UPL Ltd.

609.15

9.5 (1.6%)stock indicator image for upward trend

As on July 29, 2026
SectorChemicals
IndustryFertilizers & Agrochemicals
Basic IndustryPesticides & Agrochemicals
Market Cap51,392 Cr
P/E Ratio26.78
Dividend Yield0.49 %
Trendline Performance

We are partnered with TradingView, a global leader in charting and market analysis. Access real-time stock data, explore the powerful Stock Screener , and uncover insights with multiple tools designed for traders.

This image for unlock stock of the monthUnlock Stock of the Month

T&C*

Company Information


Market Insights
Open602.2
High611.6
NSE SymbolUPL
Close609.15
Low602.2
BSE Symbol512070
Previous Years High/Low
1 Year High812.2
3 Year High812.2
5 Year High813.44
1 Year Low563.15
3 Year Low429.55
5 Year Low429.55

Technicals


IndicatorsValueSignal
5-DMA605.35Bullish
10-DMA610.23Bearish
20-DMA602.42Bullish
50-DMA612.51Bearish
100-DMA621.88Bearish
200-DMA678.16Bearish

Historical Performance


1 Year
-16.1%
3 Years
1.6%
5 Years
-22.5%
10 Years
52.4%

Shareholding Pattern


%

Values Analysis


Loading chart...

Profit & Loss

Below figures are in Rs. Crores


ParticularsMar-2026Mar-2025Mar-2024Mar-2023Mar-2022
Net Sales5,18,3904,66,3704,30,9805,35,7604,62,400
Total Expenditure4,25,6703,90,3703,85,5904,33,8003,67,260
Other Income6,6304,8604,8304,7702,960
Operating Profit99,35080,86050,2201,06,73098,100
Interest34,01036,27038,52029,63022,950
Depreciation32,44027,50027,63025,47023,590
Profit Before Tax31,5708,290-20,87051,50049,660
Consolidated Net Profit19,2208,970-12,00035,70036,260
Adjusted EPS2311-154645
Compounded Sales Growth
10 Years:29.8
5 Years:6
3 Years:-0.7
TTM:2.1
Compounded Profit Growth
10 Years:15.4
5 Years:-7.7
3 Years:-11.6
TTM:16.5
Stock Price CAGR
10 Years:4.3
5 Years:-4.7
3 Years:0.5
TTM:-15.6
Return on Equity
10 Years:21.8
5 Years:45.5
3 Years:-15.3
last year:22.7

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-2026Mar-2025Mar-2024Mar-2023Mar-2022
Share Capital1,6901,5901,5001,5001,530
Total Reserves3,45,2702,90,5402,46,3702,66,8802,15,020
Long-Term Borrowings---------------
Total Non-Current Liabilities1,52,5901,82,8502,43,8402,14,5002,63,050
Other Current Liabilities1,49,0001,21,36060,99090,46063,300
Short Term Borrowings15,92010,16042,33012,19041,170
Total Liabilities9,12,7608,46,8008,39,5108,59,1608,06,030
Capital Work in Progress9,9906,15011,06011,97011,840
Long Term Loans & Advances12,88012,1404,4204,7904,480
Currents Investments6,3403,2002,6104608,400
Short Term Loans and Advances35,89029,60029,38032,89029,980
Total Current Assets4,21,6203,96,1703,92,9904,19,8803,96,800
Total Assets9,12,7608,46,8008,39,5108,59,1608,06,030
Adjusted Book Value411367317343283
0%
Positive
(80 to 100)
Neutral
(60 to 79)
Negative
(0 to 59)
  • The stock has a high PE of 26.78, indicating expensive valuation or elevated growth expectations.
  • Over the last three years, the stock delivered a weak 3-year price CAGR of 0.5%, indicating poor shareholder returns.
  • The stock carries a high beta of 1.4, implying higher volatility and elevated risk.
  • In the last financial year, the company reported an EBITDA of ₹99350 million, reflecting positive operating performance.
  • In the previous financial year, the company generated revenue of ₹518390 million, indicating a large and established business.

Investment Calculator


Investment Amount: ₹ 1000000
Current Value: ₹ 843814.9
No. of Shares: 1385 (Approx)
Performance:-15.6%
-156185.1
NIFTY Performance: -2.4%
1 day Top Gainers
SymbolChange%
PCBL365.7(15%)
KAYNES3638.6(13%)
FSL293.58(12%)
SWIGGY287.34(7%)
HONAUT40105(7%)
1 Day Top Losers
SymbolChange%
J&KBANK154.63(-13%)
PHOENIXLTD1910.5(-6%)
SUMICHEM501.7(-5%)
PGHH8598.5(-4%)
CUB228.86(-4%)
SCHNEIDER1280.9(-4%)
ADANIPORTS1719.7(-3%)
GODREJAGRO560.35(-3%)

Top Performing Stocks from the same sector


Madhya Bharat Agro Products Ltd.

45.8%

164

1 Month Performance

Sikko Industries Ltd.

34.8%

5.11

1 Month Performance

Indogulf Cropsciences Ltd.

30.3%

77.63

1 Month Performance

Krishana Phoschem Ltd.

20.6%

164.55

1 Month Performance

Sumitomo Chemical India Ltd.

19.5%

501.7

1 Month Performance

Meghmani Organics Ltd.

16.7%

56.32

1 Month Performance

Paradeep Phosphates Ltd.

16.4%

156.54

1 Month Performance

Shivalik Rasayan Ltd.

15.4%

257.88

1 Month Performance

Get Your Portfolio Reviewed

Stock of the Month
Stock of the Month

Latest News

Stay Updated with Our Market Newsletters

Article Image: 8 Fundamental Indicators for Stocks in 2026

January 13, 2025 | 7 min read

8 Fundamental Indicators for Stocks in 2026

Article Image: How to Research Stocks Like a Pro: Tools and Resources

October 31, 2024 | 4 min read

How to Research Stocks Like a Pro: Tools and Resources

Article Image: 8 Common Investment Jargons You Should Know

January 1, 2021 | 2 min read

8 Common Investment Jargons You Should Know

Article Image: Stock Market for Beginners: 10 Tips to Keep in Mind

November 25, 2024 | 8 min read

Stock Market for Beginners: 10 Tips to Keep in Mind

Article Image: How to Choose the Right Stocks: The Ultimate Guide

November 15, 2024 | 4 min read

How to Choose the Right Stocks: The Ultimate Guide

Article Image: The Role of Stock Market Advisory in Maximizing Returns

December 19, 2024 | 3 min read

The Role of Stock Market Advisory in Maximizing Returns