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Rain Industries Ltd.

(ઉદ્યોગ - Petrochemicals)

153.15

0.20 (0.13%)
બીએસઈ: 500339 | એનએસઈ: RAIN
વેબસાઇટ: http://www.rain-industries.com

આજે ઊંચો/નીચો

L
H
152.45156.85

૫૨ અઠવાડિયું ઉચ્ચ/નીચું

L
H
101.3171.75
માર્કેટ કેપ.
₹5,151.13 Cr.
પી/ઇ રેશિયો
12.66
પી/બી રેશિયો
5.68
વર્તમાન કિંમત
₹153.15
ખુલ્લું
₹152.45
ઉચ્ચ
₹156.85
પાછલું બંધ કરો
₹152.95
વેપાર થયેલ જથ્થો
1,08,264
૫૨ સપ્તાહનો ઉચ્ચતમ સ્તર
₹171.75
૫૨ અઠવાડિયાનો સૌથી નીચો સ્તર
₹101.3
ડિવિડન્ડ ઉપજ
0.65%
EBITDA માર્જિન
14.61%
આરઓઇ
5.46%
પુસ્તક મૂલ્ય
₹26.9
ફેસ વેલ્યુ
₹2

શેરહોલ્ડિંગ

Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025
Promoters41.3541.1941.1941.1941.18
Mutual Funds UTI2.495.214.975.194.54
FII/Banks8.068.5410.4010.8210.65
Others48.1045.0643.4442.8043.63

ત્રિમાસિક પરિણામો

(All figures In ₹ Cr.)Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Trend 2024-26
Sales30.4242.6741.3136.9924.3124.5644.7741.59
Other Income1.3339.2320.841.20.8510.840.550.6
Operating Profit1.7439.3120.61.244.4115.374.574.71
Interest4.94.624.333.844.064.013.853.42
Depreciation0.180.180.170.140.140.140.150.15
Taxation-0.024.97-0.04-0.07-0-0.05-0.060.02
Net Profit / Loss-3.3329.5416.13-2.660.2111.270.631.12

વાર્ષિક પરિણામો

(All figures In ₹ Cr.)Dec 2021Dec 2022Dec 2023Dec 2024Dec 2025Trend 2021-25
Sales53.5554.07124.15141.46130.62
Other Income50.1450.379.263.9713.38
Operating Profit47.841.0876.2763.4325.6
Interest8.098.0215.9618.8515.76
Depreciation0.620.670.590.730.57
Taxation7.924.646.664.9-0.18
Net Profit / Loss31.1627.7553.0638.959.45

રોકડ પ્રવાહ

(All figures In ₹ Cr.)Mar 2007Dec 2007Dec 2008Dec 2009Dec 2010Trend 2007-10
Cash from Operating Activity-3.1113.36-51.36245.73-91.67
Cash from Investing Activity-22.43-253.59-102.9414.57-165.56
Cash from Financing Activity25.46105.22152.3-258.25265.93
Net Cash Flow-0.08-35.01-2.012.068.71

બેલેન્સ શીટ

Dec 2021Dec 2022Dec 2023Dec 2024Dec 2025Trend 2021-25
Share Capital67.2767.2767.2767.2767.27
Reserve841.95836.06855.3860.57836.53
Borrowings------
Other Liabilities58.29171.327.84173.428.86
Total Liabilities1,190.79904.091,142.76928.531,049.9
Fixed Assets7.3777.577.126.82
CWIP------
Investments1,163.96957.21,010.231,064.011,062.52
Other Assets0.432.670.323.140.04
Total Assets1,190.79904.091,142.76928.531,049.9

નાણાકીય ગુણોત્તર

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024Dec 2025Trend 2018-25
Total Debt Mcap0.080.10.070.030.030.040.030.04
EPS Growth88.33-41.39-22.9614.15-10.9691.22-26.6-75.75
EV_EBITA49.8362.6295.05172.54143.3769.4792.16196.44
EBIT_Margin92.0289.9698.2388.174.7260.9644.3219.16
PAT_Margin57.3955.5557.3358.251.3142.7427.537.23
ROA4.272.461.972.362.344.733.420.86

પીઅર કંપનીઓ

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
5,144.41
153.15
0.13%
171.75 / 101.30
26.90
12.66
13,004.94
703.15
1.67%
881.00 / 501.50
126.05
39.42
807.31
90.93
1.34%
124.85 / 79.92
100.65
6.94
602.35
402.75
0.01%
1,070.70 / 363.10
273.45
10.32
247.73
196.80
0.25%
295.10 / 160.60
68.90
19.80
103.82
83.70
4.72%
135.05 / 73.90
76.10
68.75
79.23
114.00
20.00%
138.50 / 73.00
46.43
13.01
40.45
2.46
-0.81%
4.46 / 1.81
16.40
NA
33.95
17.32
3.61%
18.01 / 12.92
-57.14
282.92
10.86
3.61
-5.00%
0.00 / 0.00
22.78
NA

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