash used in Financing Act...-1,861.99
Net Profit before Tax and Extr...1,451.79
Depreciation308.29
Interest (Net)293.86
Dividend Received91.65
P/L on Sales of Assets2.8
P/L on Sales of Invest-42.65
Prov. and W/O (Net)-32.51
P/L in Forex134.37
Total Adjustments (PBT and Ext...578.39
Operating Profit before Workin...2,030.18
Trade and 0ther Receivables391.03
Inventories1,746.38
Trade Payables-287.02
Total Adjustments (OP before W...1,482.37
Cash Generated from/(used in) ...3,512.55
Direct Taxes Paid-271.41
Total Adjustments(Cash Generat...-271.41
Cash Flow before Extraordinary...3,241.14
Net Cash from Operating Activi...3,241.14
Purchased of Fixed Assets-197.75
Sale of Fixed Assets3.5
Purchase of Investments-16,925
Sale of Investments15,130.35
Interest Received24.43
Net Cash used in Investing Act...-1,872.82
Proceeds from Issue of shares ...0.65
Proceed from 0ther Long Term B...2,803.74
Of the Long Tem Borrowings-3,148.93
Of the Short Term Borrowings-890
Of Financial Liabilities-5.88
Dividend Paid-312.1
Interest Paid-309.47
Net Cash used in Financing Act...-1,861.99

Company Details

Registered Office
AddressGadepan Village,
Distt Kota
CityKota
StateRajasthan
Pin Code325208
Tel. No.91-7455-2782915
Fax. No.91-7455-274130
Emailcomplianceofficer@chambal.in
Internethttp://www.chambalfertilisers.com
Registrars
AddressGadepan Village
CityKota
StateRajasthan
Pin Code325208
Tel. No.91-7455-2782915
Fax. No.91-7455-274130
Emailcomplianceofficer@chambal.in
Internethttp://www.chambalfertilisers.com
Management
Name Designation
S K PoddarChairman & Non Executive Dir.
Pradeep BanerjeeIndependent Non Exe. Director
Berjis DesaiIndependent Non Exe. Director
Vivek MehraIndependent Non Exe. Director
Rita MenonIndependent Non Exe. Director
C S NopanyNon Executive Director
Shyam S BhartiaCo-Chairman
Gaurav MathurExecutive Director & MD
Abhay BaijalManaging Director
Tridib BaratCompany Sec. & Compli. Officer