MoneyWorks4Me

IFGL Refractories Ltd (IFGLEXPOR)

Share Analysis – Quality, Valuation Zone, Price Trend & DeciZen Rating BSE: 540774 NSE: IFGLEXPOR Refractories | Small Cap | IFGL Refractories Share Price

₹205.60 -7.15 (-3.36%)

As on 11-Sep'26 16:01

IFGL Refractories Ltd (IFGLEXPOR)

Share Analysis – Quality, Valuation Zone, Price Trend & DeciZen Rating BSE: 540774 NSE: IFGLEXPOR Refractories | Small Cap | IFGL Refractories Share Price

₹205.60 -7.15 (-3.36%)

As on 11-Sep'26 16:01

Key Metrics
Valuation Multiples
Market Cap
₹1,533 Cr.
Current Price
₹205.6
52-Week Low / High
₹120 / 340
TTM EPS
₹5.7
TTM Sales
₹1,953 Cr.
Book Value per Share
₹165.4
P/E Ratio
37.45
Higher than its 5-year historical median
Industry PE
56.3
Price to Book (P/B)
1.29
Lower than its 5-year historical median
Price to Sales (P/S)
0.79
Lower than its 5-year historical median
EV/EBITDA
11.43
In line with its 5-year historical median
Dividend Yield
1.05%
Profitability Efficiency
Return on Equity (ROE)
3.04%
Underperforms industry median
Return on Capital Employed (ROCE)
4.62%
Underperforms industry median
Return on Assets (ROA)
1.93%
Operating Profit Margin
7.2%
Net Profit Margin
1.83%
Gross Profit Margin
6.9%
Growth Momentum
1-yr vs 3-yr growth
Sales Growth (1 Year)
Improving versus 3-year growth rate
11.2%
Operating Profit Growth (1 Year)
Improving versus 3-year growth rate
5.65%
Net Profit Growth (1 Year)
Improving versus 3-year growth rate
-19.26%
Asset Quality
Promoter Holding
72.43%
Pledged shares (%) of Promoter's holding (%)
0.00%
Reserves
₹1,120 Cr.
Equity
₹72.1 Cr.
Face Value
₹10
All Time Low / High
₹32.05 / 467.75

IFGL Refractories stock performance

Key Ratios
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Check Before You Invest

Valuation

Fair

Price Trend

Semi Strong
Q.1 Is IFGL Refractories Ltd a good quality company?
IFGL Refractories Ltd is a weak quality company, based on a inconsistent multi-year financial track record.

This assessment is based on company’s performance on Revenue growth, ROCE, Equity and Assets, key margin ratios, cash conversion cycle, and debt to cash flow from operations and how it compares with its long term averages.

We have analysed the performance of the company on the following:

  • How has it performed on generating Profits?

    By checking its Revenue growth, Gross, Operating and Net Margins compared to its last 5-year median.

  • How efficiently has it utilized Capital?

    By checking its ROCE, ROA, ROE and its Cash Conversion Cycle.

  • How is it managing its Debt?

    By checking its Debt to Equity and Cash Flow from Operations.

How does IFGL Refractories Ltd performance compare with that of its Peers?
Q.1 Revenue growth of IFGL Refractories Ltd vs industry peers?
IFGL Refractories Ltd revenue CAGR is 11.32%, compared to the industry median CAGR of 4.42%, indicating faster growth and gaining its market share.
Q.1 Promoter shareholding and pledge status of IFGL Refractories Ltd?
Promoters hold 72.43% of the IFGL Refractories Ltd, with 0.00% of their stake pledged, indicating no pledge risk.
Q.1 Stock return of IFGL Refractories Ltd over the last decade?
Over the last 5 year(s), the stock has delivered a CAGR of 5.2% based on the current price.

10 Year X-Ray :

Analysis of Financial Track Record (Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end)

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end.

Financial track record gives insight into the company's performance on key parameters over the past ten years. MoneyWorks4me’s proprietary colour codes make it easy for retail investors to gauge the company’s past performance.
IFGL Refractories Ltd has not performed well majority of the past ten years indicating its past ten year financial track record is not good

Value Creation

Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26TTM
ROCE % 5.7%6.9%6.5%7.1%18.4%14.6%13.1%11.4%10.9%7.5%-
Value Creation
Index
-0.6-0.5-0.5-0.50.30.0-0.1-0.2-0.2-0.5-

Growth Parameters

Sales 3724434894996497878338939981,1091,131
Sales YoY Gr.-19.2%10.3%2%30.2%21.3%5.9%7.2%11.7%11.2%-
Adj EPS 30.123.64.26.38.78.68.985.85.5
YoY Gr.--93.3%79.1%15.3%52.8%37.5%-2%4.2%-10.3%-26.9%-
BVPS (₹) 757.567.970.271.377.681.386.391.896.398.2100.4
Adj Net
Profit
17.614.525.929.945.762.961.664.257.642.140
Cash Flow from Ops. -6.89.690.711990.99.863.411724.451.3-
Debt/CF from Ops. -10.59.40.70.30.47.71.70.95.82.5-

CAGR

9 Years 5 Years 3 Years 1 Years
Sales 12.9%11.3%10%11.2%
Adj EPS -16.7%-1.6%-11.9%-26.9%
BVPS-20.3%4.8%4.4%2%
Share Price - 4.5% -7% -14.6%

Key Financial Parameters

Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26TTM
Return on
Equity %
735.25.98.51110.2108.565.6
Op. Profit
Mgn %
13.914.414.714.321.415.114.81312.510.810
Net Profit
Mgn %
4.73.35.36787.47.25.83.83.5
Debt to
Equity
0.20.20.10.10.10.10.20.20.20.2-
Working Cap
Days
143248220172138154198213221233107
Cash Conv.
Cycle
66125128103778911110710711756

Valuation of IFGL Refractories - Consolidated

YTD 1Y 3Y 5Y 10Y Max
mw4me loader

YTD 1Y 3Y 5Y 10Y Max
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YTD 1Y 3Y 5Y 10Y Max
mw4me loader

YTD 1Y 3Y 5Y 10Y Max
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Analyst's Notes

data not found
No data found!

Management X-Ray

Shareholding Pattern

Promoter's Holding & Share Pledging

Pledged *0.000.000.000.000.000.000.000.000.000.00
* Pledged shares as % of Promoter's holding (%)

Financials

PARTICULARSMar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26
Sales7668359509171,0221,2601,3871,6391,6531,894
Operating Expenses + 6677398438268671,1261,2341,4851,5231,757
Manufacturing Costs5962818188115133150177193
Material Costs362421477459474615723831827989
Employee Cost 121127146150152174195250281325
Other Costs 125129138135153223183253239250
Operating Profit 999610892155133153154130137
Operating Profit Margin (%) 12.9%11.5%11.4%10.0%15.2%10.6%11.0%9.4%7.8%7.2%
Other Income + 414611212514191710
Exceptional Items 000-2100000-5
Interest 5444335111517
Depreciation 44444648495156647380
Profit Before Tax 55636430124104106986045
Tax 5151411592626161710
Profit After Tax 50475019667779824335
PAT Margin (%) 6.5%5.6%5.3%2.1%6.4%6.2%5.7%5.0%2.6%1.8%
Adjusted EPS (₹)85.76.57.02.79.110.811.011.36.04.8
Dividend Payout Ratio (%)1.20%15.30%17.90%46.30%55%32.60%31.90%30.90%58.70%44.70%
PARTICULARSMar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26

Equity and Liabilities

Shareholders Fund + 6537527958098909341,0051,0721,1071,175
Share Capital 3363636363636363672
Reserves 6507167597738548989691,0361,0711,103
Debt +7610685494884142139186179
Long Term Debt1421161412950594733
Short Term Debt6186693536759280140147
Minority Interest0000000000
Trade Payables117125124124155187186179236232
Others Liabilities 1085816429081206224233239
Total Liabilities 9531,0421,0191,0241,1841,2861,5391,6141,7631,825

Fixed Assets

Net Fixed Assets +471461454440416422500517593610
Gross Block6727037287597808319671,0401,1991,317
Accumulated Depreciation201241274318364409467523606707
CWIP 28672225461042741
Investments 1213469412813513212610568
Inventories94108157142168259302301405411
Trade Receivables228284229211228272350325359425
Cash Equivalents 56818811119112858726454
Others Assets 908540203245151169209216
Total Assets 9531,0421,0191,0241,1841,2861,5391,6141,7631,825
PARTICULARSMar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26
Cash Flow From Operating Activity + 2841109150139461522863
PBT 55636430124104106986045
Adjustment 57674774415747996791
Changes in Working Capital -64-731346-6-131-117-21-72-46
Tax Paid -20-16-15-0-19-25-29-23-27-27
Cash Flow From Investing Activity + -0-48-71-54-106-24-123-117-37-21
Capex -13-43-38-24-31-66-136-134-72-63
Net Investments 11-6-35-32-763810143242
Others 2123134331
Cash Flow From Financing Activity + -418-37-66-5-750-24-4-58
Net Proceeds from Shares 0000000000
Net Proceeds from Borrowing -97-5-4-3-3418-13-16
Interest Paid -5-4-4-3-2-3-5-10-13-16
Dividend Paid -1-9-9-220-36-25-25-25-25
Others 1024-18-37-03539347-1
Net Cash Flow 231123028-27-6711-13-15
PARTICULARSMar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23Mar'24Mar'25Mar'26
Ratios
ROE (%)7.666.716.532.437.728.498.177.863.943.04
ROCE (%)7.678.147.753.8514.1210.9410.179.125.844.62
Asset Turnover Ratio0.820.840.920.90.931.020.981.040.981.06
PAT to CFO Conversion(x)0.560.872.187.892.110.050.081.850.651.8
Working Capital Days
Receivable Days106.40111.5098.5087.4078.4072.5081.9075.1075.6075.60
Inventory Days43.6043.9050.9059.3055.3061.9073.9067.1077.9078.60
Payable Days117.80104.9095.6098.80107.50101.6094.3080.2091.6086.30

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IFGL Refractories Ltd FAQs

The current trading price of IFGL Refractories on 11-Sep-2026 16:01 is ₹205.6.

Market capitalization or market cap is determined by multiplying the current market price of a company's shares with the total number of shares outstanding. As of 10-Sep-2026 the market cap of IFGL Refractories stood at ₹1,533.5 Cr

The latest P/E ratio of IFGL Refractories as of 10-Sep-2026 is 38.45.

The latest P/B ratio of IFGL Refractories as of 10-Sep-2026 is 2.12.

The 52-week high of IFGL Refractories is ₹339.5 and the 52-week low is ₹120.1.

The TTM revenue is Trailing Twelve Months sales. The TTM revenue/sales of IFGL Refractories is ₹1,131 ( Cr.) .

Past 10 year’s financial track record analysis by Moneyworks4me indicates that IFGL Refractories Ltd is a below average quality company.

The key valuation ratios of IFGL Refractories Ltd's currently when compared to its past seem to suggest it is in the Fair zone.

The Price Trend analysis by MoneyWorks4Me indicates it is Semi Strong which suggest that the price of IFGL Refractories Ltd is likely to Rise-somewhat in the short term. However, please check the rating on Quality and Valuation before investing.

About IFGL Refractories Ltd

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