Mangalore Chemicals & Fertilizers Limited - Technical chart

consolidated in Rs/Cr.

Industry

Industry name

Fertilizers
Variance

Full Year Net Profit Variance

-6
Equity

Latest Equity

118.52
Face Value

Latest Face Value

10
Reserves

Total Reserve

946.13
Dividend

Full Year Dividend %

15
Sales Turnover

Full Year Net Sales

3331.9
Net Profit

Full Year Net Profit

149.41
Full Year CPS

Full Year Cash Per Share

19
Earning Per Share

Full Year Earning Per Share

12.6
Quarter CPS

Latest quarter Cash Per Share

0
Latest Quarter Date

Latest Quarter Yrc

Jun 1, 2025
Latest Quarter Sales

Latest Quarter Net Sales

862.16
Previous EPS

Previous earnings per share

0
Book Value

Book value

89.8
Networth

Full Year Return on Networth

14.34
Price/Book Value

Price to Book value

3.429844
Yearly PE ratio

Full Year Price to Earning per share

24.4
Yearly PC ratio

Full Year Price to Cash Per Share

16.2
Bse value

BSE Value in lakhs

124.67
Nse value

NSE Value in lakhs

1435.4
High

52 week high

373
Low

52 week low

125
Price

NSE Current market price

309
CPM

Current market price

308
Market cap

BSE / NSE Market Cap

3655.16
Net profit

Latest Quarter Net Profit

61.63
Net profit variance

Latest Quarter Net Profit variance

40
Result year

Trailing latest month

Jun 1, 2025
TTM Sales

Trailing Twelve 12 month Net Sales

3017.44
TTM OP

Trailing Twelve 12 month Operating Profit

299.73
TTM OPM

Trailing Twelve 12 month Operating Profit Margin

9.93
TTM GP

Trailing Twelve 12 month Gross Profit

296.33
TTM GPM

Trailing Twelve 12 month Gross Profit Margin

8.77
TTM NP

Trailing Twelve 12 month Net Profit

108.11
TTM NPV

Trailing Twelve 12 month Net Profit Variane

8.03
TTM EPS

Trailing Twelve 12 month EPS

13.62
TTM PE

Trailing Twelve 12 month PE

22.64
TTM CPS

Trailing Twelve 12 month CPS

0
Month CPS

Month Cash Per Share

0
TTM Depreciation

Trailing Twelve 12 month Depreciation

75.18
Equity

Latest Equity

118.52
LTP

Latest Price (BSE/NSE)

308
Gross block

Latest Gross Block

1458.68
Loans

Total loans

18.63
Advances

Latest Advances for Banks

0
Net profit asset

Latest Assets

0
Year OPM

Full Year Operating Profit Margin

9.9
Year GPM

Full Year Gross Profit Margin

8.7
Quarter OPM

Latest quater Operation Profit Margin

12.9

Quarterly Results (consolidated, figures in Rs Cr.)

Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024 Dec 2024 Mar 2025 Jun 2025
+ Sales 1,410 641 786 814 776 968 774 862
YOY Sales Growth % 398% -45% -32% -15% -45% 51% -2% 6%
Gross Sales 1,410 641 786 814 776 968 774 862
+ Expenses 1,269 559 750 708 701 865 736 751
Material Cost % 3% 61% 53% 68% 36% 60% 69% 48%
Raw Material Cost 500 363 447 473 361 536 489 457
Change in Inventory -463 30 -31 76 -80 41 42 -46
Manufacturing Cost % 19% 32% 32% 31% 29% 32% 33% 26%
Employee Cost % 1% 3% 2% 2% 2% 2% 2% 2%
Other Cost % 67% -9% 8% -14% 22% -3% -9% 11%
Raw Materials % 35% 57% 57% 58% 47% 55% 63% 53%
Purchase of Finished Goods % 1% 1% 0% 5% 2% 5% 2% 1%
Stock Adjustments % 33% -5% 4% -9% 10% -4% -5% 5%
Other Manufacturing Expenses % 19% 32% 32% 31% 29% 32% 33% 26%
Operating Profit 141 82 36 106 76 103 38 111
OPM % 10% 13% 5% 13% 10% 11% 5% 13%
+ Other Income 10 11 13 6 5 7 18 7
Miscellaneous Income 10 11 13 6 5 7 18 7
Interest 28 23 23 25 20 16 15 17
Depreciation 17 18 19 19 19 19 19 18
Profit before tax 106 51 7 68 41 75 22 83
+ Tax % 36% 35% 33% 35% 36% 23% 26% 26%
Current Tax 19 9 2 16 15 20 6 20
Deferred Tax 20 9 0 8 0 -2 0 1
Net Profit 68 33 5 44 26 57 16 62
EPS in Rs

Profit & Loss (consolidated, figures in Rs Cr.)

Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
+ Sales 2,982 2,494 2,693 3,074 2,711 2,144 2,896 3,642 3,795 3,332
Sales Growth % -16% 8% 14% -12% -21% 35% 26% 4% -12%
Gross Sales 2,979 2,471 2,685 3,074 2,711 2,144 2,896 3,642 3,795 3,332
Excise Duty 13 15 4 0 0 0 0 0 0 0
+ Expenses 3,090 2,320 2,537 2,880 2,507 1,938 2,685 3,332 3,420 3,010
Material Cost % 74% 27% 23% 72% 68% 64% 62% 65% 62% 57%
Raw Material Cost 2,115 677 724 2,315 1,626 1,357 1,934 2,254 2,325 1,975
Change in Inventory 105 -7 -114 -99 221 13 -131 118 35 -80
Manufacturing Cost % 16% 61% 65% 17% 18% 20% 26% 23% 24% 29%
Employee Cost % 2% 3% 3% 2% 3% 3% 2% 2% 2% 2%
Other Cost % 11% 2% 4% 2% 4% 3% 2% 2% 2% 2%
Raw Materials % 71% 27% 27% 75% 60% 63% 67% 62% 61% 59%
Purchase of Finished Goods % 31% 27% 27% 24% 8% 12% 2% 7% 12% 3%
Stock Adjustments % -4% 0% 4% 3% -8% -1% 5% -3% -1% 2%
Power & Fuel % 7% 7% 8% 9% 11% 12% 20% 18% 18% 23%
Other Manufacturing Expenses % 9% 54% 57% 8% 7% 8% 6% 4% 6% 6%
Selling & Administration % 1% 1% 1% 1% 1% 1% 1% 0% 0% 1%
Miscellaneous Expenses % 10% 1% 3% 2% 3% 2% 2% 1% 2% 2%
Freight Charges % 0% 4% 0% 0% 0% 0% 0% 0% 0% 0%
Operating Profit -108 174 156 194 204 206 210 309 376 322
OPM % -4% 7% 6% 6% 8% 10% 7% 8% 10% 10%
+ Other Income 6 8 44 12 23 27 24 31 41 37
Miscellaneous Income 16 10 12 12 23 27 24 31 41 37
Exceptional Income 5 0 0 0 0 0 0 0 0 0
Interest 115 116 84 111 111 77 49 104 105 76
Depreciation 32 35 37 39 45 50 51 60 72 76
Profit before tax -249 30 75 50 70 106 135 176 241 206
+ Tax % 3% 36% 19% 34% 8% 36% 35% 24% 36% 30%
Current Tax 0 0 0 0 15 20 24 31 43 57
Deferred Tax -8 11 14 17 -9 19 23 11 43 6
+ Net Profit -240 19 61 33 65 67 88 135 155 144
Profit Growth % -108% 212% -46% 96% 4% 31% 53% 15% -7%
Extraordinary Income / Expense -217 0 0 0 0 0 0 0 0 0
Exceptional Item -17 0 0 0 0 0 0 0 0 0
EPS in Rs

Balance Sheet (consolidated, figures in Rs Cr.)

Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Equity Capital 119 119 119 119 119 119 119 119 119 119
Reserves 286 305 359 377 427 489 565 685 821 946
+ Borrowings 1,385 1,203 1,367 1,713 1,506 884 1,363 1,377 1,039 741
Secured Borrowings 1,298 1,120 1,293 1,685 1,446 845 1,312 1,358 1,010 723
Unsecured Borrowings 87 83 73 28 61 39 51 19 28 19
Deferred Credit 0 0 0 0 0 0 0 1 2 2
+ Other Liabilities 664 610 664 710 751 506 675 479 452 527
Current Liabilities 788 725 776 809 837 569 706 537 469 535
Provisions 3 9 9 10 12 11 19 16 18 18
Other liability items 31 31 19 22 17 13 12 12 13 13
Total Liabilities 2,453 2,237 2,508 2,918 2,803 1,997 2,721 2,659 2,430 2,333
+ Fixed Assets 643 625 611 613 608 599 573 1,077 1,082 1,021
Gross Block 1,046 692 712 771 788 817 837 1,384 1,450 1,459
Accumulated Depreciation 403 67 101 157 181 218 265 307 368 438
CWIP 13 13 33 35 46 78 317 14 11 31
Investments 0 0 0 0 0 0 0 0 0 0
+ Other Assets 1,797 1,599 1,864 2,270 2,149 1,320 1,831 1,568 1,337 1,280
Inventories 233 260 397 539 246 181 430 241 169 273
Trade receivables 486 1,245 1,185 1,564 1,446 509 665 757 604 561
Cash Equivalents 11 65 121 50 231 402 557 366 328 133
Loans n Advances 1,212 164 284 211 272 215 201 259 233 259
Other asset items -145 -136 -122 -93 -46 12 -22 -56 2 54
Total Assets 2,453 2,237 2,508 2,918 2,803 1,997 2,721 2,659 2,430 2,333

Cash Flow (consolidated, figures in Rs Cr.)

Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
+ Cash from Operating Activity -136 337 33 -262 629 962 -87 192 496 271
Profit Before Tax & Extraordinary Items -248 30 75 50 70 106 135 176 241 206
Depreciation 32 35 37 39 45 50 51 60 72 76
Interest (Net) 112 109 79 101 90 56 30 79 72 54
Profit / Loss on Sale of Assets 0 0 5 3 3 2 5 5 6 8
Provisions & Write-offs (Net) 220 0 5 9 13 28 -3 -4 7 -2
Profit / Loss in Forex 0 -31 16 -22 45 -9 8 -1 0 0
Receivables -380 283 37 -380 109 908 -156 -92 153 43
Inventories 96 -27 -137 -142 293 65 -248 189 73 -105
Trade Payables 45 -89 90 -6 52 -247 76 -161 -93 71
Direct Taxes Paid -2 -4 -18 -15 -13 -17 -18 -35 -40 -58
+ Cash from Investing Activity -53 -13 -40 -59 -65 -121 -187 -243 -82 -98
Purchase of Fixed Assets -54 -20 -39 -65 -65 -99 -170 -305 -98 -89
Sale of Fixed Assets 0 0 0 0 0 0 0 2 2 0
Interest Received 0 7 3 6 10 11 8 21 26 14
Others 0 0 -3 0 -10 -33 -26 39 -13 -23
+ Cash from Financing Activity 180 -270 60 250 -393 -702 404 -101 -464 -392
Proceeds from Other Long-Term Borrowings 0 33 127 120 5 5 159 233 2 11
Proceeds from Bank Borrowings 11 0 0 0 0 0 0 0 0 0
Proceeds from Short-Term Borrowings 0 0 64 277 0 0 388 0 0 0
Repayment of Long-Term Borrowings 0 -77 -42 -32 -53 -75 -77 -70 -92 -61
Repayment of Short-Term Borrowings 0 -112 0 0 -213 -544 0 -147 -249 -248
Repayment of Financial Liabilities 0 0 0 0 0 0 -3 -2 -2 -2
Dividend Paid -9 0 -6 -12 -12 -6 -12 -14 -18 -18
Others 291 0 -1 -2 -2 0 0 0 0 0
Net Cash Flow -10 55 54 -71 171 139 130 -152 -50 -219