₹65.5
+1.6% today
· 30d -0.76%
as of 2026-09-04
Price · Daily Candles
“DIIs step up as promoter stake shrinks, signaling flux in Paracables' ownership.”
Paracables, a Communication Equipment player, saw its DII stake increase by 4.0% QoQ to 4.11% as of Q1 2027, while promoter holding dropped by 3.3% to 45.88%. The company reported a Q4 FY26 revenue growth of 13.07% YoY to ₹573.0 Cr and a net profit growth of 9.51% to ₹21.0 Cr, yet its annual net profit for FY26 decreased by 31.3% YoY to ₹60.0 Cr, despite a 21.44% revenue increase.
BULL CASE
+Q4 FY26 revenue increased 13.07% YoY to ₹573.0 Cr.
+Q4 FY26 net profit rose 9.51% YoY to ₹21.0 Cr.
+The stock has seen significant price appreciation, up 98.72% in the last 3 months and 64.1% in the last 6 months.
+Annual revenue for FY26 grew 21.44% YoY to ₹1913.0 Cr.
+DII shareholding surged by 4.0% QoQ, reaching 4.11% in Q1 FY27.
BEAR CASE
−Annual net profit fell sharply by 31.3% YoY to ₹60.0 Cr in FY26.
−Promoter shareholding decreased by 3.3% QoQ to 45.88% in Q1 FY27.
−The stock is trading 14.0% off its 52-week high of ₹75.7.
−ML predictions for FCF growth show a weak outlook, with 'fcf_1y_rolling_4y' ranked at 0.018 and 'fcf_1y_stable_7y' at 0.0.
−Company is free-cash-flow negative, with current FCF at -₹91.0 Cr, translating to a -4.28% FCF yield.
⟳ What Changed
₹ Latest Earnings · Q ending 2026-03-31
REVENUE
₹573 Cr
+13.07% YoY
NET PROFIT
₹21 Cr
+9.51% YoY
OPM
6.66%
+0.07pp YoY
EPS
₹0.67
PE 36.06
Intrinsic value · DCF: N/A — Company is currently free-cash-flow negative (-4.5% 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
Paracables’ PE of 36.06 is lower than sector peers like ITI (118.32) and STLTECH (484.67), while its ROCE of 16.0% lags market leader TEJASNET (30.79%).
PEERPEROCE %
PARACABLES36.0616.0
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ML Forward Growth Predictions 🔒
50
SCORE / 100
Overall
6-axis composite of the sections below.
Performance
STRONG
90
Valuation
FAIR
40
Growth
STEADY
53
Profitability
DECENT
55
Technicals
NEUTRAL
55
Risk
HIGH
10
Key Stats
TTM PE
36.06
P/B
2.63
52W HIGH
₹75.7
OFF HIGH
-13.47%
MKT CAP
₹2003 Cr
◉ Active Signals
MACDNeutral0.3176
RSI(14)Neutral54.02
⧉ Strategy Fit 🔒