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Earnings Call

Pondy Oxides & Chemicals Earnings Call: Key Takeaways

POCL delivered record FY26 results with Revenue up 45%, EBITDA more than doubling, and PAT up 113%. Strategy focuses on high-margin value-added lead and copper products.

Why this was an Alfa AlertManagement achieved nearly 11x growth in copper sales to ₹673cr and guided continued aggressive volume expansion (>20% CAGR target).
Highlights
Revenue growth45% YoY for FY26; 80% YoY for Q4 FY26.
MarginsEBITDA margin up to 7.4%; targeting >8% long-term.
Demand visibilityStrong; copper consumption expected to 3x in next 3-4 years.
Management confidenceHigh; citing 'most remarkable year' and execution excellence.

Growth

FY26 Revenue ₹2,939cr (+45% YoY); PAT ₹139cr (+113%); EBITDA margins expanded 212 bps to 7.4%.

Outlook

Targeting 20% CAGR through 2030; ₹180-200cr FY27 capex for new 36k MT copper cathode plant.

Risks

Copper price volatility and geopolitical shipping delays impacting working capital cycle and short-term inventory days.

Source

Earnings Call filed with NSE, NSE: POCL. Summary written with AI assistance from the document.

Read the document ↗

Pondy Oxides & Chemicals Limited: key numbers

Share price
₹448.90
Market cap
₹3,424 Cr
Revenue (annual)
₹2,958 Cr
Net profit (annual)
₹131.9 Cr
P/E (TTM)
24.0×Sector 18.4×
Promoter holding
36.39%-2.95% QoQ
FII holding
3.14%Current quarter

Reference market data from a third-party provider, updated daily. Not a valuation or a recommendation.

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