Ugro Capital Ltd.

97.82

0.3 (0.3%)stock indicator image for upward trend

UGROCAP Share Price
As on July 3, 2026
SectorFinancial Services
IndustryFinance
Basic IndustryNon Banking Financial Company (NBFC)
Market Cap1,498 Cr
P/E Ratio13.19
Dividend YieldN/A
Trendline Performance

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T&C*

Company Information


Market Insights
Open98.69
High99.07
NSE SymbolUGROCAP
Close97.82
Low95.71
BSE Symbol511742
Previous Years High/Low
1 Year High192.5
3 Year High312.7
5 Year High312.7
1 Year Low80.12
3 Year Low80.12
5 Year Low80.12

Technicals


IndicatorsValueSignal
5-DMA97.48Bullish
10-DMA98.06Bearish
20-DMA96.88Bullish
50-DMA99.97Bearish
100-DMA104.44Bearish
200-DMA137.86Bearish

Historical Performance


1 Year
-44%
3 Years
-56.9%
5 Years
N/A
10 Years
N/A

Shareholding Pattern


%

Values Analysis


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Profit & Loss

Below figures are in Rs. Crores


ParticularsMar-2026
Other Income842
Operating Profit12,681
Interest9,543
Depreciation703
Profit Before Tax2,435
Consolidated Net Profit1,748
Adjusted EPS11
Compounded Sales Growth
10 Years:370.3
5 Years:63.8
3 Years:21.9
TTM:4.8
Compounded Profit Growth
10 Years:106.9
5 Years:31.6
3 Years:23.3
TTM:-4.7
Stock Price CAGR
10 Years:N/A
5 Years:N/A
3 Years:-24.3
TTM:-45.3
Return on Equity
10 Years:4.1
5 Years:2
3 Years:12.8
last year:7.4

Quarterly Results

Below figures are in Rs. Crores


ParticularsSep-2024Dec-2024Mar-2025Jul-2025Sep-2025
Sales1,70,7541,35,9361,28,5521,22,1891,05,161
Expenses63,04256,55752,45745,45934,856
Operating Profit1,07,71279,37976,09676,73070,304
OPM %63%58%59%63%67%
Other Income33,91231,75927,33324,87918,947
Interest77,78058,58459,24862,13753,713
Depreciation2,3451,6811,3851,2771,221
Profit Before Tax61,49850,87342,79638,19534,318
Tax %25%25%26%29%35%
Net Profit46,14938,15131,85727,29622,446
EPS in Rs8369585042

Balance Sheet

Below figures are in Rs. Crores


ParticularsMar-2026
Share Capital1,528
Total Reserves27,397
Minority Interest---
Total Non-Current Liabilities66,324
Total Liabilities1,41,710
Capital Work in Progress---
Total Assets1,41,710
0%
Positive
(80 to 100)
Neutral
(60 to 79)
Negative
(0 to 59)
  • The stock has a moderate PE of 13.19, suggesting fair valuation relative to earnings.
  • Over the last three years, the stock delivered a weak 3-year price CAGR of -24.3%, indicating poor shareholder returns.
  • The stock carries a high beta of 1.6, implying higher volatility and elevated risk.
  • In the last financial year, the company reported an EBITDA of ₹11315 million, reflecting positive operating performance.
  • In the previous financial year, the company generated revenue of ₹17662 million, indicating a large and established business.

Investment Calculator


Investment Amount: ₹ 1000000
Current Value: ₹ 528985.5
No. of Shares: 5408 (Approx)
Performance:-47.1%
P/L: ₹-471014.5
NIFTY Performance: -4.7%
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