EURO (I) FRESH FOODS LTD·FMCG 54.16·Food Products Companies

2026-08-21 NSE Web 5%ESM-I Result 12 Aug

Price

258.6

+2.7%
O:250.1
H:258.7
L:250.1
C:258.6

52W Range

204.98381.96
+26%/-32%

Market Cap

₹641.33 Cr

Traded: ₹0.06 Cr (0.01%) 0.0x

Free Float: ₹138.40 Cr (0.04% of FF traded)

Volume · 60D trend

2.37 K 0.0x

Delivery: % 0.0x

View Delivery Data

Returns

1W:+0% 1M:-18% 3M:-26% 6M:+6% 12M:+13%

Valuation

P/E118.6
P/B8.3
P/S4.1
EV/EBIT427552003.9

Business Strength

ROE6.5%
ROCE9.8%
OPM9.9%
NPM3.3%

Growth (3Y CAGR)

EPS-11.5%
Sales+2.0%
Profit+59.0%
3Y Return+16.0%

Balance Sheet

Debt/Equity0.6
Debt48 Cr
Pledge0.0%
CWIP/Fixed Asset0.0%

Cash Position

CFO/NP200.0%
FCF3.92 Cr
FCF 3Y Avg16.2 Cr
Cash/MCap--

Others

Div Yield0.0%
Div Payout0.0%
Cash Conv. Cycle302 days
Tradeable Free Float21.6%

MTF Exposure Trend

60 sessions · funded amount, % of FF, daily delta

Current
₹ 0
0.00% FF
60d high
₹ 23.85 L
60d low
₹ 0
60d mean
₹ 2.89 L
vs mean
▼ 100.00%

Growth Trends

Metric10Y5Y3Y1YTTMTrend
Sales
+12.0%
+9.0%
+2.0%
--
+6.0%
Stable
ROE
+3.0%
+5.0%
+6.0%
--
--
Accelerating
Return
--
+25.0%
+16.0%
+4.0%
--
Decelerating
Profit
+73.0%
+30.0%
+59.0%
--
-13.0%
Stable

Quarterly Results

Jun 2026

12 Aug
Rev
36 Cr
----
OPM9.8%
NPM--
PAT
+124% YoY1 Cr
EPS
--0.3

Mar 2026

PDF
Rev
60 Cr
+72% YoY+111% QoQ
OPM15.4%
NPM7.8%
PAT
+78% YoY5 Cr
EPS
+81% YoY1.9

Dec 2025

PDF
Rev
28 Cr
-41% YoY-13% QoQ
OPM10.3%
NPM3.2%
PAT
-49% YoY1 Cr
EPS
-49% YoY0.4

Sep 2025

PDF
Rev
32 Cr
-1% YoY+4% QoQ
OPM2.5%
NPM-2.8%
PAT
-215% YoY-1 Cr
EPS
-216% YoY-0.4

Jun 2025

PDF
Rev
31 Cr
+10% YoY-11% QoQ
OPM7.1%
NPM1.1%
PAT
-33% YoY0 Cr
EPS
-35% YoY0.1

Mar 2025

PDF
Rev
35 Cr
+33% YoY-27% QoQ
OPM14.2%
NPM7.4%
PAT
+1820% YoY3 Cr
EPS
+1833% YoY1.0

Dec 2024

PDF
Rev
48 Cr
+59% YoY+46% QoQ
OPM8.0%
NPM3.7%
PAT
+62% YoY2 Cr
EPS
+61% YoY0.7

Sep 2024

PDF
Rev
33 Cr
+22% YoY+16% QoQ
OPM7.8%
NPM2.4%
PAT
-5% YoY1 Cr
EPS
-6% YoY0.3

Jun 2024

PDF
Rev
28 Cr
+1% YoY+7% QoQ
OPM7.4%
NPM1.7%
PAT
+11% YoY0 Cr
EPS
+11% YoY0.2

Mar 2024

PDF
Rev
26 Cr
-24% YoY-12% QoQ
OPM8.9%
NPM-0.6%
PAT
-154% YoY-0 Cr
EPS
-155% YoY-0.1

Dec 2023

PDF
Rev
30 Cr
-10% YoY+12% QoQ
OPM9.0%
NPM3.6%
PAT
+260% YoY1 Cr
EPS
--0.4

Sep 2023

PDF
Rev
27 Cr
-27% YoY-4% QoQ
OPM8.5%
NPM3.0%
PAT
+82% YoY1 Cr
EPS
--0.3

Jun 2023

PDF
Rev
28 Cr
-26% YoY-20% QoQ
OPM7.0%
NPM1.6%
PAT
+42% YoY0 Cr
EPS
--0.2

Mar 2023

PDF
Rev
35 Cr
+20% YoY--
OPM6.7%
NPM0.8%
PAT
+180% YoY0 Cr
EPS
--0.1

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity0.77
Interest Coverage10.0x
Promoter Pledge0.0%
Borrowings59 Cr

Efficiency

Receivable Days59 days
Inventory Days280 days
Payable Days37 days
Cash Conversion cycle302 days

Cash Position

Operating Cash Flow10 Cr
Investing Cash Flow-7 Cr
Financing Cash Flow-3 Cr
Free Cash Flow4 Cr

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Dec 2025PDF ↗
Sep 2025PDF ↗
Jun 2025PDF ↗
Mar 2025PDF ↗
Dec 2024PDF ↗
Sep 2024PDF ↗
Jun 2024PDF ↗
Mar 2024PDF ↗
Dec 2023PDF ↗
Sep 2023PDF ↗
Jun 2023PDF ↗
Mar 2023PDF ↗
Sales3660283231354833282630272835
Expenses3351253229304430262427252633
Operating Profit49312543223222
OPM %9.8%15.4%10.3%2.5%7.1%14.2%8.0%7.8%7.4%8.9%9.0%8.5%7.0%6.7%
Other Income000000-000-00000
Interest11111111111111
Depreciation11111111111111
Profit Before Tax171-10421011101
Tax %38.8%36.4%0.0%0.0%28.3%28.1%16.7%25.0%0.0%121.1%0.0%0.0%0.0%64.1%
Net Profit151-103210-01100
Exceptional Items00000000000000
EPS (Rs)0.31.90.4-0.40.11.00.70.30.2-0.10.40.30.20.1
Sales Growth (YoY)--72.0%-41.0%-1.0%10.0%33.0%59.0%22.0%1.0%-24.0%-10.0%-27.0%-26.0%20.0%
Sales Growth (QoQ)--111.5%-12.6%4.2%-10.9%-26.8%46.0%15.8%7.2%-12.4%12.0%-3.5%-20.0%--
OP Growth (YoY)59.9%86.7%-23.2%-68.0%5.7%110.6%40.2%11.8%7.1%1.3%--------
OP Growth (QoQ)-61.6%216.4%256.1%-63.1%-55.2%30.3%48.4%21.9%-10.6%-13.3%18.3%16.8%-15.5%--
Profit Growth (YoY)124.0%78.0%-49.0%-215.0%-33.0%1820.0%62.0%-5.0%11.0%-154.0%260.0%82.0%42.0%180.0%
EPS Growth (YoY)--80.8%-49.3%-216.1%-35.0%1833.3%61.4%-6.1%11.1%-154.6%--------
EPS Growth (QoQ)--422.2%200.0%-376.9%-87.5%46.5%129.0%55.0%433.3%-113.6%33.3%83.3%63.6%--
OP Margin--15.4%10.3%2.5%7.1%14.2%8.0%7.8%7.4%8.9%9.0%8.5%7.0%6.7%
Net Margin--7.8%3.2%-2.8%1.1%7.4%3.7%2.4%1.7%-0.6%3.6%3.0%1.6%0.8%
Material Cost %--71.0%61.0%67.0%65.0%63.0%75.0%65.0%64.0%59.0%63.0%61.0%64.0%67.0%
Employee Cost %--3.0%8.0%5.0%6.0%4.0%4.0%6.0%6.0%6.0%5.0%5.0%5.0%5.0%
P/S4.084.79------------------------
P/E118.62146.14------------------------
P/B8.339.46------------------------

Shareholding Pattern

Shareholders:1.8K (+34.3%)
Current MixMar 2026

Annual Reports

4

2025

2024

2023

2022

Credit Ratings

6
crisilRating update
28 Oct 2025Report
infomericsRating update
29 Jul 2025Report
crisilRating update
17 Jul 2025Report
crisilRating update
24 Jun 2025Report
crisilRating update
26 Apr 2024Report
crisilRating update
02 Mar 2023Report