NACL Industries Ltd

524709

Summary

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Business Description
NACL Industries Ltd is an Indian company engaged in the business of manufacturing and marketing crop protection products. It manufactures all kinds of Pesticides, Insecticides, Acaricides, Herbicides, Fungicides, and other plant growth chemicals. The company also exports technicals and formulations and does toll manufacture for various multinational companies. The group sells its products in India and also exports them Outside India.
Contact
Plot No. 12-A, C Block Lakshmi Towers, Nagarjuna Hills, Hyderabad, TG 500082
T +91 4024405100
www.naclind.com opens in a new tab
Sector
Basic Materials
Industry
Agricultural Inputs
Most Recent Earnings
Dec 31, 2024
Fiscal Year End
Mar 31, 2025
Employees
2,545

Key Metrics

Income Statement (in Bil, except ratios)
12/31/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Revenue
14.68 17.56 21.16 16.40 11.78 10.03
Revenue Growth %
-22.59% -16.25% 29.52% 37.67% 18.08% 17.01%
Gross Profit
3.30 3.31 4.77 3.93 3.10 2.63
Gross Profit Margin %
22.51% 18.82% 22.57% 23.96% 26.33% 26.18%
Operating Income
0.03 -0.01 1.71 1.27 0.87 0.50
Operating Margin %
0.19% -0.07% 8.08% 7.72% 7.39% 4.96%
EBIT
-0.13 -0.19 1.63 1.19 0.82 0.49
EBIT Margin %
-0.87% -1.06% 7.69% 7.26% 6.95% 4.85%
EBITDA
0.15 0.09 1.91 1.44 1.07 0.73
EBITDA Margin %
1.04% 0.49% 9.02% 8.78% 9.09% 7.24%
Net Income
-0.51 -0.59 0.95 0.73 0.51 0.17
Net Profit Margin %
-3.48% -3.35% 4.48% 4.48% 4.33% 1.67%
Basic EPS
-2.56 -2.96 4.78 3.71 2.63 1.00
Diluted EPS
-2.56 -2.96 4.77 3.70 2.63 1.00
Normalized EPS
Total Dividends per Share
0.25 0.60 0.55 0.25 0.10
Balance Sheet (in Bil, except ratios)
09/30/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Total Assets
16.45 18.18 19.15 15.10 9.76 9.55
Total Liabilities
11.39 13.07 13.41 10.22 5.57 5.98
Total Debt
5.22 7.89 7.24 5.30 2.02 2.68
Total Equity
5.06 5.11 5.74 4.88 4.19 3.57
Cash And Cash Equivalents
0.24 0.32 0.41 0.70 0.68 0.84
Working Capital
1.04 1.45 2.96 3.10 2.39 1.38
Shares Outstanding (Bil)
0.20
Book Value Per Share
25.53 28.75 24.55 21.22 18.52
Total Debt To Equity
1.03 1.54 1.26 1.09 0.48 0.75
Cash Flow Statement (in Bil, except ratios)
09/30/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Cash From Operating Activities
3.25 0.50 -0.20 -1.24 0.83 1.03
Cash From Investing Activities
-0.23 -0.38 -1.42 -1.63 0.14 -0.97
Cash From Financing Activities
-3.32 -0.22 1.35 2.90 -1.13 0.70
Capital Expenditures
0.39 1.46 1.38 0.16 0.70
Free Cash Flow
-0.90 -0.07 -0.26 0.90 -0.10
Change in Cash
-0.30 -0.09 -0.28 0.02 -0.16 0.77

Profile


Ownership


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