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Crompt.Greaves Cons. share price

Crompton Greaves Consumer Electricals Ltd.

NSE: CROMPTON BSE: 539876 SECTOR: Consumer Durables - Domestic Appliances  240k   1k   215

344.20
+0.60 (0.17%)
BSE: Today, 04:01 PM

Price Summary

Today's High

₹ 344.4

Today's Low

₹ 337.8

52 Week High

₹ 483.65

52 Week Low

₹ 303

FinStar

Ownership Stable
Ownership strength is slightly missing the benchmark.
ValuationExpensive
The stock is at a premium valuation at this point.
EfficiencyExcellent
The company knows very well the utilization of its assets.
FinancialsAverage
The company could improve upon its asset employment.
*It is just an analytical rating of the company and not an investment advice.

Company Essentials

Market Cap

22161.42 Cr.

Enterprise Value

22545.12 Cr.

No. of Shares

64.39 Cr.

P/E

39.35

P/B

6.15

Face Value

₹ 2

Div. Yield

0.87 %

Book Value (TTM)

₹  55.98

CASH

215.27 Cr.

DEBT

598.97 Cr.

Promoter Holding

0 %

EPS (TTM)

₹  8.75

Sales Growth

9.97%

ROE

16 %

ROCE

18.08%

Profit Growth

-1.92 %

* Total debt includes long term borrowing, short term borrowing plus current maturities of long-term borrowing
* Ratios are based on latest Audited Financial Result.

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Brands

These are the brands of Crompton Greaves Consumer Electricals Ltd.

Proline Fitness Johnson Health Tech Horizon Matrix FILA

Price Chart 1d 1w 1m 3m 6m 1Yr 3Yr 5Yr

 

Volume Chart 1d 1w 1m 3m 6m 1Yr 3Yr 5Yr

* Prices are based on daily market changes.
* The chart is based on the standalone earnings of the company. * Negative values and values more than 1000x in PE chart is considered 0.

Peer Comparison

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* The Peers list includes companies operating in the same industry and having comparable market cap.

 Group Companies

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Ratios

Sales Growth

1 Year9.97%
3 Year10.38%
5 Year7.36%

Profit Growth

1 Year-1.92%
3 Year-8.29%
5 Year2.99%

ROE%

1 Year16%
3 Year21.37%
5 Year29.25%

ROCE %

1 Year18.08%
3 Year20.31%
5 Year26.37%

Debt/Equity

0.1913

Price to Cash Flow

27.84

Interest Cover Ratio

9.3969

CFO/PAT (5 Yr. Avg.)

1.20950082165371

Shareholding Pattern

Promoter Pledging %

Date Promoter % Pledge %
Mar 2025 0.00 0.00
Dec 2024 0.00 0.00
Sep 2024 0.00 0.00
Jun 2024 0.00 0.00
Mar 2024 0.00 0.00
Investors List
* Figures given above are % of equity capital

 Strengths

  • The company has significantly decreased its debt by 323.21 Cr.
  • Company has been maintaining healthy ROE of 21.365250050039% over the past 3 years.
  • Company has been maintaining healthy ROCE of 20.3102932847326% over the past 3 years.
  • Company has a healthy Interest coverage ratio of 9.3969.
  • The company has an efficient Cash Conversion Cycle of -7.723 days.
  • The company has a good cash flow management; CFO/PAT stands at 1.20950082165371.

 Limitations

  • The company has shown a poor profit growth of -8.2909628257141% for the Past 3 years.
  • The company has shown a poor revenue growth of 10.3824778347171% for the Past 3 years.

Quarterly Result (All Figures in Cr.)

PARTICULARS Mar 2024 Jun 2024 Sep 2024 Dec 2024 Mar 2025
Net Sales 1796.62 1959.46 1645.33 1545 1878.5
Total Expenditure 1571.35 1737.01 1465.03 1374.06 1632.8
Operating Profit 225.27 222.45 180.3 170.94 245.7
Other Income 14.43 21.83 15.5 10.3 15.57
Interest 14.19 13.96 10.5 9.36 8.97
Depreciation 19.12 19.63 20.71 21.04 22.83
Exceptional Items 0 0 0 0 0
Profit Before Tax 206.39 210.69 164.59 150.84 229.47
Tax 45.42 53.07 41.31 39.1 58.93
Profit After Tax 160.97 157.62 123.28 111.74 170.54
Adjusted EPS (Rs) 2.5 2.45 1.92 1.74 2.65

Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Net Sales 4511.97 4749.95 5373.2 5809.31 6388.38
Total Expenditure 3915.11 4047.25 4612.35 5138.03 5699.68
Operating Profit 596.86 702.7 760.85 671.28 688.7
Other Income 58.87 77.62 79.9 74.41 60.34
Interest 40.67 42.91 35.31 102.69 72.77
Depreciation 26.79 29.69 42.29 54.23 65.23
Exceptional Items 0 0 0 5.54 0
Profit Before Tax 588.27 707.72 763.15 594.31 611.04
Tax 93.57 102.98 169.67 118.75 144.59
Net Profit 494.7 604.74 593.48 475.56 466.45
Adjusted EPS (Rs.) 7.89 9.63 9.37 7.48 7.25

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity and Liabilities
Share Capital 125.46 125.54 126.68 127.22 128.62
Total Reserves 1342.34 1793.45 2328.98 2711.75 3076.86
Borrowings 179.72 298.78 0 597.18 298.97
Other N/C liabilities -31.51 78.02 113.02 126.96 200.6
Current liabilities 1077.41 1189.94 2709.28 1512.91 1814.87
Total Liabilities 2693.42 3485.73 5277.96 5076.02 5519.92
Assets
Net Block 908.97 914.99 1098.99 1122.01 1120.26
Capital WIP 19.9 10.86 7.5 2.64 5.9
Intangible WIP 0 0 0 21.05 45.09
Investments 14.2 14.2 1407.17 1928.21 1928.21
Loans & Advances 29.63 33.51 77.62 66.43 66
Other N/C Assets 0.98 0 34.8 43.39 48.56
Current Assets 1719.74 2512.17 2651.88 1892.29 2305.9
Total Assets 2693.42 3485.73 5277.96 5076.02 5519.92
* Other Non-current Liabilities include Net deferred Liabilities

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Profit from operations 588.27 707.72 763.15 594.31 611.04
Adjustment 37.53 20.09 40.27 105.97 81.76
Changes in Assets & Liabilities -60.19 139.7 90.91 -153.86 191.38
Tax Paid -144.54 -52.59 -164.14 -121.62 -88.21
Operating Cash Flow 421.07 814.92 730.19 424.8 795.97
Investing Cash Flow -1.67 -488.73 -1720.43 299.15 -175.59
Financing Cash Flow -512.77 -96.17 907.34 -849.98 -533.65
Net Cash Flow -93.37 230.02 -82.9 -126.03 86.73

Corporate Actions

Investors Details

PARTICULARS Sep 2021% Dec 2021% Mar 2022% Jun 2022% Sep 2022%
promoters 5.99 5.99 5.94 5.94 2.54
macritchie investments pt... 5.99 5.99 5.94 5.94 2.54
PARTICULARS Mar 2024% Jun 2024% Sep 2024% Dec 2024% Mar 2025%
investors 100.00 100.00 100.00 100.00 100.00
abu dhabi investment auth... - 1.64 1.49 1.54 1.66
aditya birla sun life tru... 2.57 2.54 2.32 2.10 2.39
axis mutual fund trustee ... - - 1.43 - 2.05
canara robeco mutual fund... - - 2.83 - 3.14
dsp value fund - - - - 2.78
franklin india equity adv... - - - - 3.06
government pension fund g... 3.89 3.92 4.01 4.00 4.06
hdfc life insurance compa... 3.68 2.59 2.34 2.39 2.60
hdfc mutual fund - hdfc s... - - - 9.48 9.57
icici prudential equity a... - - - - 1.08
icici prudential life ins... 1.83 1.50 1.32 1.32 1.45
invesco india arbitrage f... - - - - 1.08
investor education and pr... - - - - 0.29
kotak equity arbitrage fu... - 1.96 - 1.99 2.14
kotak funds - india midca... 1.57 1.57 1.57 1.63 1.63
lici health protection pl... 2.01 2.01 1.49 1.49 1.49
mirae asset nifty india m... - - - - 6.03
nippon life india trustee... - 5.25 - - 6.15
uti aggressive hybrid fun... - - - - 3.07
vanguard emerging markets... 1.30 1.30 1.29 1.29 1.29
vanguard total internatio... 1.36 1.38 1.39 1.39 1.41
axis elss tax saver fund - - - 1.46 -
canara robeco mutual fund... - - - 3.12 -
dsp multi asset allocatio... - - - 3.30 -
franklin india equity hyb... 2.73 3.45 3.13 3.07 -
investor education and pr... - - - 0.29 -
mirae asset elss tax save... - - - 5.25 -
nippon life india trustee... 3.56 - 5.40 5.49 -
smallcap world fund, inc - - 1.78 1.78 -
uti elss tax saver fund - - - 2.80 -
dsp flexi cap fund - 3.16 3.11 - -
hdfc mutual fund - hdfc b... - - 9.30 - -
kotak equity savings fund... - - 1.97 - -
mirae asset balanced adva... 9.91 - 4.96 - -
uti- infrastructure fund - - 2.94 - -
hdfc mutual fund - hdfc n... - 9.37 - - -
mirae asset large cap fun... - 7.18 - - -
sbi large & midcap fund 1.46 1.18 - - -
uti-unit linked insurance... 3.86 3.50 - - -
bandhan nifty small cap 2... 1.30 - - - -
dsp nifty midcap 150 qual... 1.06 - - - -
fidelity funds - india fo... 1.17 - - - -
hdfc mutual fund-hdfc arb... 9.44 - - - -
kuwait investment authori... 1.46 - - - -

Annual Reports

Title Action
Annual Report 2024
Annual Report 2023
Annual Report 2022
Annual Report 2021
Annual Report 2020
Annual Report 2019
Annual Report 2018
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Concalls & Presentations

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Company News

Crompt.Greaves Cons. Stock Price Analysis and Quick Research Report. Is Crompt.Greaves Cons. an attractive stock to invest in?

 

The Consumer Durable sector in India has attracted significant investments over the years which resulted in increasing demand and also facilitated by the rise in disposable income. Indian Appliance and Consumer Electronics Industry’s market size was 21.49 billion USD in FY17 and is expected to be at 48.37 billion USD by FY22. The unorganized markets will provide scope for the rural markets to grow in fast paces because of the increase in the shift to organized markets.

The key growth drivers for the consumer durables sector are modernization, changing lifestyles, increasing awareness, rising incomes, convenient shopping options, etc. the relaxation by the government for FDI will also boost the sector.

Crompt.Greaves Cons. is India’s famous brand in the consumer durable segment nationally and globally. Crompt.Greaves Cons. stock price today is Rs 343.9. Let's study some key parameters of the company:

  • The net sales of the company is Rs 6388.38 Cr. It has increased from the previous year sales of Rs 5809.31 Cr. The sales growth of the company was poor at 9.968 %.
     
  • The sales figure can be matched with inventory turnover to check whether it's justifiable or not. The turnover ratio for Crompt.Greaves Cons. is 9.7033 times. Crompt.Greaves Cons. efficiently manages its assets.
     
  • The PAT growth rate of -1.9156 % is poor for the company. The net profit compared to the % of sales is known as PAT margin which is 7.3015 %.
     
  • The growth of EPS should ideally be around the PAT growth rate. For Crompt.Greaves Cons. EPS growth rate is -2.9841 % which is nearby the PAT growth rate . The Earning per share for the latest quarter is 2.649 Rs.
     
  • Share Price: - The current share price of Crompt.Greaves Cons. is Rs 343.9. One can use valuation calculators of ticker to know if Crompt.Greaves Cons. share price is undervalued or overvalued.
     
  • Company’s assets have given an average return of 10.5114554944702 % for the 3 years and equity gave an average return of 21.365250050039 % for the 3 years.
     
  • Crompt.Greaves Cons. has a Debt to equity ratio of 0.1913 which is an indicative measure of financial risk when compared to its peers.
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Brief about Crompt.Greaves Cons.
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