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EPL Ltd.

(Industry - Packaging)

216.65-1.10 (-0.51%)

BSE: 500135 | NSE: EPL
Website: http://www.eplglobal.com

Today High/Low

L
H
214.55218.6

52 Week High/Low

L
H
181.6247.65
Market Cap
₹ 6,938.17 Cr.
P/E Ratio
17.24
Current Price
₹ 216.65
Open
₹ 214.55
High
₹ 218.6
Prev Close
₹ 217.75
Quantity Traded
10,255
52 High
₹ 247.65
52 Low
₹ 181.6
Dividend Yield
2.31%
EBITDA Margin
21.29%
ROE
17.31%
Book Value
₹ 37.84
Face Value
₹ 2

Shareholding

Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters26.3826.4026.4251.3151.45
Mutual Funds UTI9.569.9610.4510.9811.58
FII/Banks17.5717.4317.2316.5114.94
Others46.4946.2145.9021.2022.03

Quarterly Results

(All figures In ₹ Cr.)Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Trend 2024-25
Sales314.3329.7357.6319316.7334349346.8
Other Income44.119.546.629.829.37.579.495
Operating Profit99.778.6110.484.388.569.7145.2159.3
Interest6.155.66.76.56.27.19.6
Depreciation28.426.727.228.327.829.130.429.5
Taxation7.38.314.15.2-9.52.813.6-11.5
Net Profit / Loss57.938.663.544.163.731.694.1126.4

Annual Results

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Sales840.91,085.31,208.61,280.51,323
Other Income114.3123.3122.578.7125.2
Operating Profit278.6311.8331.6325.7361.8
Interest14.81622.221.723.8
Depreciation89.698.6109.2119.7110
Taxation21.220.8-5.7818.1
Net Profit / Loss153176.4205.9176.3209.9

Cash Flow

(All figures In ₹ Cr.)Mar 1997Mar 1998Mar 1999Mar 2000Dec 2008Trend 1997-08
Cash from Operating Activity31.2936.8343.2913.4811.15
Cash from Investing Activity-17.77-68.42-16.025.25-84.75
Cash from Financing Activity-17.1832.11-13.68-24.1275.29
Net Cash Flow-3.660.5113.59-5.391.69

Balance Sheet

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Share Capital63.163.263.663.763.9
Reserve657734.1803.4846.7934.9
Borrowings73154750176879
Other Liabilities45.8103.3138.5109.1128
Total Liabilities1,324.11,476.21,548.71,657.51,765.1
Fixed Assets356.2501.9637.8618.9669.4
CWIP7.184.910.121.728
Investments850.7736.2747.1814.1972.8
Other Assets20.523.126.824.916.8
Total Assets1,324.11,476.21,548.71,657.51,765.1

Financial Ratios

Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2018-25
Total Debt Mcap0.050.050.040.020.040.030.030.04
EPS Growth24.6-60.6565.0844.6115.1115.99-14.5118.69
EV_EBITA9.819.820.4527.1320.3115.9917.918.4
EBIT_Margin16.7914.218.0322.4719.6418.416.0919.03
PAT_Margin9.537.5713.1318.1916.2517.0413.7715.87
ROA8.346.428.379.9710.6811.499.3610.31

Peer Companies

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
6,938.17
216.65
-0.21%
247.65 / 181.60
37.84
17.33
3,467.13
535.90
-3.47%
972.85 / 550.00
353.77
10.79
3,466.87
480.10
1.59%
632.10 / 446.35
458.26
11.28
2,582.45
1,783.60
3.43%
2,362.10 / 225.40
728.56
1538.63
2,436.89
2,677.90
-3.37%
4,666.60 / 2,582.90
767.56
21.95
1,915.98
576.60
0.01%
847.30 / 420.95
205.39
29.86
1,329.56
176.05
-2.01%
270.15 / 173.00
171.28
11.44
1,063.37
67.71
0.53%
68.14 / 38.66
56.13
37.46
608.87
403.55
-0.87%
799.75 / 407.55
141.26
11.98
540.18
146.85
-2.01%
184.30 / 135.50
72.40
21.57

Broker Report

Tips
(Reco Date)
Reco Price
Target Price
CMP
(Returns)
Broker / Analyst
Investment Logic
BUY
(14 Feb 2026)
218
270
216.65
(-0.62%)
Motilal Oswal Financial Services Ltd.
BUY
(12 Nov 2025)
199
260
216.65
(8.87%)
Motilal Oswal Financial Services Ltd.
BUY
(05 Aug 2025)
220
280
216.65
(-1.52%)
Motilal Oswal Securities
BUY
(08 May 2025)
198
270
216.65
(9.42%)
Motilal Oswal Securities
BUY
(07 Sep 2024)
255
350
216.65
(-15.04%)
ICICI Securities
BUY
(13 Aug 2024)
218
275
216.65
(-0.62%)
Motilal Oswal Securities
BUY
(27 Jun 2024)
199
250
216.65
(8.87%)
Motilal Oswal Securities
BUY
(28 May 2024)
190
250
216.65
(14.03%)
Motilal Oswal Securities

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