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RCF:NSE
Rashtriya Chemicals and Fertilizers Ltd
104,65 ₹
+1,11%
(+1,15) 1D
9 հոկ, 15:30:00 GMT+5:30  ·   INR
All symbols
SymbolPriceChange% Change
Generating top insights for RCF...
Open
103,50 ₹
High
104,95 ₹
Low
103,10 ₹
Mkt. cap
57,62 մլրդ
Avg. vol.
1,26 մլն
Volume
560,94 հզր
Dividend
2,24%
Quarterly dividend
0,58 ₹
Ex-dividend date
18 սեպ, 2026 թ.
P/E ratio
12,92
52-wk high
157,20 ₹
52-wk low
103,10 ₹
EPS
8,10 ₹
Shares outstanding
551,69 մլն
No. of employees
3 հզր
Open
103,50 ₹
High
104,95 ₹
Low
103,10 ₹
Mkt. cap
57,62 մլրդ
Avg. vol.
1,26 մլն
Volume
560,94 հզր
Dividend
2,24%
Quarterly dividend
0,58 ₹
Ex-dividend date
18 սեպ, 2026 թ.
P/E ratio
12,92
52-wk high
157,20 ₹
52-wk low
103,10 ₹
EPS
8,10 ₹
Shares outstanding
551,69 մլն
No. of employees
3 հզր
News stories
From web sources and news partners
Profile
Rashtriya Chemicals and Fertilizers Ltd. is an Indian central public sector undertaking which produces chemical and fertilizers and is based in Mumbai. It is under the ownership of the Government of India and administrative control of the Ministry of Chemicals and Fertilizers. RCF is fourth largest government owned-fertilizer-producer in India. Wikipedia
About Rashtriya Chemicals and Fertilizers Ltd
CEO-
Employees2,67 հզր
Founded1978
HeadquartersՄումբաի, Մահարաշտրա, Հնդկաստան
Sector-
Websitercfltd.com
Last report
13 օգս, 2026 թ.
Fiscal period
Q1 2027
- / -
Revenue / Est. (INR)
35,86 մլրդ / -
Fiscal Q1 2027 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in INR
Loading Previous Earnings...
Revenue
Net income
All values in INR
2025 թ. սեպ
2025 թ. դեկ
2026 թ. մրտ
2026 թ. հնս
Revenue
52,93 մլրդ
42,36 մլրդ
55,81 մլրդ
35,86 մլրդ
Cost of goods sold
47,13 մլրդ
36,58 մլրդ
4,37 մլրդ
30,00 մլրդ
Cost of revenue
47,13 մլրդ
36,58 մլրդ
4,37 մլրդ
30,00 մլրդ
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
1,57 մլրդ
1,56 մլրդ
1,93 մլրդ
1,59 մլրդ
Operating expense
4,35 մլրդ
4,09 մլրդ
46,79 մլրդ
4,48 մլրդ
Total operating expenses
51,48 մլրդ
40,67 մլրդ
51,16 մլրդ
34,48 մլրդ
Operating income
1,45 մլրդ
1,69 մլրդ
4,64 մլրդ
1,37 մլրդ
Other non operating income
511,50 մլն
523,00 մլն
334,20 մլն
354,40 մլն
EBT including unusual items
1,41 մլրդ
1,18 մլրդ
2,76 մլրդ
1,01 մլրդ
EBT excluding unusual items
1,41 մլրդ
1,18 մլրդ
2,72 մլրդ
1,01 մլրդ
Income tax expense
352,60 մլն
368,80 մլն
891,20 մլն
278,90 մլն
Effective tax rate
25,08%
31,30%
32,31%
27,50%
Other operating expenses
2,08 մլրդ
1,78 մլրդ
44,04 մլրդ
2,06 մլրդ
Net income
1,05 մլրդ
809,50 մլն
1,87 մլրդ
735,30 մլն
Net profit margin
1,99%
1,91%
3,35%
2,05%
Earnings per share
-
-
-
-
Interest and investment income
-
-
332,60 մլն
-
Interest expense
-547,50 մլն
-1,03 մլրդ
-794,20 մլն
-706,50 մլն
Net interest expenses
-547,50 մլն
-1,03 մլրդ
-461,60 մլն
-706,50 մլն
Depreciation and amortization charges
697,80 մլն
752,70 մլն
812,20 մլն
825,60 մլն
EBITDA
2,13 մլրդ
2,32 մլրդ
5,36 մլրդ
2,10 մլրդ
Gain or loss from assets sale
-
-
-
-
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