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Paradeep Phosphates Ltd.

ChemicalsFertilizers
₹153.75BSE5.31%

17 Sep, 4:01 PM

₹153.75
₹15.97K Cr
14.89
2.23
18.21%
₹154.45
₹146.00
₹201.95
₹99.80

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Price Performance

Peer Comparison

Name
COROM INTER

COROMANDEL

1,934.8031.1057,088.380.57381.56-23.93%8,164.7715.94%23.92
FERT CHE(PS

FACT

760.001,760.1249,177.470.00-67.90-948.75%1,567.8465.14%11.30
CHAMBAL FERT

CHAMBLFERT

414.308.5916,599.022.66523.60-4.61%5,027.02-11.77%25.50
Paradeep Phosphates Ltd.

PARADEEP

153.7514.8915,967.250.98392.5423.93%6,124.2535.99%15.09
GUJ.ST.FERT

GSFC

152.358.766,070.813.28158.5414.39%3,583.1564.03%7.17
RASHTR.CHEM.

RCF

109.8513.576,060.291.2273.5335.09%3,585.716.38%10.81
NATIONAL FER

NFL

66.788.993,276.081.56113.38387.47%4,500.3927.34%9.16
SOUTH PET(PS

SPIC

67.436.711,373.152.9660.18-9.79%848.818.73%16.82

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
2,242.742,377.434,619.164,989.554,193.964,503.506,872.205,748.674,701.976,124.25
Expenses2,094.652,230.364,112.084,551.453,810.533,922.806,215.565,276.184,259.535,404.02
148.09147.07507.08438.10383.43580.70656.64472.49442.44720.23
6.60%6.19%10.98%8.78%9.14%12.89%9.56%8.22%9.41%11.76%
30.0319.2120.2142.3059.8434.0541.71-10.3241.7243.37
Interest95.2790.89104.90103.29118.89104.35140.25127.01156.17131.70
57.8161.2386.0587.9885.8886.0289.58101.79125.81105.68
26.2413.21336.51289.19238.50423.87468.53233.38202.18526.16
18.06%59.27%24.12%27.61%27.80%25.27%27.02%21.99%23.04%25.40%
21.505.38255.33209.34172.19316.75341.94182.06155.60392.54
0.260.073.132.572.113.884.191.751.503.78

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 :
7,990.0113,452.2911,792.9017,191.8022,038.96
7,858.7213,340.7211,575.1216,958.6521,826.34
EXPENDITURE :
Increase/Decrease in Stock-393.24-8.78334.32-160.11-1,071.85
Raw Material Consumed6,674.5010,621.968,664.1212,073.9217,204.43
Power & Fuel Cost77.13640.35537.401,391.141,195.93
Employee Cost138.50213.20229.79320.58336.68
Other Manufacturing Expenses204.14301.76338.13476.33561.74
General and Administration Expenses30.6489.7666.43117.65112.45
Selling and Distribution Expenses322.34501.23650.02987.231,109.63
Miscellaneous Expenses133.60180.25107.35203.53241.88
7,187.6112,539.7310,927.5615,410.2519,690.90
Operating Profit (Excl OI)671.11800.99647.561,548.402,135.44
39.2791.0769.30150.66163.41
710.38892.06716.861,699.062,298.84
Interest85.54291.24366.03443.18527.78
PBDT624.84600.82350.841,255.881,771.06
90.46175.15210.67344.29403.20
Profit Before Taxation & Exceptional Items534.38425.66140.17911.591,367.87
Exceptional Income / Expenses-39.42
534.99426.17140.83910.881,327.96
Provision for Tax136.54121.9840.93248.74331.60
398.45304.1999.91662.14996.36
Extra items0.000.00
Consolidated Net Profit398.45304.1999.91662.14996.36
Profit Balance B/F1,251.821,649.811,954.692,011.972,610.37
Appropriations1,650.271,954.002,054.602,674.113,606.72
Equity Dividend %5.00%5.00%10.00%15.00%
6.923.731.238.129.60
Adjusted EPS6.923.731.238.129.60

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)
575.45814.50814.78815.211,038.17
Share Warrants & Outstandings1.983.331,711.891.22
Total Reserves1,649.552,688.232,746.293,347.925,743.32
Reserve excluding Revaluation Reserve1,649.552,688.232,746.293,347.925,743.32
Revaluation reserve0.00
2,225.003,504.703,564.405,875.026,782.71
Secured Loans528.17611.89676.51853.13717.93
Unsecured Loans97.88
Deferred Tax Assets / Liabilities92.18107.78150.85319.71343.26
Other Long Term Liabilities2.8717.8417.2234.8730.78
Long Term Provisions26.5523.7926.2139.7457.83
Total Non-Current Liabilities649.77761.30870.791,247.441,247.67
Trade Payables2,273.401,912.481,488.122,302.193,084.47
Other Current Liabilities394.37715.28729.16919.421,063.32
Short Term Borrowings2,258.433,660.292,935.583,809.125,623.77
Short Term Provisions127.22102.9673.08115.26134.03
Total Current Liabilities5,053.426,391.005,225.937,145.999,905.58
Total Liabilities7,928.1810,657.009,661.1314,268.4517,935.96
Gross Block1,709.903,489.954,248.616,343.387,545.45
Less: Accumulated Depreciation449.30618.20817.611,149.631,519.20
Net Block1,260.602,871.753,431.005,193.756,026.24
Capital Work in Progress336.29696.86372.19584.34423.71
Non Current Investments2.893.153.253.347.00
Long Term Investment2.893.153.253.347.00
Long Term Loans & Advances1,192.3067.8195.72187.8186.84
Other Non Current Assets2.832.252.074.5428.37
Total Non-Current Assets2,794.923,641.833,904.235,973.786,572.17
Currents Investments550.36269.1017.70
Inventories2,293.222,237.681,830.832,556.334,626.70
Sundry Debtors902.483,689.742,720.483,066.984,790.49
Cash and Bank597.71109.85118.021,036.29391.52
Other Current Assets369.12388.62582.20694.29747.77
Short Term Loans and Advances420.36589.28505.13671.69789.61
Total Current Assets5,133.267,015.175,756.678,294.6711,363.79
Net Current Assets (Including Current Investments)79.84624.17530.731,148.681,458.21
Total Assets7,928.1810,657.009,661.1314,268.4517,935.96
Contingent Liabilities273.91322.23346.59253.68160.20
Total Debt2,954.304,631.103,994.385,063.436,872.32
38.6743.0043.7151.0765.32
Adjusted Book Value38.6743.0043.7151.0765.32

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
534.99426.17140.83910.881,327.96
Adjustment197.52400.61519.84698.05892.76
Changes In working Capital-690.87-3,066.10834.44239.52-2,943.04
Cash Flow after changes in Working Capital41.64-2,239.321,495.121,848.45-722.32
Cash Flow from Operating Activities-43.88-2,376.671,436.761,647.87-1,011.87
Cash Flow from Investing Activities-1,098.78-418.70-366.86-694.38-557.49
Cash Flow from Financing Activitie1,588.972,300.57-1,022.22-389.14998.30
Net Cash Inflow / Outflow446.32-494.8147.68564.36-571.06
Opening Cash & Cash Equivalents91.52537.8443.0390.72934.50
Cash & Cash Equivalent on Amalgamation / Take over / Merger279.43
Closing Cash & Cash Equivalent537.8443.0390.72934.50363.45

Ratios

Valuation

14.89
2.23
9.25
0.68
10.32
69.08

Profitability

18.21
15.09
6.19
9.69
4.52

Leverage & Liquidity

1.01
1.15
3.52

Returns

0.98
1.37

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
56.0856.0856.0556.0556.0457.2057.7057.8057.86
28.7329.1430.9431.6232.1429.5824.7823.9523.28
15.1814.7813.0012.3311.8113.2217.5118.2518.86
43.9243.9243.9543.9543.9642.8042.3042.2042.14
No. of Shareholders2,27,2532,33,3012,21,7852,31,6392,44,8702,94,3423,42,1143,25,3013,29,116

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-17AGM
2026-07-22Board Meeting Employees Stock Option Plan & Quarterly Results
2026-05-11Ex DividendRs.1.5000 per share(15%)Final Dividend2026-09-042026-09-04

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-06-23ZUARI MAROC PHOSPHATES PVT LTDMarketBuy80,273
2026-06-23ZUARI MAROC PHOSPHATES PVT LTDMarketBuy65,000
2026-06-03ZUARI MAROC PHOSPHATES PVT LTDMarketBuy80,000
2026-05-27ZUARI MAROC PHOSPHATES PVT LTDMarketBuy80,000
2026-05-25ZUARI MAROC PHOSPHATES PVT LTDMarketBuy80,000
2026-05-25ZUARI MAROC PHOSPHATES PVT LTDMarketBuy80,000

Sector Overview

ChemicalsFertilizers

Paradeep Phosphates Ltd. operates in the Chemicals sector under the Fertilizers 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

Fertilizers

Founded

1981

Headquarters

Bhubaneswar, Orissa

Group

Private

Chairman

Saroj Kumar Poddar

Managing Director

N Suresh Krishnan

Company Secretary

Sachin Patil

Face Value

₹10

CIN

L20122OR1981PLC001020

Key Management

13 members across the board and senior leadership

Sachin Patil

Company Secretary & Compliance Officer

Saroj Kumar Poddar

Chairman

Akshay Poddar

Vice Chairman

N Suresh Krishnan

Managing Director & Chief Executive Officer

Dipankar Chatterji

Non Executive Independent Director

Satyananda Mishra

Non Executive Independent Director

Subhrakant Panda

Non Executive Independent Director

Rita Menon

Non Executive Independent Director

Ruchira Kamboj

Non Executive Independent Director

Marco Wadia

Non Executive Independent Director

Soual Mohamed

Non Executive Director

Karim Senhadji

Non Executive Director

Rajeev Nambiar

Joint Managing Director & COO

PARADEEP Latest News

News

9 of 9 articles
EQUITY21 Aug 2026 · 15:02

Paradeep Phosphates inches up on launching customized fertilizer 'Jai Kisaan Navratna Cropfit'

The precision-blended formulation is designed to provide a more comprehensive nutrient package through a single application

COMPANY21 Aug 2026 · 14:51

Paradeep Phosphates launches customized fertilizer 'Jai Kisaan Navratna Cropfit'

The precision-blended formulation is designed to provide a more comprehensive nutrient package through a single application

COMPANY12 Aug 2026 · 14:49

Paradeep Phosphates incorporates wholly owned subsidiary

The company has incorporated WOS company under the name ‘Fertilizer Innovation Foundation-India’

COMPANY6 Aug 2026 · 15:30

Paradeep Phosphates gets nod to incorporates wholly-owned subsidiary

The proposed entity will support sustainable agricultural practices, improve fertilizer use efficiency and strengthen innovation in the sector

EQUITY30 Jul 2026 · 13:20

Paradeep Phosphates informs about press release

COMPANY29 Jul 2026 · 11:20

Paradeep Phosphates’ consolidated net profit rises 24% in Q1

The total consolidated income of the company has increased by 35.44% at Rs 6,145.82 crore for Q1FY27

EQUITY29 Jul 2026 · 11:07

Paradeep Phosphates zooms on getting nod to set up Aluminium Fluoride manufacturing plant

The Board of Directors of the Company, at its meeting held on July 28, 2026, has approved the same

COMPANY29 Jul 2026 · 10:59

Paradeep Phosphates gets nod to set up Aluminium Fluoride manufacturing plant

The Board of Directors of the Company, at its meeting held on July 28, 2026, has approved the same

EQUITY11 May 2026 · 18:31

Paradeep Phosphates reports Profit after tax of Rs 1556.00 Mln, in the March 2026 quarter

PARADEEP

₹153.75

+5.31%