Pudumjee Paper Products Limited (PDMJEPAPER)
ISIN: INE865T01018 Industry: Paper & Paper Products Sector: Basic Materials Website
48.75
-0.1(-0.2%)

Pudumjee Paper Products Limited manufactures and markets paper products in India. The company operates through Paper and Hygiene Products segments. It offers facial, napkin, bathroom/toilet, toweling, and diaper tissues; absorbent kraft, barrier, overlay, print base, and shuttering base paper products; bake oven, grease proof, grease proof slip easy, TDL poster, vegetable parchment, wet strength grease proof, solid bag, and solid wrap paper products; Bible printing, medical, opaque laminating base (OLB) pharma, yellow interleaving, and SIRIPAC paper products; and glassine, super white glassine, S.W. glassine, OLB, and super calendared kraft/release base paper products. The company also provides absorbent porous kraft, anti-rust tissue, melamine transfer, carbon base, packing tissue, parchmentine, and saturating base paper products; and band roll and MICR cheque papers, as well as thin printing paper products. In addition, it markets and distributes hygiene products, such as bathroom rolls, kitchen towels, napkins, dispensers, sanitizers, disinfectants, hand wash soaps, etc. hygiene products under the Greenlime and Chef Smartr brand names for hotels, airports, corporate offices, professional chefs, restaurants, caterings, and facility managers. The company also exports its products. Pudumjee Paper Products Limited was incorporated in 2015 and is based in Mumbai, India.

Pricing Updates

TODAY'S HIGH

49.95

TODAY'S LOW

48.4

52 WEEK HIGH

55.5

52 WEEK LOW

31.2

Major Holders

% of Shares Held by
All Insider

71.19%

% of Shares Held by
Institutions

0.00%

% of Float Held by
Institutions

0.00%

Number of Institutions
Holding Shares

0

Company Overview

MARKET CAP

462.88 Cr.

ETERPRISE VALUE

473.18 Cr.

NO. OF SHARES

9.49 Cr.

BOOK VALUE

39.396

DIV. YIELD

0.2%

DEBT

55.30 Cr.

GROSS PROFIT

161.15 Cr.

CASH

43.84 Cr.

REVENUE

712.15 Cr.

REVENUE/SHARE

75.043

OHLC Chart 1y 2y 5y 10y

Price Chart

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Cashflows

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Investments40.41 Cr.-52.36 Cr.-29.26 Cr.-3.51 Cr.
Change To Liabilities1.35 Cr.25.48 Cr.6.96 Cr.7.78 Cr.
Total cashflows from Investing Activities-27.89 Cr.-49.59 Cr.-31.03 Cr.-21.18 Cr.
Net Borrowings16.59 Cr.-26.18 Cr.-9.89 Cr.18.66 Cr.
Total Cash from Financing Activities8.80 Cr.-32.50 Cr.-20.74 Cr.7.14 Cr.
Other Liabilities0004.37 Cr.
Total Assets0000
Net Income34.53 Cr.30.03 Cr.27.21 Cr.16.74 Cr.
Change in Cash-1.71 Cr.3.83 Cr.49.61 Lakhs-20.94 Lakhs
Effect of Exchange Rate0000
Total Cash from Operating Activities17.38 Cr.85.93 Cr.52.27 Cr.13.82 Cr.
Depreciation11.15 Cr.10.37 Cr.11.32 Cr.7.25 Cr.
Other Cashflows from Investing Activities2.48 Cr.6.14 Cr.5.06 Cr.3.11 Cr.
Dividends Paid-2.85 Cr.-2.85 Cr.-3.32 Cr.-1.42 Cr.
Change to Inventory-41.14 Cr.11.23 Cr.2.64 Cr.-26.35 Cr.
Change to Account Receivables3.05 Cr.8.02 Cr.-4.64 Cr.-5.10 Cr.
Other Cashflows from Financing Activities-4.94 Cr.-6.31 Cr.-7.52 Cr.-10.09 Cr.
Change to Net Income8.44 Cr.70.36 Lakhs8.70 Cr.9.13 Cr.
Capital Expenditures-70.90 Cr.-3.50 Cr.-7.55 Cr.-21.10 Cr.

Financials

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax46 Cr.34.69 Cr.41.05 Cr.25.62 Cr.
Minority InterestNoneNoneNoneNone
Net Income57.88 Cr.56.51 Cr.48.68 Cr.34.25 Cr.
Selling General Administrative54.73 Cr.49.16 Cr.51.39 Cr.51.93 Cr.
Gross Profit170.96 Cr.139.40 Cr.146.20 Cr.125.80 Cr.
Ebit57.88 Cr.56.51 Cr.48.68 Cr.34.25 Cr.
Operating Income57.88 Cr.56.51 Cr.48.68 Cr.34.25 Cr.
Other Operating Expenses47.20 Cr.23.28 Cr.34.72 Cr.32.36 Cr.
Interest Expense-4.94 Cr.-5.03 Cr.-5.72 Cr.-5.83 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense11.47 Cr.4.66 Cr.13.83 Cr.8.87 Cr.
Total Revenue555.26 Cr.436.88 Cr.604.48 Cr.589.52 Cr.
Total Operating Expenses497.38 Cr.380.36 Cr.555.79 Cr.555.26 Cr.
Cost of Revenue384.30 Cr.297.47 Cr.458.28 Cr.463.71 Cr.
Total Other Income Expense Net-11.88 Cr.-21.81 Cr.-7.63 Cr.-8.63 Cr.
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.34.53 Cr.30.03 Cr.27.21 Cr.16.74 Cr.
Net Income Applicable to Common Shares34.53 Cr.30.03 Cr.27.21 Cr.16.74 Cr.

Balance Sheet

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Intangible Assets43 Lakhs47.46 Lakhs56.73 Lakhs35.58 Lakhs
Capital Surplus095 Lakhs95 Lakhs95 Lakhs
Total Liabilities254.40 Cr.237.31 Cr.235.94 Cr.225.86 Cr.
Stock Holder Equity342.70 Cr.310.49 Cr.279.95 Cr.258.08 Cr.
Minority Interest0000
Other Liabilities19.23 Cr.12.49 Cr.12.85 Cr.11.88 Cr.
Total Assets597.10 Cr.547.80 Cr.515.90 Cr.483.95 Cr.
Common Stock9.50 Cr.9.49 Cr.9.49 Cr.9.49 Cr.
Retained Earnings0120.59 Cr.90.05 Cr.68.18 Cr.
Other Liabilities74.96 Cr.76.79 Cr.50.54 Cr.36.34 Cr.
Good Will64.25 Cr.77.93 Cr.77.93 Cr.77.93 Cr.
Treasury Stock333.20 Cr.179.45 Cr.179.45 Cr.179.45 Cr.
Other Assets25 Lakhs16.93 Cr.16.80 Cr.17.38 Cr.
Cash8.32 Cr.7.74 Cr.3.90 Cr.3.41 Cr.
Current Liabilities119.29 Cr.136.74 Cr.136.85 Cr.120.54 Cr.
Long Term Asset Charges0000
Short Long Term Debt14.58 Cr.31 Cr.19.75 Cr.11.09 Cr.
Other Stockholder Equity333.20 Cr.179.45 Cr.179.45 Cr.179.45 Cr.
Property Plant Equipment238.37 Cr.177.21 Cr.180.88 Cr.179.83 Cr.
Total Cur. Assets264.19 Cr.269.28 Cr.237.25 Cr.208.40 Cr.
Long Term Investments29.61 Cr.5.96 Cr.2.44 Cr.4.75 Lakhs
Net Tangible Assets278.02 Cr.232.09 Cr.201.45 Cr.179.80 Cr.
Short Term Investments40.64 Cr.101.75 Cr.51.53 Cr.24.69 Cr.
Net Receivables76.47 Cr.66.32 Cr.75.02 Cr.70.15 Cr.
Long Term Debt54.39 Cr.18.02 Cr.44.64 Cr.68.97 Cr.
Inventory121.83 Cr.80.69 Cr.91.92 Cr.94.57 Cr.
Accounts Payable80.69 Cr.82.52 Cr.81.99 Cr.82.84 Cr.

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