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Nexxus Petro Industries Limited

NEXXUS BSE Specialty Chemicals Basic Materials

Nexxus Petro Industries Limited manufactures, trades in, and sells bitumen products in India. It offers bitumen, bitumen emulsions, micro surfacing emulsion, polymer modified bitumen, crumb rubber modified bitumen, and โ€ฆ

ISIN INE0QUL01011
Listed โ€”
Quarters tracked โ€”
Filings 6 docs

About

Nexxus Petro Industries Limited manufactures, trades in, and sells bitumen products in India. It offers bitumen, bitumen emulsions, micro surfacing emulsion, polymer modified bitumen, crumb rubber modified bitumen, and burning fuel oil. The company provides its products to infrastructure/construction companies, roads and bridges, dams and levees, railways, marine structures, industrial flooring, adhesives, roofing, waterproofing, and soundproofing materials. Nexxus Petro Industries Limited was incorporated in 2021 and is based in Ahmedabad, India.

Quarterly Results

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Profit & Loss

Annual ยท Rs. Crores
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Sales 262.00305.00238.00143.0048.00
Expenses 250.00294.00232.00139.0048.00
Operating Profit 12.0011.006.004.001.00
OPM % 4.603.702.602.501.80
Other Income 1.000.001.000.000.00
Interest 2.003.002.001.000.00
Depreciation 2.001.000.000.000.00
Profit before tax 9.008.005.003.001.00
Tax % 28.0025.0026.0028.0026.00
Net Profit 6.006.004.002.001.00
EPS in Rs 9.198.766.90201.0056.00
Dividend Payout % 0.000.000.000.000.00

Balance Sheet

Annual ยท Rs. Crores โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Equity Capital 7.007.005.000.100.10
Reserves 32.0025.004.003.001.00
Borrowings 21.0019.0022.008.004.00
Other Liabilities 5.009.009.005.005.00
Total Liabilities 65.0061.0039.0016.0010.00
Fixed Assets 13.007.003.001.001.00
CWIP 0.000.000.000.000.00
Investments 1.001.000.000.000.00
Other Assets 50.0053.0036.0015.009.00
Total Assets 65.0061.0039.0016.0010.00

Cash Flows

Annual ยท Rs. Crores โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Cash from Operating Activity 7.00-8.00-7.00-4.00-3.00
Cash from Investing Activity -10.00-3.00-5.00-1.00-1.00
Cash from Financing Activity -1.0013.0014.004.004.00
Net Cash Flow -4.002.003.000.001.00
Free Cash Flow -1.00-12.00-10.00-4.00-3.00
CFO/OP % 77.00-52.00-83.00-83.00-275.00

Ratios

Annual ยท Days / % โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Debtor Days 44.0036.0020.0015.0038.00
Inventory Days 9.0013.0014.009.0010.00
Days Payable 6.005.007.001.0029.00
Cash Conversion Cycle 47.0044.0028.0022.0019.00
Working Capital Days 35.0026.009.005.002.00
ROCE % 19.0026.0031.0044.00โ€”

Shareholding Pattern

% holding โ€” latest first
Holder Mar 2026 Sep 2025 Mar 2025 Oct 2024
Promoters 60.28 60.28 60.28 60.28
Public 39.71 39.71 39.72 39.71
No. of Shareholders 425 437 440 857

Corporate Actions

No corporate actions recorded.

Announcements

5 filings