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Adani Green Energy Ltd.

PowerPower Generation/Distribution
₹1,288.95BSE1.23%

07 Sep, 4:01 PM

₹1,288.95
₹2.12L Cr
119.01
10.50
14.36%
₹1,309.40
₹1,285.05
₹1,631.35
₹767.00

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Price Performance

Peer Comparison

Name
ADANI POWER

ADANIPOWER

204.7527.703,94,854.120.004,866.6047.24%18,901.8933.97%17.79
NTPC LTD

NTPC

332.0011.603,21,929.322.716,896.4412.90%50,740.967.81%8.52
POWER GRID

POWERGRID

266.9515.622,48,279.623.373,598.42-0.89%11,496.722.68%9.74
Adani Green Energy Ltd.

ADANIGREEN

1,288.95119.012,12,312.770.00983.0019.30%4,431.0016.61%9.90
ADANIENSOL

ADANIENSOL

1,390.0058.231,69,990.670.001,236.56129.44%9,711.0842.41%9.71
TATA POWER

TATAPOWER

365.0030.191,16,629.890.681,400.8610.98%19,051.265.63%11.63
JSW ENERGY

JSWENERGY

529.9049.3997,156.250.38532.70-36.27%5,207.131.24%8.50
NHPC

NHPC

75.7620.0476,101.182.131,178.094.15%3,808.3118.50%6.16

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
2,794.003,005.002,340.003,073.003,800.003,008.002,618.003,502.004,431.00
Expenses415.00788.00460.00671.00758.00405.00377.00620.00446.00
2,379.002,217.001,880.002,402.003,042.002,603.002,241.002,882.003,985.00
85.15%73.78%80.34%78.16%80.05%86.54%85.60%82.30%89.93%
271.00294.00280.0039.00189.00158.00208.00117.00230.00
Interest1,426.001,448.001,251.001,368.001,525.001,635.001,698.001,626.002,001.00
596.00621.00618.00663.00767.00834.00886.00885.001,026.00
808.00541.00365.00501.001,056.00407.00-32.00570.001,246.00
22.15%4.81%-29.86%23.55%21.97%-58.23%115.63%9.82%21.11%
446.00276.00492.00230.00713.00583.00-41.00397.00845.00
2.821.743.111.454.393.54-0.252.415.13

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income5,133.007,776.009,220.0011,212.0012,928.00
Operating Income (Net)5,133.007,776.009,220.0011,212.0012,928.00
EXPENDITURE :
Power Generation & Distribution Cost1,286.001,756.001,191.001,445.00710.00
Employee Cost34.0040.0077.00128.00150.00
Operating Expenses177.00266.00361.00425.00564.00
General and Administration Expenses105.00133.00191.00222.00576.00
Selling and Distribution Expenses2.0011.0019.0023.00
Miscellaneous Expenses21.00648.0071.0096.00137.00
1,623.002,845.001,902.002,335.002,160.00
Operating Profit (Excl OI)3,510.004,931.007,318.008,877.0010,768.00
444.001,369.001,301.001,493.002,832.00
3,954.006,300.008,619.0010,370.0013,600.00
Interest2,617.003,439.005,088.005,775.008,425.00
PBDT1,337.002,861.003,531.004,595.005,175.00
849.001,300.001,903.002,498.003,372.00
Profit Before Taxation & Exceptional Items488.001,561.001,628.002,097.001,803.00
Exceptional Income / Expenses64.00-194.00-246.00-326.00-219.00
553.001,426.001,671.002,215.002,001.00
Provision for Tax64.00453.00411.00214.0014.00
489.00973.001,260.002,001.001,987.00
Extra items0.000.000.000.00
Minority Interest1.00-160.00-557.00-335.00
Consolidated Net Profit489.00974.001,100.001,444.001,652.00
Profit Balance B/F-718.00-313.00582.001,592.003,031.00
Appropriations-229.00661.001,682.003,036.004,683.00
3.136.156.949.1210.03
Adjusted EPS3.136.156.949.1210.03

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
1,564.001,584.001,584.001,584.001,647.00
Share Warrants & Outstandings2,338.002,338.00
Total Reserves-374.004,296.005,296.006,791.0017,643.00
Reserve excluding Revaluation Reserve-374.004,296.005,296.006,791.0017,643.00
1,190.005,880.009,218.0010,713.0019,290.00
Minority Interest46.006,806.0010,437.009,914.00
Secured Loans35,639.0043,196.0035,999.0062,633.0087,642.00
Unsecured Loans8,502.006,860.005,928.006,154.00930.00
Deferred Tax Assets / Liabilities-349.00-7.00437.00496.00359.00
Other Long Term Liabilities1,577.002,268.002,601.003,077.004,271.00
Long Term Provisions114.00216.00283.00367.00432.00
Total Non-Current Liabilities45,483.0052,533.0045,248.0072,727.0093,634.00
Trade Payables145.00391.00316.00395.00407.00
Other Current Liabilities3,176.005,460.0020,967.009,431.009,645.00
Short Term Borrowings8,184.001,988.004,946.006,880.009,892.00
Short Term Provisions8.00102.00159.00182.00206.00
Total Current Liabilities11,513.007,941.0026,388.0016,888.0020,150.00
Total Liabilities58,605.0066,902.0088,086.001,10,765.001,42,988.00
Gross Block32,105.0053,261.0069,064.0089,190.001,14,778.00
Less: Accumulated Depreciation3,653.004,925.006,780.009,276.0012,640.00
Net Block28,452.0048,336.0062,284.0079,914.001,02,138.00
Capital Work in Progress19,899.005,291.006,423.0014,479.0019,016.00
Non Current Investments73.00131.00494.00939.001,356.00
Long Term Investment73.00131.00494.00939.001,356.00
Long Term Loans & Advances3,122.003,724.004,066.006,064.007,523.00
Other Non Current Assets932.001,612.00952.00784.001,479.00
Total Non-Current Assets52,478.0059,094.0074,223.001,02,181.001,31,527.00
Currents Investments501.001,018.001,021.001,804.001,627.00
Inventories17.0052.00291.00101.00136.00
Sundry Debtors1,809.002,206.001,342.001,540.002,129.00
Cash and Bank1,593.001,984.008,764.003,332.002,766.00
Other Current Assets455.001,384.001,060.00479.002,211.00
Short Term Loans and Advances1,131.00569.00828.001,328.002,592.00
Total Current Assets5,506.007,213.0013,306.008,584.0011,461.00
Net Current Assets (Including Current Investments)-6,007.00-728.00-13,082.00-8,304.00-8,689.00
Total Assets58,605.0066,902.0088,086.001,10,765.001,42,988.00
Contingent Liabilities178.00111.0098.00147.00150.00
Total Debt53,612.0054,271.0064,484.0079,493.001,01,153.00
7.6137.1243.4352.87117.12
Adjusted Book Value7.6137.1243.4352.87117.12

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
552.001,367.001,382.001,771.001,584.00
Adjustment3,020.004,204.005,964.007,275.009,328.00
Changes In working Capital-425.001,683.00417.00133.00-634.00
Cash Flow after changes in Working Capital3,147.007,254.007,763.009,179.0010,278.00
Cash Flow from Operating Activities3,127.007,265.007,713.008,957.0010,135.00
Cash Flow from Investing Activities-19,348.00-3,857.00-21,060.00-19,827.00-26,227.00
Cash Flow from Financing Activitie15,986.00-2,973.0013,953.0011,475.0015,615.00
Net Cash Inflow / Outflow-235.00435.00606.00605.00-477.00
Opening Cash & Cash Equivalents184.00567.001,002.001,608.002,212.00
Cash & Cash Equivalent of Subsidiaries under liquidations618.00-1.00
Closing Cash & Cash Equivalent567.001,002.001,608.002,212.001,735.00

Ratios

Valuation

119.01
10.50
24.60
16.22
10.83
122.73

Profitability

14.36
9.90
1.57
83.29
15.37

Leverage & Liquidity

5.24
0.57
1.24

Returns

0.00
0.10

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
57.5260.9460.9460.9461.9162.4362.4362.4362.43
18.3816.6015.4014.8514.4414.2715.7315.6616.66
24.1122.4623.6624.2223.6423.3021.8421.9120.91
42.4839.0639.0639.0638.0937.5737.5737.5737.57
No. of Shareholders7,42,5796,28,4259,00,7709,95,7009,89,8219,77,4839,35,7169,30,9707,99,143

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-01Board Meeting Quarterly Results
2026-04-24AGM Inter alia, approved:- 1. The Board, on the recommendation of the Nomination and Remuneration Committee and subject to the approval of shareholders, approved reappointment of the Independent Directors as below: a. Mr. Romesh Sobti (DIN: 00031034) as an Independent Director (NonExecutive) of the Company, for a second term, w.e.f. September 20, 2026. b. Mrs. Neera Saggi (DIN: 00501029) as an Independent Director (NonExecutive) of the Company, for a second term, w.e.f. September 07, 2026. c. Dr. Anup Shah (DIN: 00293207) as an Independent Director (Non-Executive) of the Company, for a second term, w.e.f. September 07, 2026. 2. The Board, on the recommendation of the Audit Committee, recommended to the shareholders the appointment/ re-appointment of the Joint Statutory Auditors of the Company as below: a. Appointment of M/s. Shah Dhandharia & Co. LLP, Chartered Accountants (Firm Registration No.: 118707W/W100724) as one of the Joint Statutory Auditors of the Company, to hold office from the conclusion of the 11th Annual General Meeting until the conclusion of the 16th Annual General Meeting of the Company to be held in the year 2031. b. Re-appointment of M/s. S R B C LLP, Chartered Accountants (Firm Registration No.: 324982E/E300003) as one of the Joint Statutory Auditors of the Company, to hold office from the conclusion of the 11th Annual General Meeting until the conclusion of the 16th Annual General Meeting of the Company to be held in the year 2031. 3. Pursuant to Regulation 30 of SEBI (Listing and Disclosure Requirements) Regulations, 2015 ( SEBI Listing Regulations ), we wish to inform you that the Board, on recommendation of the Audit Committee, approved the appointment of M/s. T. R. Chadha & Co. LLP, Chartered Accountants as the new Internal Auditor of the Company, in place of Mr. Tejas Shah, who ceases to be the Internal Auditor due to organizational restructuring. 4. The Board, on the recommendation of the Nomination and Remuneration Committee, approved the following changes in the Senior Management Personnel of the Company: a. Mr. Raj Kumar Jain, existing Head Business Development, is to be transitioned to a new role within Adani Group. b. Mr. Lokesh Kumar Jeengar has been appointed as Head - Business Development & Strategy. 4. The Board has also approved the proposal to convene 11th Annual General Meeting ( AGM ) of the Company on Thursday, June 25, 2026 at 10.00 a.m. through Video Conferencing / Other Audio Visual Means in accordance with the applicable circulars issued by the Ministry of Corporate Affairs and the Securities and Exchange Board of India. The Notice of the AGM shall be intimated separately.
2026-03-30Board Meeting Audited Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

PowerPower Generation/Distribution

Adani Green Energy Ltd. operates in the Power sector under the Power Generation/Distribution industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Power Generation/Distribution

Founded

2015

Headquarters

Ahmedabad, Gujarat

Group

Adani

Chairman

Gautam S Adani

Managing Director

Vneet S Jaain

Company Secretary

Pragnesh S Darji

Face Value

₹10

CIN

L40106GJ2015PLC082007

Key Management

11 members across the board and senior leadership

Pragnesh S Darji

Company Secretary & Compliance Officer

Gautam S Adani

Chairman

Rajesh S Adani

Promoter & Non-Executive Director

Sagar R Adani

Executive Director

Vneet S Jaain

Managing Director

Sangkaran Ratnam

Nominee Director

Raminder Singh Gujral

Non Executive Independent Director

Dinesh Kanabar

Non Executive Independent Director

Romesh Sobti

Non Executive Independent Director

Neera Saggi

Non Executive Independent Director

Anup Shah

Non Executive Independent Director

ADANIGREEN Latest News

ADANIGREEN

₹1,288.95

-1.23%