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GMM Pfaudler Ltd.

Capital GoodsEngineering - Industrial Equipments
₹1,329.25BSE1.50%

16 Sep, 4:01 PM

₹1,329.25
₹5.98K Cr
80.19
4.88
4.67%
₹1,353.50
₹1,303.10
₹1,384.00
₹735.35

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Price Performance

Peer Comparison

Name
BHEL

BHEL

410.0058.691,42,764.600.34376.71182.70%7,697.7240.29%9.24
INDOMIM

INDOMIM

945.8587.6646,770.480.62240.1231.64%1,218.749.39%24.48
THERMAX

THERMAX

3,526.0071.0642,014.510.5721.79-85.61%2,302.736.73%15.85
JYOTICNC

JYOTICNC

967.0568.3621,992.950.0057.14-19.99%508.4723.97%21.34
INOXINDIA

INOXINDIA

1,980.0070.6418,002.650.1058.07-4.98%370.799.18%33.54
TRIVENITURB

TRITURBINE

540.9051.1117,195.130.7951.10-20.65%442.7019.23%35.95
AZAD

AZAD

2,578.80119.8316,654.340.0035.1619.46%172.6025.90%12.04
GMM Pfaudler Ltd.

GMMPFAUDLR

1,329.2580.195,975.940.1522.10117.73%924.7616.39%12.11

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
740.73785.20805.42801.48806.59794.55902.34883.50943.55924.76
Expenses650.94696.67711.93705.61723.36693.56780.78778.54868.44831.03
89.7988.5393.4995.8783.23100.99121.56104.9675.1193.73
12.12%11.27%11.61%11.96%10.32%12.71%13.47%11.88%7.96%10.14%
10.5310.04-0.7325.83-52.399.288.79-47.639.329.81
Interest29.9625.0026.4725.1426.5542.9129.6933.7916.4122.73
39.3635.1435.9834.8938.4335.7536.4537.0442.1840.61
31.0038.4330.3161.67-34.1431.6164.21-13.5025.8440.20
18.48%43.17%49.72%35.09%18.16%67.89%38.67%34.15%40.63%45.02%
27.6323.2215.2241.48-26.9511.1541.43-7.9917.1823.90
6.155.173.399.23-6.002.489.22-1.783.825.32

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 :
2,550.293,187.943,446.483,198.693,523.94
2,540.573,177.553,446.483,198.693,523.94
EXPENDITURE :
Increase/Decrease in Stock-30.63-35.59130.9968.99-68.00
Raw Material Consumed1,044.531,318.971,249.331,188.181,463.15
Power & Fuel Cost92.82106.5798.7787.0287.16
Employee Cost713.40791.55903.59892.371,006.97
Other Manufacturing Expenses194.46251.72270.17245.89268.47
General and Administration Expenses138.83169.10201.66233.09244.47
Selling and Distribution Expenses66.6288.9175.7483.4192.58
Miscellaneous Expenses36.9357.0043.7038.6230.95
2,256.962,748.232,973.952,837.573,125.75
Operating Profit (Excl OI)283.61429.32472.53361.12398.19
6.9951.6923.3330.4149.50
290.60481.01495.86391.53447.69
Interest24.6066.5794.77103.16122.80
PBDT266.00414.44401.09288.37324.89
132.62121.79150.28144.44157.61
Profit Before Taxation & Exceptional Items133.38292.65250.81143.93167.28
Exceptional Income / Expenses-21.58-47.66-65.31
133.38271.07250.8196.27101.97
Provision for Tax58.0260.7080.1547.1050.15
75.36210.37170.6649.1751.82
Extra items0.000.00
Minority Interest9.69-46.874.813.806.00
Consolidated Net Profit85.05163.50175.4752.9757.82
Profit Balance B/F363.76472.81542.10695.01745.40
Appropriations448.81636.31717.57747.98803.22
Equity Dividend %300.00%100.00%100.00%100.00%100.00%
58.2536.3739.0411.7812.86
Adjusted EPS19.4236.3739.0411.7812.86

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)
2.928.998.998.998.99
Share Warrants & Outstandings0.493.315.726.661.01
Total Reserves523.70788.39949.651,007.141,194.50
Reserve excluding Revaluation Reserve523.70788.39949.651,007.141,194.50
527.11800.69964.361,022.791,204.50
Minority Interest141.2811.246.436.8228.49
Secured Loans424.08604.81492.10433.64544.60
Unsecured Loans25.5536.119.27
Deferred Tax Assets / Liabilities38.6474.8966.9149.3179.01
Other Long Term Liabilities124.62143.97158.08161.43220.25
Long Term Provisions485.98292.91322.59285.59397.53
Total Non-Current Liabilities1,098.871,152.691,048.95929.971,241.39
Trade Payables391.19536.73402.47375.56470.54
Other Current Liabilities526.86610.95479.53439.37570.03
Short Term Borrowings54.5598.44148.75242.93
Short Term Provisions150.86321.51221.55218.12286.70
Total Current Liabilities1,068.911,523.741,201.991,181.801,570.20
Total Liabilities2,858.193,488.363,221.813,141.384,045.31
Gross Block1,259.751,563.861,700.651,712.142,235.34
Less: Accumulated Depreciation257.99340.02449.97523.39738.25
Less: Impairment of Assets23.73
Net Block1,001.761,223.841,250.681,165.021,497.09
Capital Work in Progress12.5913.3327.3611.9319.86
Non Current Investments0.010.010.010.013.47
Long Term Investment0.010.010.010.013.47
Long Term Loans & Advances134.1917.2432.9511.2526.59
Other Non Current Assets0.4229.0921.9518.2217.37
Total Non-Current Assets1,149.361,283.511,332.951,206.431,564.78
Currents Investments0.08
Inventories669.53772.89625.36540.31636.89
Sundry Debtors356.23435.53432.83386.79465.33
Cash and Bank327.74371.61343.57467.10687.64
Other Current Assets38.2053.9545.2537.4252.49
Short Term Loans and Advances189.88570.87441.64456.86638.05
Total Current Assets1,581.662,204.851,888.651,888.482,480.40
Net Current Assets (Including Current Investments)512.75681.11686.66706.68910.20
Total Assets2,858.193,488.363,221.813,141.384,045.31
Contingent Liabilities7.046.766.036.6212.05
Total Debt504.94796.93712.02650.62835.06
360.70177.39213.27226.06267.74
Adjusted Book Value120.23177.39213.27226.06267.74

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
133.38271.07250.8196.27101.97
Adjustment179.50205.17252.35273.57308.17
Changes In working Capital-4.63-216.98-125.2784.9347.34
Cash Flow after changes in Working Capital308.25259.26377.89454.77457.48
Cash Flow from Operating Activities236.39184.75283.89378.10388.80
Cash Flow from Investing Activities-116.56-311.14-31.70-52.30-154.29
Cash Flow from Financing Activitie-55.32129.89-244.04-200.62-43.94
Net Cash Inflow / Outflow64.513.508.15125.18190.57
Opening Cash & Cash Equivalents243.47307.98311.48319.63444.81
Cash & Cash Equivalent on Amalgamation / Take over / Merger-17.40
Closing Cash & Cash Equivalent290.58311.48319.63444.81635.38

Ratios

Valuation

80.19
4.88
13.89
1.64
16.58
272.61

Profitability

4.67
12.11
1.44
11.30
1.47

Leverage & Liquidity

0.69
1.58
1.83

Returns

0.15
0.98

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
25.1825.1825.1825.1825.1825.1825.1825.1825.18
36.7230.4234.1136.1736.7636.9734.0234.7332.81
38.1144.4040.7138.6538.0537.8540.8040.0942.02
74.8274.8274.8274.8274.8274.8274.8274.8274.82
No. of Shareholders1,27,1941,20,9201,11,2601,07,1851,03,71598,59995,57496,50696,269

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-24Board Meeting Quarterly Results
2026-07-10AGM
2026-05-21Ex DividendRs.1.0000 per share(50%)Final Dividend2026-07-282026-07-28

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-09-03Pragna PatelInter-se-TransferSell13,480
2026-09-03Pragna PatelInter-se-TransferSell10,000
2026-09-03Tarak PatelInter-se-TransferBuy13,480
2026-09-03Urmi PatelInter-se-TransferBuy10,000

Sector Overview

Capital GoodsEngineering - Industrial Equipments

GMM Pfaudler Ltd. operates in the Capital Goods sector under the Engineering - Industrial Equipments 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

Engineering - Industrial Equipments

Founded

1962

Headquarters

Karamsad, Gujarat

Group

GMM Pfaudler - MNC

Chairman

Prakash Apte

Managing Director

Tarak Patel

Company Secretary

Mittal Mehta

Face Value

₹2

CIN

L29199GJ1962PLC001171

Key Management

9 members across the board and senior leadership

Mittal Mehta

Company Secretary & Compliance Officer

Prakash Apte

Chairman

Tarak Patel

Managing Director

Nakul Toshniwal

Non Executive Independent Director

Bhawana Mishra

Non Executive Independent Director

Vivek Bhatia

Non Executive Independent Director

Shilpa Divekar Nirula

Non Executive Independent Director

Ashok Patel

Promoter & Non-Executive Director

Raghav Ramdev

Non Executive Director

GMMPFAUDLR Latest News

GMMPFAUDLR

₹1,329.25

-1.5%