TrueCAGR

APL Apollo Tubes Limited

NSE: APLAPOLLOBSE: 533758ISIN INE702C01027Face value ₹2consolidated
₹2,120
−2.80% · 2026-10-01 · 52-wk ₹1,698–₹2,281
Financials to FY2026 · 8 years of history · prices to 2026-10-01consolidatedstandalone
Section 02 · Synthesis

What stands out?

The strongest observations the engine found, ranked. Every line is generated from the filed numbers by a fixed rule — no opinion, no estimate.

StrengthConcernWatchContext
StrengthTalking point

Profit outpacing revenue

Profit grew 58.9% while revenue grew 11.5%, so the company kept more of each rupee of revenue as profit.

Net profit growth+58.9%Revenue growth+11.5%

Importance 72 / 95 · growth

StrengthTalking point

Debt reduced

Total debt is down from ₹710 to ₹452 over 7 years (36.3% lower); debt-to-equity moved 0.74× → 0.09×.

Importance 58 / 95 · financial health

StrengthTalking point

Book value compounding

Net worth compounded at 27.6% a year over 7 years (₹964 → ₹5,297) — though FY2020 saw a one-off step-change of 51% (a merger, restructuring or a recovery off a low base), so the compounding is uneven.

Importance 52 / 95 · financial health

Section 03 · The company

Who is this company?

Classified by the exchange under Industrials › Capital Goods › Industrial Products › Iron & Steel Products.

Market cap
₹58,870 cr
FY2026 revenue
₹23,079 cr
FY2026 net profit
₹1,203 cr
Net worth
₹5,297 cr
Total debt
₹452 cr
EPS (basic)
₹43.34
Listed
NSE · BSE
Reporting
Ind-ASApr–Mar

Peer set used on this page: 6 industrial products.

Section 04 · Business performance

Is the business growing?

Revenue & net profit — FY19 to FY26₹ crore · consolidated
₹'000 cr08152330012REVENUENET PROFIT7k148FY198k256FY208k408FY2113k619FY2216k642FY2318k732FY2421k757FY2523k1,203FY26
RevenueNet profit
Strength

Profit grew 58.9% while revenue grew 11.5%, so the company kept more of each rupee of revenue as profit.

Rule PROFIT_FASTER_THAN_REVENUE

Revenue growth per year
+18.2%over 7 years
Revenue growth
+11.5%vs last year
Net profit growth
+58.9%vs last year
Change in net profit since FY19
+712%

Over 7 years profit compounded at 34.9% a year while revenue compounded at 18.2% a year — though FY2020 saw a one-off step-change of 73% (a merger, restructuring or a recovery off a low base), so the compounding is uneven.

Revenue compounded at 18.2% a year over 7 years (₹7,152 → ₹23,079) — though FY2022 saw a one-off step-change of 54% (a merger, restructuring or a recovery off a low base), so the compounding is uneven.

Net profit grew 58.9% year on year (FY2025 → FY2026).

Section 05 · Recent activity

What changed recently?

Quarterly results, the trailing-twelve-months snapshot, and verified corporate actions — kept separate from each other and from the annual story above. Every figure traces to a filed number; nothing here is external news or commentary.

Strength

Q1 FY27 net profit was ₹263 cr, up 10.9% from ₹237 cr a year earlier.

Rule QTR_PROFIT_GROWTH_YOY

Strength

Q1 FY27 EBIT was ₹391 cr, up 14.0% from ₹343 cr a year earlier.

Rule QTR_OPERATING_PERFORMANCE_CHANGE_YOY

Watch

Q1 FY27 net profit was ₹263 cr, down 25.7% from ₹354 cr in the previous quarter (Q4 FY26).

Rule QTR_PROFIT_SEQUENTIAL_CHANGE

A. Quarterly results

Latest quarters — Q2 '25 to Q1 '27₹ crore · consolidated
₹'000 cr02457000REVENUENET PROFIT5k54Q2 '255k217Q3 '256k293Q4 '255k237Q1 '265k302Q2 '266k310Q3 '266k354Q4 '266k263Q1 '27
RevenueNet profit
QuarterRevenueYoYNet profitYoYNet margin
Q2 FY254,774—54—1.1%
Q3 FY255,433+30.0%217+31.1%4.0%
Q4 FY255,509+15.6%293+72.0%5.3%
Q1 FY265,170+3.9%237+22.8%4.6%
Q2 FY265,206+9.1%302+460.4%5.8%
Q3 FY265,815+7.0%310+42.9%5.3%
Q4 FY266,269+13.8%354+20.9%5.7%
Q1 FY275,607+8.5%263+10.9%4.7%

B. TTM snapshot

Trailing twelve months to 30 Jun 2026 · sum of the last 4 contiguous quarters

Revenue
₹22,897 crTTM
EBITDA
₹1,967 crTTM
EBIT
₹1,731 crTTM
PBT
₹1,600 crTTM
Net profit
₹1,229 crTTM

C. Corporate actions

8 Sept 2026DividendFinal Dividend - Rs. - 8.5000 — ₹8.50/share
22 Aug 2025DividendFinal Dividend - Rs. - 5.7500 — ₹5.75/share
19 Sept 2024DividendFinal Dividend - Rs. - 5.5000 — ₹5.50/share
1 Sept 2023DividendFinal Dividend - Rs. - 5.0000 — ₹5.00/share
2 Sept 2022DividendFinal Dividend - Rs. - 3.5000 — ₹3.50/share
16 Sept 2021Bonus issueBonus issue 1:1 — 1:2
15 Dec 2020Stock splitStock Split From Rs.10/- to Rs.2/- — 10:2
19 Sept 2019DividendFinal Dividend - Rs. - 14.0000 — ₹14.00/share
19 Sept 2018DividendDividend - Rs. - 14.0000 — ₹14.00/share
21 Sept 2017DividendDividend - Rs. - 12.0000 — ₹12.00/share
8 Sept 2016DividendDividend - Rs. - 10.0000 — ₹10.00/share
13 Aug 2015DividendDividend - Rs. - 6.0000 — ₹6.00/share
17 Sept 2014DividendFinal Dividend - Rs. - 5.0000 — ₹5.00/share
7 Aug 2013DividendFinal Dividend - Rs. - 5.0000 — ₹5.00/share
20 Sept 2012DividendFinal Dividend - Rs. - 2.0000 — ₹2.00/share
Section 06 · Business performance

Is it becoming more profitable?

Margins — FY19 to FY26% of revenue · consolidated
0%5%10%8.3%5.2%FY19FY20FY21FY22FY23FY24FY25FY26
EBITDA marginNet margin
Concern

EBITDA margin of 8.3% is below the industrial products median of 14.5%.

Rule MARGIN_BELOW_PEER_MEDIAN

EBITDA margin now
8.3%
8-year range
5.7–8.4%
ROE FY2026
25.3%
ROCE FY2026
31.8%

ROE improved from 19.4% to 25.3% year on year.

EBITDA margin improved from 6.3% to 8.3% of revenue.

Section 07 · Financial health

Is financial health improving?

Net worth — FY19 to FY26₹ crore · consolidated
₹'000 cr0246964FY191kFY202kFY212kFY223kFY234kFY244kFY255kFY26
Net worth (shareholders' funds)
Strength

Total debt is down from ₹710 to ₹452 over 7 years (36.3% lower); debt-to-equity moved 0.74× → 0.09×.

Rule DEBT_FELL_MULTIYEAR

Operating cash flow vs net profit₹ crore · FY21–FY26
0k1k2k3k977408FY21652619FY22690642FY231k732FY241k757FY252k1kFY26
Operating cash flowNet profit
Total debt
₹452 cr
Operating cash flow ÷ net profit
1.75×FY2026
Free cash flow
₹1,451 cr
Current ratio
1.34×

Net worth compounded at 27.6% a year over 7 years (₹964 → ₹5,297) — though FY2020 saw a one-off step-change of 51% (a merger, restructuring or a recovery off a low base), so the compounding is uneven.

Operating cash flow has matched or exceeded reported profit in 6 of the last 6 profit-making years (latest 1.75×).

Free cash flow has been positive in 5 of the last 6 years.

Section 08 · Relative position

How does it compare with peers?

Ranked against 6 industrial products (FY2026, consolidated). No peer-relative rule fired for this company.

Revenue growth

APLAPOLLO · 5th of 6 · set median 14.7%

POLYCAB28.9%KEI20.7%CUMMINSIND16.9%ASTRAL12.6%APLAPOLLO11.5%SUPREMEIND7.4%

EBITDA margin

APLAPOLLO · 6th of 6 · set median 14.5%

CUMMINSIND25.6%ASTRAL16.9%POLYCAB14.7%SUPREMEIND14.2%KEI11.8%APLAPOLLO8.3%

Return on equity

APLAPOLLO · 2nd of 6 · set median 20.4%

CUMMINSIND29.5%APLAPOLLO25.3%POLYCAB24.6%SUPREMEIND16.1%KEI14.8%ASTRAL13.8%

P/E ratio

APLAPOLLO · 4th of 6 · set median 45.6×

POLYCAB41.4×SUPREMEIND41.6×KEI43.2×APLAPOLLO47.9×CUMMINSIND56.9×ASTRAL62.6×
P / E
47.9×TTM to Jun 26
P / B
11.1×latest book
P / S
2.6×TTM sales
Earnings yield
2.1%TTM to Jun 26

On the trailing twelve months. Last full year: P/E 48.9× · P/S 2.5× · ROE 25.3%.

Section 09 · The stock

How has the stock performed?

Adjusted close — 2020-01 to 2026-10₹ per share · split / bonus adjusted
0k4k₹2,1202020202120222023202420252026

Long-term price performance is shown above.

1-year return
+22.5%
3-year return
+30.5%
5-year return
+149.7%
From 52-wk high
−7.1%
Section 10 · Technical data

What does the technical data say?

Price-action indicators as of 2026-10-01. Secondary to the fundamentals above — included for timing context, not as a signal.

vs 50-day avg
Above₹2,092
vs 200-day avg
Above₹1,983
RSI (14)
45.4neutral
MACD histogram
-11.7
From 52-wk high
−7.1%
From 52-wk low
+24.8%
30-day volatility
31.3%ann.
6-month return
+9.4%
RSI (14) · 0–10045.4 — neutral
0305070100OVERSOLDOVERBOUGHT45.4
Section 11 · Open questions

What should I investigate further?

Observations the engine tagged watch or deteriorating — prompts for your own research, not conclusions.

  • Concern
    Thinner margins than peers
    EBITDA margin of 8.3% is below the industrial products median of 14.5%.
    MARGIN_BELOW_PEER_MEDIAN · conviction 49
  • Cash-flow-statement facts are unavailable for FY2019, FY2020 — those filings predate SEBI's Cash Flow Statement disclosure requirement. All other loaded years carry full P&L, balance sheet and cash-flow data.
Section 12 · Reference

The numbers

The full statements, kept deliberately secondary. Every figure traces to a BSE Integrated Filing (inline XBRL); ratios are recomputed from the normalised facts.

Income & balance sheet — ₹ crore, consolidated
MetricFY19FY20FY21FY22FY23FY24FY25FY26
Revenue7,1527,7238,50013,06316,16618,11920,69023,079
Total income7,1647,7458,53613,10416,21318,19420,78623,191
EBITDA4055007159861,0691,2671,2951,914
Profit before tax2272965468328639789601,557
Net profit1482564086196427327571,203
EPS (₹)62.597.228.922.323.126.427.343.3
Net worth9641,4521,8332,4643,0063,6054,2095,297
Total debt7107274415818731,125615452
Operating cash flow——9776526901,1121,2132,103
Free cash flow——69065−1524504911,451
Key ratios — consolidated
RatioFY19FY20FY21FY22FY23FY24FY25FY26
Growth
Revenue growth YoY—8.010.153.723.812.114.211.5
Profit growth YoY—72.759.351.83.714.13.458.9
Profitability
EBITDA margin %5.76.58.47.56.67.06.38.3
Net margin %2.13.34.84.74.04.03.65.2
Return on equity %15.421.224.828.823.522.219.425.3
Return on capital %20.321.027.533.026.925.422.931.8
Leverage & cash
Debt to equity0.740.500.240.240.290.310.150.09
Cash flow ÷ profit——2.401.051.081.521.601.75
Current ratio1.011.181.191.281.161.341.211.34
Financials: BSE Integrated Filing inline XBRL (SEBI taxonomy), normalised to standard metric keys. Prices: NSE end-of-day, raw OHLC preserved; a corporate-action factor produces the adjusted series. The insight engine writes factual observations from fixed rules — it does not make recommendations. Not investment advice.