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Ugro Capital Ltd.

UGROCAP

95.29
+2.69 (+2.90% ) 1D

Ugro Capital Ltd. Share Price

95.29 +2.69 (+2.90%)
Full Screen
UGRO Capital is registered under Section 45-IA of the Reserve Bank of India Act, 1934 vide Certificate of registration bearing ref. no. 13.00325 as non-deposit taking Non-Banking Financial Company (‘NBFC-ND’) classified as NBFC - Middle Layer under the ‘Reserve Bank of India (Non-Banking Financial Companies - Registration, Exemptions and Framework for Scale Based Regulation) dated November 28, 2025, issued by the Reserve Bank of India (“RBI”). The Company is also registered under Registration of Factors (Reserve Bank) Regulations, 2022 dated January 14, 2022, as NBFC - Factor, vide Certificate of registration bearing ref. no. N-13.02475 dated January 9, 2024, issued by RBI, authorizing the Company to commence and carry out the factoring business. The Company is engaged in the business of lending and primarily deals in financing MSME sector with focus on Healthcare, Education, Chemicals, Food Processing/FMCG, Hospitality, Electrical Equipment & Components, Auto Components, and Light Engineering.

Fundamentals

Market Cap

₹1,480Cr

EPS

₹8.58

Book Value/Share

₹183.35

P/E Ratio (TTM)

6.80

Industry P/E (TTM)

25.77

P/B Ratio

0.50

Long Term D/E

3.73

ROE

7.05%

Dividend Yield (TTM)

0.00%

CrispAnalysis

Overview

Key stock indicators that show how well a company is doing, making it easier to understand its true value and performance.

Interpretations Icon

Huge Underperformer

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Highly Undervalued

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Poor Quality

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Low Price Fluctuation

Disclosure and Disclaimer

Shareholding Pattern

Shareholding pattern shows how a company’s shares (ownership) are distributed among different shareholding entities like promoters, Foreign Institutional Investors (FIIs), Domestic Institutional Investors (DIIs), and retail investors, among others. Changes in the shareholding pattern can indicate the performance outlook of a stock.

FAQs on Ugro Capital Ltd.

Earnings Per Share

Earnings per share (EPS) measures the profit earned by a company for each of its outstanding shares. Generally, the higher a company’s EPS is, the more profitable it is considered to be.

Income Statement

Also called a profit and loss statement, an income statement shows a company’s income, expenses, and how much profit or loss it has made over a specific accounting period. It provides a clear view of how well the business is running.

Particulars (in Cr)Mar 2026Q/Q Change
Operating Revenue487.96+19.34%
Other Income21.09-46.54%
Total Income509.05+13.54%
Total Expenditure141.25+10.23%
EBIDT311.16+19.57%
Depreciation27.39+95.78%
Interest242.07+2.33%
Tax12.14+266.77%
Net Profit29.55+363.17%

Balance Sheet

A balance sheet is a financial statement that details a company’s assets, liabilities, and shareholders’ equity at a given time. It helps assess how financially strong and stable the company is.

Particulars (in Cr)Mar 2026
Total Current Assets11,998.59
Total Non-Current Assets347.51
Fixed assets143.09
Total Assets12,346.10
Total Current liabilities9,316.72
Total Non Current Liabilities184.66
Total Equity Plus Liabilities12,346.10
Total Shareholder Funds2,844.71
Total Debt to Equity324.00%

Cash Flow

Cash flow highlights the cash or cash equivalents moving in and out of a company during a particular period. It provides a clear picture of how well a company manages its cash by tracking its operating, investing and financing activities.

Particulars (in Cr)Mar 2026
Cash from Operating Activity-347.93
Cash from Financing Activities2,946.55
Cash from Investing Activities-1,576.73
Net Cash Flow1,021.90

Time Period: Daily

SMA/EMA (Moving Average) Analysis

Bullish Moving Averages5

Bearish Moving Averages11

5 Day

93.80

10 Day

94.00

20 Day

96.20

30 Day

99.20

50 Day

99.80

100 Day

111.70

150 Day

132.20

200 Day

143.20

Indicators

Indicators
Technical indicators use historical price and volume data to help predict future price movements.

RSI (14)

44.65

MACD (12, 26)

-2.27

MACD Signal Line (9)

-2.28

MFI (14)

23.77

ATR (14)

3.37

ADX (14)

18.80

ROC (21)

-4.07

ROC (125)

-44.00

Pivot Analysis

Pivot analysis uses a special price point, called the pivot point, to show the overall market trend during different periods. This pivot point is the average of the previous day’s high, low, and closing prices of a specific asset.

TypeR1R2R3PPS1S2S3
Classic96.3397.3698.9894.7193.6892.0691.03

Note: Support and Resistance level for the day, calculated based on price range of the previous trading day.

Volume Analysis

Volume analysis tracks how many shares were traded for a specific period. Total traded volume represents the overall number of shares traded, while combined delivery volume indicates only those shares which are delivered (transferred for ownership). Delivered shares indicate long-term investor interest.

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Ugro Capital Ltd.

UGROCAP

95.29
+2.69 (+2.90% ) 1D

Open Price

93.10

Prev Close

92.60

Upper Circuit

114.34

Lower Circuit

76.24

Volume

86,558

Average Traded Price

94.28
93.10Today's Low
95.75Today's High
80.1252W Low
192.5052W High

Historical Performance

1 DayNA
5 DaysNA
1 MonthNA
3 MonthsNA
1 YearNA
5 YearsNA
10 YearsNA
Trademarks owned by their respective owners are shown here only for ease of recall of the respective owner by public.