Gujarat Peanut & Agri Products Ltd (544548)

Services · Trading · NSE · Updated 2 September 2026
By StockFin Research Team AI-Assisted Analysis Source: BSE/NSE Filings
₹80.5

🎯 Key Takeaways

  • Gujarat Peanut & Agri Products Ltd appears to be a mature, promoter-controlled entity operating in the agri-trading space with minimal institutional interest, characterized by stable but modest financials and a conservative capital structure. The company maintains a low-debt profile and consistent promoter holding, suggesting limited growth ambitions or capital reinvestment needs.
  • ⚠️ 1) Overreliance on promoter control with no institutional validation may limit strategic agility and market credibility. 2) Absence of FII/DII interes
Market Cap
₹83
P/B Ratio
4.28
Debt/Equity
2.01
Promoter
71.0%

📖 The Story

Gujarat Peanut & Agri Products Ltd appears to be a mature, promoter-controlled entity operating in the agri-trading space with minimal institutional interest, characterized by stable but modest financials and a conservative capital structure. The company maintains a low-debt profile and consistent promoter holding, suggesting limited growth ambitions or capital reinvestment needs. Its narrative centers on operational continuity rather than transformation, with recent focus on governance and shareholder processes rather than strategic expansion.

📰 What's Happening

The most recent board meeting on September 2, 2026 approved the FY2025-26 annual report and set the AGM date, alongside appointing a scrutinizer for voting oversight — indicating routine governance updates rather than operational developments. There are no disclosed new business orders, capacity expansions, or strategic initiatives in the filings. Management has not announced any new product lines, partnerships, or geographic expansions in the reviewed period, with disclosures remaining focused on compliance and shareholder procedures.

Source: Stock Announcements

🔮 Management Outlook & What's Next

Management has not provided forward-looking guidance or strategic commentary in the reviewed filings, with recent disclosures limited to procedural updates around financial reporting and shareholder meetings. There is no public commentary on future revenue expectations, margin targets, or operational improvements, implying a lack of proactive growth signaling or strategic vision beyond maintenance of existing operations.

Extracted from official company announcements. Not StockFin.ai's opinion.

🏦 Balance Sheet (₹ Cr)

ItemMar 2025Mar 2026Mar 2026
Equity Capital71010
Reserves123640
Borrowings393940
Total Liabilities127141122
Fixed Assets334
Investments000
Total Assets127141122

The balance sheet indicates a stable capital structure with no aggressive reinvestment or deleveraging activity — assets are contracting slightly while liabilities remain steady, and equity is minimal relative to reserves, pointing to conservative accounting and limited retained earnings growth. The consistent promoter stake and absence of new debt suggest no immediate capital expenditure plans, reinforcing a low-risk but potentially stagnant financial posture.

💰 Cash Flow Statement (₹ Cr)

ItemMar 2025
Operating+7
Investing-0
Financing-7
Net Cash Flow+0

👥 Shareholding Pattern

CategoryQ3FY26Q4FY26Q1FY27
Promoters71.0%71.0%71.0%
FII0.0%0.0%0.0%
DII0.0%0.0%0.0%
Public24.3%24.5%23.1%
# Shareholders405423433

Promoter holding remains firmly at 71% with no signs of erosion, while institutional (FII/DII) ownership is entirely absent, signaling limited investor confidence or interest. The growing number of public shareholders (from 405 to 433) without corresponding institutional inflows may reflect retail dispersion rather than conviction, raising concerns about liquidity and market depth despite stable promoter control.

⚖️ Peer Comparison — Trading

Company MCap (₹ Cr) P/E ROCE ROE D/E
ADANIENT 3.88 L Cr 44.4 10.9% 9.1% 1.09
PREMIERENE 46,028 27.3 50.0% 59.3% 0.67
AEGISLOG 42,841 34.2 24.6% 24.4% 0.40
REDINGTON 27,307 16.1 18.4% 14.8% 0.26
HONASA 15,413 61.8 28.3% 21.1% 0.00
504346 11,409 -24.9% -47.5% 0.73
LLOYDSENT 10,901 35.5 7.0% 5.7% 0.17
SGMART 10,525 84.6 11.2% 7.8% 0.14
MMTC 9,344 20.9 42.4% 26.3% 0.00
EBGNG 7,412 52.6 31.3% 62.9% 1.92

⚠️ Risk Factors

1) Overreliance on promoter control with no institutional validation may limit strategic agility and market credibility. 2) Absence of FII/DII interest and stagnant public float could hinder valuation discovery and exit opportunities. 3) No disclosed growth initiatives or forward guidance increases uncertainty around future relevance. 4) Minimal cash flow activity suggests potential operational stagnation or vulnerability to commodity or demand shocks in the agri-trading segment.

🧠 Analyst's Read

The company operates as a quiet, promoter-held agri-trading entity with no visible catalysts or growth trajectory, making it a niche holding for passive investors but lacking appeal for active or institutional capital. Key next steps to watch include any future strategic announcements, changes in shareholder structure, or shifts in capital allocation policy that might signal evolving business intent.

Based on filing content and financial data. Not a recommendation.

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Data sourced from stock announcements. Analysis generated by StockFin.ai.
For informational purposes only — not investment advice. Updated 2026-09-02.

Editorial & Data Transparency Notice

This analysis was programmatically compiled using StockFin AI utilizing official regulatory disclosures from the BSE and NSE. Content is automatically synthesized and audited against public financial filings. StockFin.ai is an educational research platform and is NOT a SEBI-registered investment advisor or research analyst.

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