Nifty
Sensex
:
:
25244.75
82755.51
200.40 (0.80%)
700.40 (0.85%)

Plastic Products - Packaging

Rating :
46/99

BSE: 500148 | NSE: UFLEX

609.50
25-Jun-2025
  • Open
  • High
  • Low
  • Previous Close
  •  600
  •  612.5
  •  600
  •  600.85
  • Volume
  • Traded Value (lacs)
  • 52 Week High
  • 52 Week Low
  •  25147
  •  15322944.05
  •  859.8
  •  438

Stock Summary

  • Market Cap(Crs)
  • Stock P:E
  • Face Value
  • 4,407.79
  • 30.58
  • 10
  • Enterprise Value(Crs)
  • Dividend Yield
  • Price:Book Value
  • 11,370.20
  • 0.49%
  • 0.59

Shareholding Pattern

  • Promoter
  • Corporate
  • Public
  • 44.58%
  • 15.26%
  • 12.77%
  • FII
  • DII
  • Others
  • 7.58%
  • 0.24%
  • 19.57%

Chart

Price | P:E | P:BV | EV:EBITDA | MCap:Sales | EPS

Revenue CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 8.02
  • 12.53
  • 0.60

EBITDA CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 6.18
  • 4.63
  • -8.86

PAT CAGR (%)

  • 10 Years
  • 5 Years
  • 3 Years
  • 1.26
  • 2.36
  • -10.20

P:E (Median)

  • 8 Years
  • 5 Years
  • 3 Years
  • 4.50
  • 3.89
  • -

P:BV (Average)

  • 8 Years
  • 5 Years
  • 3 Years
  • 0.54
  • 0.55
  • 0.53

EV:EBITDA (Average)

  • 8 Years
  • 5 Years
  • 3 Years
  • 4.31
  • 4.47
  • 4.85

Earnings Forecasts:

(Updated: 06-06-2025)
Description
2024
2025
2026
2027
Adj EPS
-95.69
19.71
P/E Ratio
-6.37
30.92
Revenue
13185
15036
EBITDA
1431
1671
Net Income
-691
142
ROA
-4.1
0.8
P/B Ratio
1.45
0.60
ROE
-9.39
1.95
FCFF
-1105
-1133
FCFF Yield
-9.43
-9.67
Net Debt
5873
7199
BVPS
421.06
1024.3

Quarterly Results

Consolidated Figures in Rs. Crores /

Standalone
Description
Mar 25
Mar 24
Var%
Dec 24
Dec 23
Var%
Sep 24
Sep 23
Var%
Jun 24
Jun 23
Var%
Net Sales
3,814.28
3,426.46
11.32%
3,734.68
3,309.47
12.85%
3,833.38
3,369.44
13.77%
3,653.75
3,258.26
12.14%
Expenses
3,401.17
3,060.32
11.14%
3,280.63
2,977.88
10.17%
3,440.90
2,983.59
15.33%
3,242.23
2,974.52
9.00%
EBITDA
413.11
366.14
12.83%
454.05
331.59
36.93%
392.48
385.85
1.72%
411.52
283.74
45.03%
EBIDTM
10.83%
10.69%
12.16%
10.02%
10.24%
11.45%
11.26%
8.71%
Other Income
62.41
71.66
-12.91%
42.79
41.59
2.89%
19.83
20.02
-0.95%
31.84
21.80
46.06%
Interest
184.41
128.31
43.72%
174.29
140.26
24.26%
177.52
132.49
33.99%
161.85
134.57
20.27%
Depreciation
176.31
165.05
6.82%
172.04
166.33
3.43%
173.15
163.60
5.84%
173.37
160.50
8.02%
PBT
184.76
-245.26
-
176.16
-33.46
-
-31.00
109.78
-
-72.61
-371.08
-
Tax
13.30
24.29
-45.24%
36.11
28.13
28.37%
33.58
46.47
-27.74%
22.75
43.33
-47.50%
PAT
171.46
-269.55
-
140.05
-61.59
-
-64.58
63.31
-
-95.36
-414.41
-
PATM
4.50%
-7.87%
3.75%
-1.86%
-1.68%
1.88%
-2.61%
-12.72%
EPS
23.34
-37.52
-
18.95
-9.31
-
-8.95
8.77
-
-13.63
-57.63
-

Annual Results

Consolidated Figures in Rs. Crores /

Standalone
Description
TTM
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Mar 15
Net Sales
15,036.09
13,363.63
14,662.51
13,127.13
8,888.90
7,404.84
7,957.22
6,708.53
6,156.65
6,034.78
6,180.34
Net Sales Growth
12.52%
-8.86%
11.70%
47.68%
20.04%
-6.94%
18.61%
8.96%
2.02%
-2.36%
 
Cost Of Goods Sold
9,247.10
8,335.09
9,220.74
7,759.48
4,707.00
4,256.40
4,877.98
4,057.65
3,554.52
3,548.99
3,826.64
Gross Profit
5,788.99
5,028.54
5,441.77
5,367.65
4,181.90
3,148.45
3,079.24
2,650.88
2,602.13
2,485.80
2,353.69
GP Margin
38.50%
37.63%
37.11%
40.89%
47.05%
42.52%
38.70%
39.52%
42.27%
41.19%
38.08%
Total Expenditure
13,364.93
12,007.33
12,941.24
10,969.82
7,096.51
6,323.40
6,976.04
5,832.55
5,294.75
5,242.02
5,435.39
Power & Fuel Cost
-
657.21
621.48
546.43
401.23
375.47
386.13
316.78
300.96
288.82
309.30
% Of Sales
-
4.92%
4.24%
4.16%
4.51%
5.07%
4.85%
4.72%
4.89%
4.79%
5.00%
Employee Cost
-
1,202.10
1,079.22
924.95
798.98
725.59
670.52
599.02
547.39
496.12
437.31
% Of Sales
-
9.00%
7.36%
7.05%
8.99%
9.80%
8.43%
8.93%
8.89%
8.22%
7.08%
Manufacturing Exp.
-
868.27
943.51
833.99
582.59
458.67
471.68
445.27
423.07
396.90
357.27
% Of Sales
-
6.50%
6.43%
6.35%
6.55%
6.19%
5.93%
6.64%
6.87%
6.58%
5.78%
General & Admin Exp.
-
346.73
315.51
275.00
195.72
211.42
207.09
196.10
199.23
178.09
168.96
% Of Sales
-
2.59%
2.15%
2.09%
2.20%
2.86%
2.60%
2.92%
3.24%
2.95%
2.73%
Selling & Distn. Exp.
-
492.32
554.66
559.16
333.96
269.38
304.67
247.40
245.91
244.28
307.17
% Of Sales
-
3.68%
3.78%
4.26%
3.76%
3.64%
3.83%
3.69%
3.99%
4.05%
4.97%
Miscellaneous Exp.
-
154.41
230.38
91.60
104.62
41.77
88.93
11.76
59.05
111.00
307.17
% Of Sales
-
1.16%
1.57%
0.70%
1.18%
0.56%
1.12%
0.18%
0.96%
1.84%
0.71%
EBITDA
1,671.16
1,356.30
1,721.27
2,157.31
1,792.39
1,081.44
981.18
875.98
861.90
792.76
744.95
EBITDA Margin
11.11%
10.15%
11.74%
16.43%
20.16%
14.60%
12.33%
13.06%
14.00%
13.14%
12.05%
Other Income
156.87
169.99
164.69
121.99
33.30
29.08
26.35
26.61
36.97
50.41
3.27
Interest
698.07
535.64
473.43
322.46
229.07
224.79
217.93
197.09
186.82
175.84
186.93
Depreciation
694.87
655.48
599.03
537.12
455.73
403.19
380.85
351.59
317.54
285.54
279.40
PBT
257.31
335.17
813.50
1,419.72
1,140.89
482.54
408.75
353.91
394.51
381.79
281.90
Tax
105.74
142.22
175.29
282.88
298.51
109.98
93.54
41.70
43.76
64.85
30.86
Tax Rate
41.09%
-26.53%
26.42%
20.47%
26.16%
22.79%
22.88%
11.78%
11.09%
16.99%
10.95%
PAT
151.57
-690.99
480.68
1,098.25
841.59
371.50
313.83
310.48
348.46
313.84
250.30
PAT before Minority Interest
151.53
-691.16
480.76
1,099.42
842.37
372.56
315.21
312.20
350.75
316.94
251.04
Minority Interest
-0.04
0.17
-0.08
-1.17
-0.78
-1.06
-1.38
-1.72
-2.29
-3.10
-0.74
PAT Margin
1.01%
-5.17%
3.28%
8.37%
9.47%
5.02%
3.94%
4.63%
5.66%
5.20%
4.05%
PAT Growth
122.22%
-
-56.23%
30.50%
126.54%
18.38%
1.08%
-10.90%
11.03%
25.39%
 
EPS
20.99
-95.70
66.58
152.11
116.56
51.45
43.47
43.00
48.26
43.47
34.67

Results Balance Sheet

Consolidated Figures in Rs. Crores /

Standalone
Description
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Mar 15
Shareholder's Funds
7,215.77
7,496.15
6,686.56
5,548.50
4,689.77
4,298.05
3,974.71
3,628.82
3,447.83
3,007.69
Share Capital
72.21
72.21
72.21
72.21
72.21
72.21
72.21
72.21
72.21
72.21
Total Reserves
7,143.56
7,423.94
6,614.35
5,476.29
4,617.56
4,225.84
3,902.50
3,556.61
3,375.62
2,935.48
Non-Current Liabilities
4,855.36
4,084.77
3,667.52
3,244.47
2,711.54
1,091.32
1,212.91
1,183.56
1,218.96
1,140.55
Secured Loans
4,070.48
3,433.46
3,029.49
2,751.88
2,372.64
772.04
974.35
946.41
963.50
999.57
Unsecured Loans
94.43
29.90
42.36
54.82
78.50
104.33
80.60
83.37
90.77
6.92
Long Term Provisions
42.60
35.44
31.53
28.52
28.42
24.82
19.69
19.14
9.29
10.74
Current Liabilities
5,267.38
4,847.40
4,077.75
3,018.51
2,607.73
2,563.98
2,495.68
2,320.81
2,133.45
2,318.95
Trade Payables
2,050.27
2,157.31
1,947.41
1,347.11
1,052.48
1,056.30
1,196.41
957.30
782.40
759.76
Other Current Liabilities
1,434.80
1,354.46
959.42
806.73
538.06
584.32
569.59
565.06
592.01
690.46
Short Term Borrowings
1,742.40
1,213.01
995.69
754.57
920.51
875.84
698.68
751.65
714.26
806.21
Short Term Provisions
39.91
122.62
175.23
110.09
96.67
47.52
30.99
46.80
44.77
62.52
Total Liabilities
17,347.70
16,437.68
14,441.11
11,819.60
10,016.38
7,959.63
7,688.20
7,148.44
6,804.09
6,467.94
Net Block
8,212.34
7,774.35
6,406.16
5,019.92
3,794.25
3,744.40
3,749.88
3,360.30
3,254.86
3,239.85
Gross Block
13,484.96
12,409.50
10,394.69
8,516.38
6,889.13
6,564.01
6,186.73
5,578.37
5,220.43
4,978.19
Accumulated Depreciation
5,272.61
4,635.15
3,988.53
3,496.45
3,094.88
2,819.61
2,436.85
2,218.07
1,965.57
1,738.34
Non Current Assets
9,675.30
8,868.51
7,753.98
7,091.02
6,342.57
4,405.17
4,201.41
4,145.78
3,887.02
3,573.98
Capital Work in Progress
538.29
465.82
670.62
1,517.53
2,007.49
260.84
195.82
498.08
228.73
32.42
Non Current Investment
169.99
190.93
212.17
217.52
212.12
56.30
101.22
110.11
110.85
138.03
Long Term Loans & Adv.
567.05
332.00
410.08
292.52
318.88
343.35
154.45
158.10
252.87
161.82
Other Non Current Assets
176.60
93.25
43.92
43.53
9.83
0.29
0.05
19.18
39.71
1.86
Current Assets
7,672.40
7,569.17
6,687.13
4,728.58
3,673.81
3,554.46
3,486.79
3,002.66
2,917.07
2,893.96
Current Investments
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Inventories
1,917.79
2,310.85
1,831.40
1,150.57
854.95
843.54
796.84
678.62
620.83
660.97
Sundry Debtors
3,437.28
3,232.13
3,510.74
2,401.44
1,947.36
2,045.52
1,932.59
1,659.05
1,480.19
1,508.71
Cash & Bank
1,073.25
1,091.37
588.27
615.80
443.53
288.14
315.51
296.30
387.92
192.19
Other Current Assets
1,244.08
139.54
63.92
49.11
427.97
377.26
441.85
368.68
428.12
532.09
Short Term Loans & Adv.
1,134.61
795.28
692.79
511.66
425.51
373.81
422.90
348.85
399.87
525.60
Net Current Assets
2,405.02
2,721.77
2,609.38
1,710.07
1,066.08
990.48
991.11
681.85
783.62
575.02
Total Assets
17,347.70
16,437.68
14,441.11
11,819.60
10,016.38
7,959.63
7,688.20
7,148.44
6,804.09
6,467.94

Cash Flow

Consolidated Figures in Rs. Crores /

Standalone
Description
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Mar 15
Cash From Operating Activity
825.38
1,382.66
708.56
1,174.46
848.51
553.41
651.04
779.21
898.63
501.35
PBT
-548.94
656.05
1,382.30
1,140.89
482.54
408.75
353.91
394.51
378.73
286.35
Adjustment
1,866.15
1,041.88
797.78
726.20
594.23
581.51
525.32
435.62
506.23
543.81
Changes in Working Capital
-319.31
-30.03
-1,243.80
-555.20
-142.87
-380.12
-191.94
30.52
144.92
-271.58
Cash after chg. in Working capital
997.90
1,667.90
936.27
1,311.89
933.90
610.14
687.29
860.65
1,029.89
558.58
Interest Paid
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Tax Paid
-172.52
-285.24
-227.71
-181.05
-101.80
-47.74
-43.12
-53.68
-46.21
-39.36
Other Direct Exp. Paid
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Extra & Other Items
0.00
0.00
0.00
43.62
16.41
-8.99
6.87
-27.76
-85.05
-17.88
Cash From Investing Activity
-1,619.07
-1,171.59
-952.12
-1,094.53
-2,062.01
-344.02
-426.70
-669.10
-461.23
-197.31
Net Fixed Assets
-533.40
-660.03
-653.60
-196.75
-142.60
-213.90
-237.46
-569.04
-332.21
-85.98
Net Investments
8.32
15.66
9.08
-0.08
-86.16
41.63
10.52
-3.81
10.80
82.23
Others
-1,093.99
-527.22
-307.60
-897.70
-1,833.25
-171.75
-199.76
-96.25
-139.82
-193.56
Cash from Financing Activity
775.57
292.02
216.03
134.26
1,368.89
-236.76
-205.14
-201.73
-240.27
-319.28
Net Cash Inflow / Outflow
-18.12
503.10
-27.52
214.19
155.40
-27.37
19.20
-91.62
197.14
-15.24
Opening Cash & Equivalents
1,091.37
588.27
615.80
401.61
288.14
315.51
296.30
387.92
192.19
207.42
Closing Cash & Equivalent
1,073.25
1,091.37
588.27
615.80
443.53
288.14
315.51
296.30
389.33
192.19

Financial Ratios

Consolidated /

Standalone
Description
Mar 24
Mar 23
Mar 22
Mar 21
Mar 20
Mar 19
Mar 18
Mar 17
Mar 16
Mar 15
Book Value (Rs.)
999.25
1038.08
925.97
768.37
649.45
595.20
550.43
502.53
477.46
416.51
ROA
-4.09%
3.11%
8.37%
7.72%
4.15%
4.03%
4.21%
5.03%
4.78%
3.84%
ROE
-9.40%
6.78%
17.97%
16.46%
8.29%
7.62%
8.21%
9.91%
9.82%
8.61%
ROCE
-0.10%
9.32%
16.41%
15.38%
9.63%
10.06%
9.35%
10.27%
10.32%
8.97%
Fixed Asset Turnover
1.07
1.32
1.44
1.21
1.16
1.32
1.24
1.32
1.32
1.40
Receivable days
88.04
81.69
79.37
85.02
93.18
86.58
89.99
80.58
80.88
79.99
Inventory Days
55.82
50.18
40.03
39.21
39.64
35.70
36.97
33.36
34.68
33.75
Payable days
92.13
81.24
77.49
93.04
59.23
57.60
64.93
58.75
52.89
54.13
Cash Conversion Cycle
51.74
50.63
41.92
31.19
73.59
64.68
62.03
55.19
62.67
59.61
Total Debt/Equity
0.93
0.73
0.68
0.72
0.77
0.49
0.52
0.58
0.62
0.73
Interest Cover
-0.02
2.39
5.29
5.98
3.15
2.88
2.80
3.11
3.17
2.51

News Update:


  • Uflex introduces FSSAI-compliant single-pellet solution for food packaging
    20th Jun 2025, 16:14 PM

    Effective April 1, 2025, the new rules mandate that brands using category-1 rigid plastic packaging, such as PET bottles, incorporate at least 30 per cent recycled content by FY26

    Read More
  • Uflex’s arm incorporates step-down subsidiary in Azerbaijan
    19th Mar 2025, 10:59 AM

    The objective of incorporation to set up a facility for manufacturing BOPP Packaging Film in Azerbaijan

    Read More

Source: www.accordfintech.com | DISCLAIMER: Information is provided " as is" and solely for informational purposes, not for trading purposes or advice, and may be delayed.