Archean Chemical Industries Ltd (ACI)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 687.80
% Change: -0.46% (Prev Close: 691.00)

Volume: 1,28,878
% Change: -17.00% (Prev Volume: 1,55,270)

Delivery: 43,768
Delivery % : 33.96
% Change: -46.66% (Prev Delivery: 82,052)

Turnover: 891 Lacs
% Change: -16.51% (Prev Turnover: 1,067)

πŸ’Ή EOD Valuation

P/E Ratio: 53.90
P/B Ratio: 4.55
Market Cap: 8487 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: ACI
Market Cap: 8101 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 753.85
52 Week Low: 408.35

All-Time High: 838.20 Rs.
All-Time Low: 408.35 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
7.53% | 6.90% | 29.11% | -6.23% | 0.00%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 53.44%

Change (3Y | 1Y): 0.00% | 0.00%

Pledged %: 6.97%

FII Holding

FII Holding: 11.05%

Change (3Y | 1Y): 0.00% | 0.12%

DII Holding

DII Holding: 24.69%

Change (3Y | 1Y): 0.00% | 1.52%

Public Holding: 10.84%


🏦 Financial Strength

Debt to Equity: 0.13
Debt: 234.57 Rs. Cr.

Book Value: 151.02 Rs.
Current Ratio: 2.48
Interest Coverage: 23.17
Free Cash Flow: -81.22 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: -6.59%

Sales Growth Qtr (YOY | QoQ):
37.46% | -15.40%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
11.35% | -2.71% | -6.59%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -29.40%

Profit Growth Qtr (YOY | QoQ):
-10.41% | -25.32%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
46.81% | -2.28% | -29.40%


EPS Rs.

EPS (TTM): 12.76 Rs.

EPS Qtr (Last Year | Latest):
3.64 Rs. | 3.26 Rs.

EPS Annual (Last Annual | Annual March):
25.85 Rs. | 13.14 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
22.45% | -10.03%


Net Profit Rs. Cr.

Net Profit (TTM): 157.44 Rs. Cr.

Net Profit (Annual - March): 162.15 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
44.85| 53.75 | 40.14


EBITDA Rs. Cr.

EBITDA (Quarter): 86.32 Rs. Cr.
EBITDA (Previous Yr Ql): 80.90 Rs. Cr.

EBITDA (Annual - March): 328.99 Rs. Cr.
EBITDA (Previous Annual): 482.91 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
15.97% | -11.72%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 28.65%

OPM Qtr (Previous | Current):
25.55% | 26.71%

OPM Annual (5 Yrs | Last Yr | March):
0.00% | 34.79% | 30.22%


Return on Equity %

ROE: 9.80%

ROE (5 Yrs | 3 Yrs | Last Yr):
0.00% | 20.41% | 19.27%


Return on Capital Employed %

ROCE: 12.81%

ROCE (5 Yrs | 3 Yrs | Last Yr):
27.76% | 27.76% | 25.01%


Return on Assets %

ROA (TTM): 7.86%

ROA (5 Yrs | 3 Yrs | Last Yr):
0.00% | 15.60% | 15.84%



PEG Ratio: -18.64
Dividend Yield: 0.46%

PE 3 Yrs: 28.57
PE 5 Yrs: 28.57

Dividend Yield: 0.46%


πŸ‘₯ Company

Archean Chemical Industries Ltd

ACI

Promoter Holding: %

Arvind Fashions Ltd (ARVINDFASN)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 554.00
% Change: 1.09% (Prev Close: 548.00)

Volume: 3,22,961
% Change: 94.27% (Prev Volume: 1,66,246)

Delivery: 2,12,398
Delivery % : 65.77
% Change: 125.30% (Prev Delivery: 94,275)

Turnover: 1,776 Lacs
% Change: 95.40% (Prev Turnover: 909)

πŸ’Ή EOD Valuation

P/E Ratio: 0.00
P/B Ratio: 7.71
Market Cap: 7396 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: ARVINDFASN
Market Cap: 6937 Rs. Cr.
Face Value: 4.00 Rs.

52 Week High: 639.70
52 Week Low: 320.20

All-Time High: 792.04 Rs.
All-Time Low: 107.40 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
-1.68% | 17.29% | 34.55% | -8.59% | 23.03%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 35.14%

Change (3Y | 1Y): -1.74% | -0.05%

Pledged %: 8.31%

FII Holding

FII Holding: 9.38%

Change (3Y | 1Y): 1.75% | -0.04%

DII Holding

DII Holding: 23.61%

Change (3Y | 1Y): 11.93% | 1.67%

Public Holding: 31.85%


🏦 Financial Strength

Debt to Equity: 1.21
Debt: 1156.79 Rs. Cr.

Book Value: 71.82 Rs.
Current Ratio: 1.28
Interest Coverage: 2.52
Free Cash Flow: 438.28 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 9.78%

Sales Growth Qtr (YOY | QoQ):
15.97% | -6.88%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
5.04% | 14.77% | 9.78%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -128.95%

Profit Growth Qtr (YOY | QoQ):
872.40% | 134.29%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
13.81% | 23.17% | -128.95%


EPS Rs.

EPS (TTM): -1.82 Rs.

EPS Qtr (Last Year | Latest):
0.10 Rs. | 0.94 Rs.

EPS Annual (Last Annual | Annual March):
6.06 Rs. | -2.67 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
13.97% | 23.19%


Net Profit Rs. Cr.

Net Profit (TTM): 43.92 Rs. Cr.

Net Profit (Annual - March): 32.98 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
13.92| -72.49 | 24.86


EBITDA Rs. Cr.

EBITDA (Quarter): 147.91 Rs. Cr.
EBITDA (Previous Yr Ql): 122.96 Rs. Cr.

EBITDA (Annual - March): 650.25 Rs. Cr.
EBITDA (Previous Annual): 558.49 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
23.20% | 36.86%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 12.99%

OPM Qtr (Previous | Current):
13.34% | 12.04%

OPM Annual (5 Yrs | Last Yr | March):
9.90% | 12.32% | 13.33%


Return on Equity %

ROE: -3.63%

ROE (5 Yrs | 3 Yrs | Last Yr):
-18.30% | 3.11% | 8.80%


Return on Capital Employed %

ROCE: 16.93%

ROCE (5 Yrs | 3 Yrs | Last Yr):
8.14% | 14.90% | 13.98%


Return on Assets %

ROA (TTM): 0.89%

ROA (5 Yrs | 3 Yrs | Last Yr):
-2.64% | 2.46% | 3.93%



PEG Ratio: 0.00
Dividend Yield: 0.31%

PE 3 Yrs: 119.78
PE 5 Yrs: 119.78

Dividend Yield: 0.31%


πŸ‘₯ Company

Arvind Fashions Ltd

ARVINDFASN

Promoter Holding: %

Arvind Ltd (ARVIND)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 298.80
% Change: 1.20% (Prev Close: 295.25)

Volume: 2,14,777
% Change: 13.20% (Prev Volume: 1,89,737)

Delivery: 94,152
Delivery % : 43.84
% Change: 4.89% (Prev Delivery: 89,765)

Turnover: 641 Lacs
% Change: 15.08% (Prev Turnover: 557)

πŸ’Ή EOD Valuation

P/E Ratio: 21.30
P/B Ratio: 2.07
Market Cap: 7829 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: ARVIND
Market Cap: 7358 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 450.40
52 Week Low: 271.55

All-Time High: 450.40 Rs.
All-Time Low: 3.51 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
-7.59% | -18.70% | -16.70% | -26.43% | 38.57%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 39.55%

Change (3Y | 1Y): -1.71% | -0.02%

Pledged %: 7.24%

FII Holding

FII Holding: 17.58%

Change (3Y | 1Y): 6.16% | -1.13%

DII Holding

DII Holding: 18.10%

Change (3Y | 1Y): 6.96% | 0.00%

Public Holding: 24.77%


🏦 Financial Strength

Debt to Equity: 0.41
Debt: 1562.23 Rs. Cr.

Book Value: 144.61 Rs.
Current Ratio: 1.08
Interest Coverage: 4.09
Free Cash Flow: 279.99 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 10.23%

Sales Growth Qtr (YOY | QoQ):
9.60% | -9.65%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
2.48% | 1.31% | 10.23%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 18.88%

Profit Growth Qtr (YOY | QoQ):
35.44% | -64.63%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
21.70% | 12.43% | 18.88%


EPS Rs.

EPS (TTM): 14.03 Rs.

EPS Qtr (Last Year | Latest):
1.50 Rs. | 2.03 Rs.

EPS Annual (Last Annual | Annual March):
12.87 Rs. | 13.50 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
21.42% | 12.26%


Net Profit Rs. Cr.

Net Profit (TTM): 378.35 Rs. Cr.

Net Profit (Annual - March): 367.38 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
43.73| 154.64 | 54.70


EBITDA Rs. Cr.

EBITDA (Quarter): 186.58 Rs. Cr.
EBITDA (Previous Yr Ql): 163.14 Rs. Cr.

EBITDA (Annual - March): 943.33 Rs. Cr.
EBITDA (Previous Annual): 919.39 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
4.27% | 2.61%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 10.34%

OPM Qtr (Previous | Current):
11.01% | 8.84%

OPM Annual (5 Yrs | Last Yr | March):
10.42% | 11.36% | 10.75%


Return on Equity %

ROE: 9.32%

ROE (5 Yrs | 3 Yrs | Last Yr):
8.02% | 10.07% | 9.73%


Return on Capital Employed %

ROCE: 13.04%

ROCE (5 Yrs | 3 Yrs | Last Yr):
11.20% | 12.91% | 13.08%


Return on Assets %

ROA (TTM): 4.65%

ROA (5 Yrs | 3 Yrs | Last Yr):
3.57% | 4.87% | 4.96%



PEG Ratio: 1.61
Dividend Yield: 1.34%

PE 3 Yrs: 22.57
PE 5 Yrs: 21.75

Dividend Yield: 1.34%


πŸ‘₯ Company

Arvind Ltd

ARVIND

Promoter Holding: %

Asahi India Glass Ltd (ASAHIINDIA)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 875.00
% Change: 5.07% (Prev Close: 832.75)

Volume: 8,24,961
% Change: 669.69% (Prev Volume: 1,07,181)

Delivery: 1,66,267
Delivery % : 20.15
% Change: 321.55% (Prev Delivery: 39,442)

Turnover: 7,199 Lacs
% Change: 708.30% (Prev Turnover: 891)

πŸ’Ή EOD Valuation

P/E Ratio: 60.85
P/B Ratio: 7.97
Market Cap: 21271 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: ASAHIINDIA
Market Cap: 20330 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 901.05
52 Week Low: 576.60

All-Time High: 901.05 Rs.
All-Time Low: 27.10 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
-0.39% | 12.64% | 32.21% | 23.29% | 8.00%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 54.09%

Change (3Y | 1Y): -0.15% | -0.10%

Pledged %: 3.50%

FII Holding

FII Holding: 3.74%

Change (3Y | 1Y): 2.11% | -0.41%

DII Holding

DII Holding: 1.78%

Change (3Y | 1Y): -0.05% | 0.15%

Public Holding: 40.40%


🏦 Financial Strength

Debt to Equity: 1.01
Debt: 2695.80 Rs. Cr.

Book Value: 109.79 Rs.
Current Ratio: 1.08
Interest Coverage: 3.89
Free Cash Flow: -536.50 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 6.59%

Sales Growth Qtr (YOY | QoQ):
8.48% | 4.14%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
11.69% | 13.16% | 6.59%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 7.81%

Profit Growth Qtr (YOY | QoQ):
-27.98% | -40.15%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
17.91% | 0.24% | 7.81%


EPS Rs.

EPS (TTM): 14.38 Rs.

EPS Qtr (Last Year | Latest):
3.21 Rs. | 2.31 Rs.

EPS Annual (Last Annual | Annual March):
13.49 Rs. | 15.27 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
17.91% | 0.24%


Net Profit Rs. Cr.

Net Profit (TTM): 345.41 Rs. Cr.

Net Profit (Annual - March): 367.30 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
76.69| 91.54 | 54.79


EBITDA Rs. Cr.

EBITDA (Quarter): 203.04 Rs. Cr.
EBITDA (Previous Yr Ql): 186.15 Rs. Cr.

EBITDA (Annual - March): 791.51 Rs. Cr.
EBITDA (Previous Annual): 757.00 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
12.03% | 0.35%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 16.55%

OPM Qtr (Previous | Current):
16.68% | 15.65%

OPM Annual (5 Yrs | Last Yr | March):
18.76% | 16.67% | 16.67%


Return on Equity %

ROE: 13.61%

ROE (5 Yrs | 3 Yrs | Last Yr):
15.58% | 15.52% | 14.87%


Return on Capital Employed %

ROCE: 12.45%

ROCE (5 Yrs | 3 Yrs | Last Yr):
16.02% | 15.98% | 14.97%


Return on Assets %

ROA (TTM): 5.50%

ROA (5 Yrs | 3 Yrs | Last Yr):
6.55% | 6.84% | 6.47%



PEG Ratio: 260.04
Dividend Yield: 0.24%

PE 3 Yrs: 41.07
PE 5 Yrs: 42.59

Dividend Yield: 0.24%


πŸ‘₯ Company

Asahi India Glass Ltd

ASAHIINDIA

Promoter Holding: %

Ashok Leyland Ltd (ASHOKLEY)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 135.06
% Change: -1.71% (Prev Close: 137.41)

Volume: 1,50,17,284
% Change: -55.29% (Prev Volume: 3,35,90,663)

Delivery: 77,06,291
Delivery % : 51.32
% Change: -32.72% (Prev Delivery: 1,14,54,543)

Turnover: 20,393 Lacs
% Change: -55.56% (Prev Turnover: 45,888)

πŸ’Ή EOD Valuation

P/E Ratio: 24.74
P/B Ratio: 6.48
Market Cap: 79322 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: ASHOKLEY
Market Cap: 74576 Rs. Cr.
Face Value: 1.00 Rs.

52 Week High: 134.45
52 Week Low: 95.20

All-Time High: 134.45 Rs.
All-Time Low: 3.08 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
6.77% | 7.61% | 24.16% | 3.98% | 16.53%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 51.35%

Change (3Y | 1Y): -0.11% | 0.00%

Pledged %: 41.15%

FII Holding

FII Holding: 24.02%

Change (3Y | 1Y): 8.99% | 0.52%

DII Holding

DII Holding: 13.61%

Change (3Y | 1Y): -8.12% | -0.45%

Public Holding: 10.77%


🏦 Financial Strength

Debt to Equity: 4.08
Debt: 49962.11 Rs. Cr.

Book Value: 20.83 Rs.
Current Ratio: 1.11
Interest Coverage: 2.14
Free Cash Flow: -1470.51 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 5.90%

Sales Growth Qtr (YOY | QoQ):
9.18% | -20.33%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
14.04% | 17.29% | 5.90%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 27.88%

Profit Growth Qtr (YOY | QoQ):
20.67% | -47.21%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
54.20% | 284.23% | 27.88%


EPS Rs.

EPS (TTM): 5.46 Rs.

EPS Qtr (Last Year | Latest):
0.87 Rs. | 1.04 Rs.

EPS Annual (Last Annual | Annual March):
4.23 Rs. | 5.29 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
54.19% | 284.19%


Net Profit Rs. Cr.

Net Profit (TTM): 3489.86 Rs. Cr.

Net Profit (Annual - March): 3382.79 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
550.65| 1245.92 | 657.72


EBITDA Rs. Cr.

EBITDA (Quarter): 2276.54 Rs. Cr.
EBITDA (Previous Yr Ql): 1899.52 Rs. Cr.

EBITDA (Annual - March): 9532.11 Rs. Cr.
EBITDA (Previous Annual): 8024.95 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
23.47% | 49.63%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 19.25%

OPM Qtr (Previous | Current):
20.35% | 18.56%

OPM Annual (5 Yrs | Last Yr | March):
9.63% | 7.59% | 7.10%


Return on Equity %

ROE: 28.82%

ROE (5 Yrs | 3 Yrs | Last Yr):
15.46% | 24.67% | 28.35%


Return on Capital Employed %

ROCE: 14.26%

ROCE (5 Yrs | 3 Yrs | Last Yr):
10.42% | 13.57% | 15.01%


Return on Assets %

ROA (TTM): 4.47%

ROA (5 Yrs | 3 Yrs | Last Yr):
2.32% | 3.85% | 4.42%



PEG Ratio: 0.08
Dividend Yield: 2.46%

PE 3 Yrs: 26.83
PE 5 Yrs: 27.45

Dividend Yield: 2.46%


πŸ‘₯ Company

Ashok Leyland Ltd

ASHOKLEY

Promoter Holding: %