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Power Grid Corporation Of India Ltd.

PowerPower Generation/Distribution
₹266.95BSE0.53%

07 Sep, 4:01 PM

₹266.95
₹2.48L Cr
15.62
2.38
16.49%
₹268.75
₹264.30
₹324.80
₹250.05

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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 Corporation Of India Ltd.

POWERGRID

266.9515.622,48,279.623.373,598.42-0.89%11,496.722.68%9.74
ADANIGREEN

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

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
11,978.1111,006.1811,277.7611,233.0312,275.3511,196.2211,475.9512,395.0911,665.6111,496.72
Expenses1,879.081,403.711,576.441,695.052,051.752,049.482,362.211,742.112,600.001,960.25
10,099.039,602.479,701.329,537.9810,223.609,146.749,113.7410,652.989,065.619,536.47
84.31%87.25%86.02%84.91%83.29%81.69%79.42%85.95%77.71%82.95%
327.28273.41568.17510.03315.45248.20194.29203.99305.08200.00
Interest1,928.132,038.972,441.091,917.412,302.661,934.282,148.072,190.502,174.732,022.94
3,259.023,200.393,292.063,216.193,195.513,130.473,223.123,381.463,294.633,128.47
5,300.894,665.544,431.734,909.325,011.304,285.753,878.175,238.793,918.324,587.32
18.08%18.85%19.96%22.21%18.33%20.25%21.39%25.05%-112.07%19.24%
4,166.333,723.923,793.023,861.634,142.873,630.583,566.084,184.964,546.333,598.42
4.484.004.084.154.453.903.834.504.893.87

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 Income41,621.6445,603.1145,843.1045,792.3246,732.87
Operating Income (Net)41,621.6445,603.1145,843.1045,792.3246,732.87
EXPENDITURE :
Power Generation & Distribution Cost298.71312.94327.46340.52356.09
Employee Cost2,243.892,508.532,434.442,604.402,668.90
Operating Expenses1,179.461,206.521,388.631,731.722,430.97
General and Administration Expenses838.33963.641,063.981,177.441,270.68
Selling and Distribution Expenses10.8818.7715.0953.8668.88
Miscellaneous Expenses479.111,093.11711.32821.261,958.84
5,050.386,103.515,940.926,729.208,754.36
Operating Profit (Excl OI)36,571.2639,499.6039,902.1839,063.1237,978.51
1,077.201,002.891,070.731,669.31952.12
37,648.4640,502.4940,972.9140,732.4338,930.63
Interest8,036.229,633.948,772.758,700.138,447.58
PBDT29,612.2430,868.5532,200.1632,032.3030,483.05
12,871.6613,333.3813,095.2712,904.1513,029.68
Profit Before Taxation & Exceptional Items16,740.5817,535.1719,104.8919,128.1517,453.37
Exceptional Income / Expenses2,790.59248.57-571.39276.31-2,774.39
19,609.6417,701.6218,513.9519,294.2014,546.64
Provision for Tax2,785.572,281.882,940.793,772.76-1,381.31
16,824.0715,419.7415,573.1615,521.4415,927.95
Extra items0.000.00
Consolidated Net Profit16,824.0715,419.7415,573.1615,521.4415,927.95
Profit Balance B/F3,667.034,106.524,043.482,152.662,445.11
Appropriations20,491.1019,526.2619,616.6417,674.1018,373.06
Equity Dividend %147.50%147.50%112.50%90.00%90.00%
24.1222.1116.7416.6917.13
Adjusted EPS18.0916.5816.7416.6917.13

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)
6,975.456,975.459,300.609,300.609,300.60
Total Reserves69,271.6876,050.8477,844.5183,362.2191,193.43
Reserve excluding Revaluation Reserve69,271.6876,050.8477,844.5183,362.2191,193.43
Revaluation reserve0.00
76,247.1383,026.2987,145.1192,662.811,00,494.03
Secured Loans81,919.4674,826.0564,315.5056,323.5844,405.54
Unsecured Loans32,279.9439,065.2440,751.4553,534.3776,666.26
Deferred Tax Assets / Liabilities11,356.9810,667.0910,236.9310,616.786,100.30
Other Long Term Liabilities13,308.0113,990.7212,383.9211,909.3312,408.60
Long Term Provisions517.14577.87643.66726.56799.78
Total Non-Current Liabilities1,39,381.531,39,126.971,28,331.461,33,110.621,40,380.48
Trade Payables267.10327.79371.36620.44955.81
Other Current Liabilities28,571.1026,045.5231,448.4133,118.1742,417.07
Short Term Borrowings5,300.002,622.612,693.525,709.367,000.00
Short Term Provisions13,510.3012,274.647,106.187,209.656,650.49
Total Current Liabilities47,648.5041,270.5641,619.4746,657.6257,023.37
Total Liabilities2,63,277.162,63,423.822,57,096.042,72,431.053,00,499.93
Gross Block2,62,726.272,70,107.492,75,991.032,83,822.153,01,590.96
Less: Accumulated Depreciation70,953.4384,670.5098,230.481,11,501.981,25,060.45
Net Block1,91,772.841,85,436.991,77,760.551,72,320.171,76,530.51
Capital Work in Progress12,799.9013,741.2418,081.7333,268.6943,654.29
Non Current Investments3,787.643,489.113,554.913,116.652,743.87
Long Term Investment3,787.643,489.113,554.913,116.652,743.87
Long Term Loans & Advances1,078.932,943.572,828.453,986.315,856.23
Other Non Current Assets18,829.5820,653.4221,812.8523,511.0932,181.22
Total Non-Current Assets2,28,322.592,26,295.412,24,154.252,36,519.292,61,058.59
Currents Investments15.86260.86869.12251.22
Inventories1,357.171,339.951,406.291,802.522,126.35
Sundry Debtors9,189.3314,883.9611,539.637,964.7511,672.59
Cash and Bank5,048.187,384.587,495.1210,077.248,920.41
Other Current Assets991.511,018.521,226.941,094.031,669.95
Short Term Loans and Advances18,107.5212,240.5410,404.6914,973.2211,844.67
Total Current Assets34,709.5737,128.4132,941.7935,911.7636,485.19
Net Current Assets (Including Current Investments)-12,938.93-4,142.15-8,677.68-10,745.86-20,538.18
Total Assets2,63,277.162,63,423.822,57,096.042,72,431.053,00,499.93
Contingent Liabilities9,677.087,244.074,668.047,881.127,372.81
Total Debt1,34,665.271,28,517.511,23,448.621,30,964.961,48,009.01
109.31119.0393.7099.63108.05
Adjusted Book Value81.9889.2793.7099.63108.05

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
19,497.4917,754.2518,392.9819,352.6813,959.26
Adjustment16,696.3322,753.0221,224.0919,338.3324,407.90
Changes In working Capital-6,350.922,548.641,053.16709.465,734.30
Cash Flow after changes in Working Capital29,842.9043,055.9140,670.2339,400.4744,101.46
Cash Flow from Operating Activities26,123.5240,202.8737,289.5036,221.8240,935.36
Cash Flow from Investing Activities752.79-7,138.25-13,114.39-23,531.80-35,310.24
Cash Flow from Financing Activitie-28,966.94-30,449.56-25,903.33-12,357.18-4,006.26
Net Cash Inflow / Outflow-2,090.632,615.06-1,728.22332.841,618.86
Opening Cash & Cash Equivalents4,667.742,577.115,192.173,463.953,796.79
Cash & Cash Equivalent on Amalgamation / Take over / Merger-135.03
Closing Cash & Cash Equivalent2,577.115,192.173,463.953,796.795,280.62

Ratios

Valuation

15.62
2.38
9.86
5.28
17.09
112.03

Profitability

16.49
9.74
5.56
81.27
34.08

Leverage & Liquidity

1.47
0.64
2.72

Returns

3.37
0.16

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
51.3451.3451.3451.3451.3451.3451.3451.3451.34
45.0445.1545.1345.1245.0545.0644.9845.1445.02
3.623.513.533.543.613.613.683.503.64
48.6648.6648.6648.6648.6648.6648.6648.6648.66
No. of Shareholders13,17,07713,29,74113,51,25213,83,98613,88,41713,72,72513,74,80113,35,90913,51,868

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-30Board Meeting Quarterly Results
2026-07-17Board Meeting Inter alia, consider and approve the following, amongst other items of Agenda: i. Proposal for enhancement of borrowing limit from Rs. 30,000 Crore to Rs. 35,000 Crore during the financial year 2026-27 through various sources including Domestic Bonds (Secured/ unsecured, non-convertible, non-cumulative, redeemable, taxable/tax-free under private placement). ii. Proposal for borrowing of funds of up to Rs. 35,000 Crore during the financial year 2027-28 through various sources including Domestic Bonds (Secured/ unsecured, non-convertible, non-cumulative, redeemable, taxable/tax-free under private placement). The above approval of Agenda by the Board of Directors are subject to approval of shareholders in the ensuing Annual General Meeting.
2026-06-23Board Meeting Inter alia, to consider and approve General Information Document (?GID?) for issuance of POWERGRID Debentures (?Debt Securities? / ?Bonds?) in one or more tranches or through one or more issuances, for the fiscal year 2026-27, on a Private Placement basis

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

PowerPower Generation/Distribution

Power Grid Corporation Of India 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

1989

Headquarters

New Delhi, Delhi

Group

PSU

Chairman

Vamsi Ramamohan Burra

Managing Director

Vamsi Ramamohan Burra

Company Secretary

Anjana Luthra

Face Value

₹10

CIN

L40101DL1989GOI038121

Key Management

7 members across the board and senior leadership

Anjana Luthra

Company Secretary & Compliance Officer

Yatindra Dwivedi

Whole Time Director - Personnel, Additional charge of Director (Finance)

Naveen Srivastava

Whole Time Director - Operations

Saibaba Darbamulla

Government Nominee Director

Abhay Bakre

Government Nominee Director

Vamsi Ramamohan Burra

Chairman & Managing Director, Additional charge of Director (Projects)

Amol Babulal Taori

Director - Finance

POWERGRID Latest News

News

10 of 10 articles
EQUITY4 Sept 2026 · 09:57

Power Grid Corporation moves up on emerging as successful bidder for Gujarat transmission project

The Letter of Intent has been received by Power Grid Corporation of India on September 3, 2026

COMPANY4 Sept 2026 · 09:30

Power Grid Corporation emerges as successful bidder for Gujarat transmission project

The Letter of Intent has been received by Power Grid Corporation of India on September 3, 2026

EQUITY3 Sept 2026 · 09:54

Power Grid Corporation moves up on emerging as successful bidder for Rajasthan transmission project

The Letter of Intent has been received by the company on September 02, 2026

COMPANY3 Sept 2026 · 09:30

Power Grid Corporation emerges as successful bidder for Rajasthan transmission project

The Letter of Intent has been received by the company on September 02, 2026

EQUITY7 Aug 2026 · 14:54

Power Grid Corporation of India informs about investor presentation

EQUITY6 Aug 2026 · 14:28

Power Grid declines on reporting marginal fall in Q1 consolidated net profit

The total consolidated income of the company has increased by 2.20% at Rs 11,696.72 crore for Q1FY27

COMPANY6 Aug 2026 · 12:10

Power Grid reports marginal fall in Q1 consolidated net profit

The total consolidated income of the company has increased by 2.20% at Rs 11,696.72 crore for Q1FY27

EQUITY4 Aug 2026 · 09:40

Power Grid Corporation rises on acquiring Krishnagiri REZ Transmission

Krishnagiri REZ Transmission has been acquired by POWERGRID pursuant to POWERGRID emerging as the successful bidder under Tariff Based Competitive Bidding

COMPANY4 Aug 2026 · 09:27

Power Grid Corporation acquires Krishnagiri REZ Transmission

Krishnagiri REZ Transmission has been acquired by POWERGRID pursuant to POWERGRID emerging as the successful bidder under Tariff Based Competitive Bidding

EQUITY29 Jul 2026 · 17:23

Power Grid Corporation of India informs about newspapers publication

POWERGRID

₹266.95

+0.53%