info iconCurrently, the share price for Gujarat State Petronet Ltd. is delayed.

close icon
Gujarat State Petronet Ltd. Logo

Gujarat State Petronet Ltd.

₹274.15
NSE
--   ( -- %) 1D



Earnings Per Share

Earnings Per Share (EPS) is calculated by dividing a company’s net income by its average number of outstanding shares.
Created with Highcharts 7.2.2EPSEPSDec 2023Mar 2024Jun 2024Sep 2024Dec 2024102.557.5

Income Statement

Also called a Profit & Loss statement, an Income Statement shows how a company has performed financially over a specific accounting period. It focuses on revenue, expenses, profits, and losses.
Created with Highcharts 7.2.2RevenueNet IncomeProfit Margin01.5 K3.0 K4.5 K6.0 K0%3%6%9%12%
Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
Particulars (In Cr)Dec 2024Y/Y Change
Operating Revenue4,360.47+9.23%
Other Income96.09+27.04%
Total Income4,456.56+9.56%
Total Expenditure3,787.32+15.28%
EBIDT669.24-14.45%
Depreciation179.28+0.27%
Interest9.54+12.77%
Tax124.66-18.85%
Net Profit234.14-16.87%

Balance Sheet

A financial statement that provides details about a company’s assets, liabilities, and shareholders’ equity at a given point in time.
Created with Highcharts 7.2.2Total AssetsTotal LiabilitiesTotal Debt to Equity06.0 K12.0 K18.0 K24.0 K0%15%30%45%60%
Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Total Current Assets4,010.80+27.91%
Total Non-Current Assets15,045.05+6.10%
Fixed assets12,458.68+4.79%
Total assets19,055.84+10.05%
Total Current Liabilities3,025.14+0.23%
Total Non-Current Liabilities1,648.06+2.40%
Total Capital Plus Liabilities19,055.84+10.05%
Total Shareholder Funds10,824.87+14.56%
Total Debt to Equity0.00--

Cash Flow

The net amount of cash or cash equivalents being transferred in and out of a company for a specified period of time. Cashflow stems from operating, investing and financing activities.
Created with Highcharts 7.2.2OperatingInvestingFinancing-4.0 K-2.0 K02.0 K4.0 K
Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Cash from Operating Activity2,803.40-16.07%
Cash from Financing Activities-547.33-31.97%
Cash from Investing Activities-2,142.20+18.00%
Net Cash Flow113.87-84.18%

Shareholding Pattern

It represents how the shares of a company are distributed among different shareholding entities such as FIIs (Foreign Institutional Investors), DIIs (Domestic Institutional Investors), Promoters, Retail Investors, etc. A change in their holdings can indicate performance outlook for the stock.
Created with Highcharts 7.2.2PromoterDIIFIIPublic
37.6% (0.00%)
27.8% (-7.10%)
14.7% (-0.50%)
19.9% (7.60%)
Trademarks owned by their respective owners and shown here only for ease of recall of the respective owner by public.Disclaimer