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Paras Petrofils Ltd.

(ઉદ્યોગ - Textile - Manmade Fibres)

2.53

0.04 (1.61%)
બીએસઈ: 521246 | એનએસઈ: PARASPETRO
વેબસાઇટ: http://www.paraspetrofils.in

આજે ઊંચો/નીચો

L
H
2.532.53

૫૨ અઠવાડિયું ઉચ્ચ/નીચું

L
H
1.622.88
માર્કેટ કેપ.
₹ 84.56 Cr.
પી/ઇ રેશિયો
704.67
પી/બી રેશિયો
4.72
વર્તમાન કિંમત
₹ 2.53
ખુલ્લું
₹ 2.53
ઉચ્ચ
₹ 2.53
પાછલું બંધ કરો
₹ 2.49
વેપાર થયેલ જથ્થો
97,191
૫૨ સપ્તાહનો ઉચ્ચતમ સ્તર
₹ 2.88
૫૨ અઠવાડિયાનો સૌથી નીચો સ્તર
₹ 1.62
ડિવિડન્ડ ઉપજ
0%
EBITDA માર્જિન
8.84%
આરઓઇ
0.59%
પુસ્તક મૂલ્ય
₹ 0.54
ફેસ વેલ્યુ
₹ 1

શેરહોલ્ડિંગ

Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters40.1940.1940.3440.3440.34
Mutual Funds UTI0.000.000.000.000.00
FII/Banks0.000.000.000.000.00
Others59.8159.8159.6659.6659.66

ત્રિમાસિક પરિણામો

(All figures In ₹ Cr.)Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Trend 2024-25
Sales---------
Other Income0.330.340.350.360.350.370.280.47
Operating Profit-1.210.220.310.35-0.80.20.270.46
Interest---------
Depreciation---------
Taxation----0.01---
Net Profit / Loss-1.210.220.310.35-0.810.20.270.46

વાર્ષિક પરિણામો

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Sales------
Other Income1.181.121.211.31.4
Operating Profit0.880.860.34-0.360.09
Interest---0.01-
Depreciation------
Taxation----0.01
Net Profit / Loss0.880.860.34-0.370.08

રોકડ પ્રવાહ

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Cash from Operating Activity0.75-0.720.05-0.180.42
Cash from Investing Activity--0.020.1-0.46
Cash from Financing Activity------
Net Cash Flow0.75-0.720.07-0.08-0.04

બેલેન્સ શીટ

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Share Capital36.7836.7836.7836.7836.78
Reserve-13.76-12.9-12.56-16.52-16.45
Borrowings------
Other Liabilities0.010.010.010.010.02
Total Liabilities23.0323.8824.2220.2620.34
Fixed Assets5.825.825.824.583.48
CWIP------
Investments0.030.030.010.010.56
Other Assets------
Total Assets23.0323.8824.2220.2620.34

નાણાકીય ગુણોત્તર

Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2018-25
Total Debt Mcap---------
EPS Growth36.01154.6913.0437.28-2.44-60.33-210.04120.92
EV_EBITA-3.145.765.212.943.8593.59-263.871,015.84
EBIT_Margin-774.14------
PAT_Margin-770.78------
ROA-5.142.863.294.574.291.65-1.820.38

પીઅર કંપનીઓ

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
84.56
2.53
1.61%
2.88 / 1.62
0.54
693.50
2,089.68
779.85
7.40%
1,645.00 / 669.95
482.95
52.98
1,089.37
19.59
-1.95%
31.35 / 19.76
2.56
33.26
808.93
30.98
-3.13%
73.83 / 31.28
19.89
6.14
721.37
232.65
-0.17%
288.75 / 182.45
48.09
24.59
613.00
73.41
-6.12%
123.15 / 74.51
67.05
10.93
368.12
41.30
-7.26%
62.04 / 41.02
45.75
7.18
349.68
102.15
-2.21%
160.75 / 100.20
167.60
15.88
190.62
434.50
1.26%
434.00 / 190.10
43.07
1346.21
66.07
63.08
0.00%
176.90 / 34.57
16.76
10.66

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