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Alembic Ltd.

RealtyConstruction - Real Estate
₹98.90BSE2.50%

16 Sep, 4:01 PM

₹98.90
₹2.54K Cr
7.92
1.03
5.27%
₹101.44
₹97.61
₹117.91
₹70.64

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Price Performance

Peer Comparison

Name
DLF LIMITED

DLF

623.0034.691,54,211.921.28793.904.09%1,280.34-52.87%6.81
LODHA

LODHA

1,085.8026.301,08,507.800.391,373.10103.39%4,996.7043.10%16.89
PHOENIX MILL

PHOENIXLTD

1,858.9551.9566,490.530.13394.5122.95%1,074.9412.80%15.41
OBEROI REAL

OBEROIRLTY

1,710.2023.6562,183.250.47543.5129.02%1,300.8931.73%17.69
PRESTIGE

PRESTIGE

1,427.8554.0061,501.820.14271.40-12.87%2,675.1015.94%11.51
GODREJ PROP

GODREJPROP

1,667.4531.3950,228.010.60349.38-41.61%506.1716.48%8.37
ANANTRAJ

ANANTRAJ

583.8036.3121,009.620.17149.1918.50%631.406.58%12.23
Alembic Ltd.

ALEMBICLTD

98.907.922,538.292.4364.895.27%48.74-2.03%6.28

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsSep 2021Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
19.7749.0450.7852.9157.9260.2749.7555.8674.3460.0448.74
Expenses16.7224.8930.3833.3431.5232.9530.1832.6246.9039.8333.29
3.0524.1520.4019.5726.4027.3219.5723.2427.4420.2115.45
15.43%49.25%40.17%36.99%45.58%45.33%39.34%41.60%36.91%33.66%31.70%
81.152.041.9665.614.372.963.5964.922.312.145.97
Interest0.120.480.490.670.690.620.590.560.550.570.60
1.151.482.502.682.692.752.792.823.443.343.48
129.5175.0957.77125.5466.6971.6263.62137.2163.4275.9666.53
7.22%3.92%3.38%3.60%1.95%4.43%3.11%6.36%5.19%11.62%2.47%
120.1672.1555.82121.0265.3968.4561.64128.4960.1367.1364.89
4.682.812.174.712.552.672.405.002.342.612.53

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 Income78.22127.24157.49221.89239.99
Operating Income (Net)78.22127.24157.49221.89239.99
EXPENDITURE :
Increase/Decrease in Stock-34.27-0.37-6.01-6.1248.64
Cost of Construction and Development56.8941.4954.9675.2927.80
Power & Fuel Cost0.152.021.182.342.74
Employee Cost21.4724.0423.0327.3137.44
Operating Expenses8.307.0210.9211.2510.84
General and Administration Expenses9.128.9011.8512.2411.80
Selling and Distribution Expenses0.691.902.191.844.41
Miscellaneous Expenses1.931.902.504.036.16
64.2986.91100.62128.18149.84
Operating Profit (Excl OI)13.9340.3356.8693.7190.15
89.1864.2654.7774.8973.28
103.11104.60111.63168.60163.43
Interest0.390.471.112.472.28
PBDT102.72104.13110.53166.13161.15
4.866.727.8410.6312.39
Profit Before Taxation & Exceptional Items97.8697.41102.69155.50148.76
Exceptional Income / Expenses-10.61
97.8686.80102.69155.50148.76
Provision for Tax11.666.189.8210.9322.83
86.1980.6292.87144.57125.93
Extra items0.000.00
Share of Associate135.86110.03175.75166.10191.45
Consolidated Net Profit222.06190.65268.62310.68317.38
Profit Balance B/F1,444.181,517.091,316.411,480.531,669.31
Appropriations1,666.241,707.731,585.021,791.201,986.69
Equity Dividend %90.00%110.00%120.00%120.00%120.00%
8.657.4210.4612.1012.36
Adjusted EPS8.657.4210.4612.1012.36

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)
51.3651.3651.3651.3651.36
Total Reserves2,445.232,026.682,134.212,287.232,393.73
Reserve excluding Revaluation Reserve2,445.232,026.682,134.212,287.232,393.73
Revaluation reserve0.000.000.00
2,496.582,078.032,185.562,338.592,445.09
Secured Loans7.3910.676.61
Deferred Tax Assets / Liabilities60.4834.8432.1928.3719.29
Other Long Term Liabilities6.036.7011.4012.4713.50
Long Term Provisions1.101.211.912.443.72
Total Non-Current Liabilities67.6042.7452.8953.9443.12
Trade Payables19.2717.3831.0228.2623.84
Other Current Liabilities35.5445.0533.1055.3945.81
Short Term Provisions12.9627.1331.9943.9451.03
Total Current Liabilities67.7689.5696.11127.59120.68
Total Liabilities2,631.952,210.332,334.572,520.122,608.88
Gross Block151.21151.21151.54156.66193.41
Less: Accumulated Depreciation17.6619.3320.9521.2823.40
Net Block133.55131.88130.59135.38170.00
Capital Work in Progress0.190.131.101.50
Non Current Investments2,182.011,708.161,774.651,844.951,877.52
Long Term Investment2,182.011,708.161,774.651,844.951,877.52
Long Term Loans & Advances6.541.2236.2236.2236.56
Other Non Current Assets2.671.6410.648.024.97
Total Non-Current Assets2,488.632,032.452,191.382,298.142,392.27
Currents Investments25.8445.4011.3455.1096.62
Inventories86.8788.6192.6099.3952.24
Sundry Debtors15.2223.4519.7629.9731.90
Cash and Bank1.851.902.474.373.29
Other Current Assets3.898.953.926.865.31
Short Term Loans and Advances9.659.5713.1026.3027.26
Total Current Assets143.32177.89143.19221.99216.62
Net Current Assets (Including Current Investments)75.5688.3247.0894.4095.94
Total Assets2,631.952,210.332,334.572,520.122,608.88
Contingent Liabilities40.3548.3034.2232.0059.77
Total Debt0.000.009.1514.4510.64
97.2380.9385.1191.0795.22
Adjusted Book Value97.2380.9385.1191.0795.22

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
97.8686.80102.69155.50148.76
Adjustment-78.66-52.87-42.10-52.98-49.54
Changes In working Capital-27.9011.44-38.47-0.6040.22
Cash Flow after changes in Working Capital-8.7045.3722.12101.93139.44
Cash Flow from Operating Activities-17.7538.8522.6986.37120.07
Cash Flow from Investing Activities18.857.3025.84-26.58-53.86
Cash Flow from Financing Activitie-5.82-46.39-48.19-58.34-67.50
Net Cash Inflow / Outflow-4.72-0.240.331.45-1.30
Opening Cash & Cash Equivalents5.891.170.931.262.71
Closing Cash & Cash Equivalent1.170.931.262.711.41

Ratios

Valuation

7.92
1.03
15.74
10.62
12.49
95.83

Profitability

5.27
6.28
4.91
37.56
52.47

Leverage & Liquidity

0.00
1.80
66.29

Returns

2.43
0.09

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
70.8870.8870.8870.8870.8870.8870.8870.8870.88
1.462.051.831.701.541.421.321.291.29
27.6627.0827.2927.4327.5827.7027.8027.8327.83
29.1229.1229.1229.1229.1229.1229.1229.1229.12
No. of Shareholders98,4781,02,2491,07,4231,06,7321,07,5101,06,4701,04,1031,02,0081,01,238

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-31Board Meeting Quarterly Results
2026-07-10AGM
2026-05-19Ex DividendRs.2.4000 per share(120%)Final Dividend2026-08-042026-08-04

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-09-03Nirayu Pvt LtdMarketBuy9,495
2026-09-01Nirayu Pvt LtdMarketBuy216,969
2026-08-26Nirayu Pvt LtdMarketBuy129,136
2026-08-19Nirayu Pvt LtdMarketBuy115,719
2026-08-17Nirayu Pvt LtdMarketBuy454,376

Sector Overview

RealtyConstruction - Real Estate

Alembic Ltd. operates in the Realty sector under the Construction - Real Estate 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

Construction - Real Estate

Founded

1907

Headquarters

Vadodara, Gujarat

Group

Alembic

Chairman

Chirayu Amin

Managing Director

Udit Amin

Company Secretary

Keval Thakkar

Face Value

₹2

CIN

L26100GJ1907PLC000033

Key Management

9 members across the board and senior leadership

Chirayu Amin

Chairman

Udit Amin

Managing Director

Rati Desai

Non Executive Independent Director

Mayurdhvaj Jadeja

Non Executive Independent Director

Sanjeev Shah

Non Executive Independent Director

Girish Hirode

Non Executive Independent Director

Keval Thakkar

Company Secretary & Compliance Officer

Malika C Amin

Promoter & Non-Executive Director

Jain Parkash

Non Executive Director

ALEMBICLTD Latest News

ALEMBICLTD

₹98.90

-2.5%