₹568.25
+3.33% today
· 30d +12.58%
as of 2026-09-04
Price · Daily Candles
“IGPL's Q4 Profit Soars 48%, Outshining Stalled Annual Growth as DIIs Upped Stake.”
IGPL's latest quarterly results show a significant turnaround with net profit jumping 48.06% YoY to ₹28 Cr, despite annual net profit for 2026 falling by 97.96% to ₹2 Cr. The stock currently trades at a high PE of 610.28x, with a low ROCE of 3.0%, indicating questions surround its valuation relative to its recent performance.
BULL CASE
+Net profit recorded a substantial 48.06% YoY increase in Q4 2026, reaching ₹28 Cr.
+Quarterly revenue grew 9.21% YoY to ₹524 Cr, demonstrating short-term operational strength.
+DIIs increased their shareholding by 0.25% quarter-over-quarter, holding 1.46% in Q4 2026.
+The stock is trading 16.49% off its 52-week high of ₹519.8, potentially offering a discount.
BEAR CASE
−Annual net profit for 2026 plummeted 97.96% YoY to just ₹2 Cr, a sharp decline from 2025.
−Annual revenue for 2026 decreased by 12.75% YoY to ₹1925 Cr.
−The TTM PE ratio stands exceptionally high at 610.28x, significantly above most sector peers.
−Return on Capital Employed (ROCE) is low at 3.0%, indicating inefficient capital utilization.
−ML predictions for FCF growth across recent, rolling, and stable periods are consistently weak, with ranks of 0.128, 0.157, and 0.0 respectively.
⟳ What Changed
₹ Latest Earnings · Q ending 2026-06-30
REVENUE
₹618 Cr
+31.43% YoY
NET PROFIT
₹66 Cr
OPM
19.02%
+17.08pp YoY
EPS
₹21.57
PE 610.28
Intrinsic value · DCF: N/A — Company is currently free-cash-flow negative (-3.5% of mktcap). DCF assumes a going concern generating positive cash flow; a meaningful intrinsic value can only be computed once FCF turns positive. Use the Strategy Fit and ML sections instead.
◇ Sector Position
IGPL's PE of 610.28x and ROCE of 3.0% position it as an outlier when compared to peers like DEEPAKNTR (PE 33.79x, ROCE 17.38%) and NAVINFLUOR (PE 57.16x, ROCE 14.75%).
PEERPEROCE %
IGPL610.283.0
+ 2 more peers — sign in to view
ML Forward Growth Predictions 🔒
47
SCORE / 100
Overall
6-axis composite of the sections below.
Performance
STRONG
90
Valuation
STRETCHED
5
Growth
DECLINING
21
Profitability
DECENT
52
Technicals
NEUTRAL
65
Risk
MODERATE
50
Key Stats
TTM PE
610.28
P/B
1.0
52W HIGH
₹572.0
OFF HIGH
-0.66%
DIV YIELD
2.25%
MKT CAP
₹1747 Cr
◉ Active Signals
MACDBullish6.5667
RSI(14)Bearish73.47
Near 52W HighBullish-0.66
Street Consensus
1 analyst₹501.0
mean target
Low ₹501.0Now ₹568.25High ₹501.0
⧉ Strategy Fit 🔒