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EUROBONDEuro Panel Products Limited

NSE
Full chart
143.40INR-0.92 (-0.64%)Close · 6 Oct 2026
14 Aug 2026Last results
Capital GoodsSector
Industrial ProductsIndustry
₹351 CrMarket cap
13.7P/E (TTM)
71.8%Delivery

Filings & corporate actions

6 results filed
CSV
Next results · Q2 FY27
Expected 11 Nov 2026 – 23 Nov 2026
Estimate: filed 42–54 days after quarter end, last 6 times
2026
  • 14 AugresultsResults · Q1 FY27 · consolidated and standalone-4.1%NSE
  • 17 JulshareholdingShareholding · 30 Jun 2026-0.3%NSE
  • 22 MayresultsResults · Q4 FY26 · consolidated and standalone+2.3%NSE
  • 16 AprshareholdingShareholding · 31 Mar 2026-2.4%NSE
  • 12 FebresultsResults · Q3 FY26 · consolidated and standalone-2.6%NSE
  • 14 JanshareholdingShareholding · 31 Dec 2025+2.2%NSE

Reaction to results · all yearsrose on day 0 in 3 of 6 CSV

QuarterFiledDay 0+5D+20DRel vol
Q1 FY2714 Aug 2026-4.1%-4.8%-9.0%1.3×
Q4 FY2622 May 2026+2.3%+1.2%-6.8%1.8×
Q3 FY2612 Feb 2026-2.6%-7.7%-18.7%1.5×
Q2 FY2611 Nov 2025-3.2%-7.1%-16.3%1.2×
Q1 FY2614 Aug 2025+4.3%+2.0%-2.6%2.0×
Q4 FY2524 May 2025+8.8%+3.2%+9.9%4.0×
Average+0.9%-2.2%-7.2%

Close-to-close from the session before the filing could trade. Day 0 is the first session after it.

Growth · Q1 FY27

CSV
Revenue YoY—
Profit YoY—
Interest cost YoY—
Revenue QoQ-15.1%
Profit QoQ-43.9%
CAGR2Y3Y4Y5Y6Y7Y
Revenue——————
Profit——————

Key data

CSV
Open148.89
Day range141.20 – 148.89
52-week range126.30 – 225.89
From 52w high-36.5%
RSI (14)36.6
ATR (14)6.97
Volume6.6K
Avg volume (20D)2.6K
Rel volume2.50×
Volatility (1Y)36.0%
Turnover₹9.5L
SMA 50 / 200154.20 / 167.02

Delivery percentage

Latest · 6 Oct 202671.8%
20-day avg81.2%
1-year avg71.4%
Percentile (own history)37th
Range0.0–100.0%
Sessions1,129

Over the last 20 sessions EUROBOND settled 81.2% of its traded quantity, which is unusually high for an NSE equity. Its one-year average is 71.4%, so recent sessions are running 9.9 points higher than usual. The latest session ranks higher than 37% of the 1,129 sessions on record for it.

What delivery percentage measuresScan the whole market on delivery

IndustryAluminium Copper & Zinc Products

Performance returns

CSV
1D1W1M3M6M1Y
Price-0.64%-4.36%-5.10%-15.33%-3.43%-30.17%

Valuation

CSV
Market cap₹351 Cr
P/E (TTM)13.7
EPS (TTM)10.46
Shares outstanding2.45Cr
Listed1 Aug 2025

Ownership

CSV
Promoter63.93%
Promoter Δ QoQ0.00 pp
Public36.07%
FII0.00%
DII1.29%
Pledged0.00%

Quarterly results · consolidated

CSV
Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Revenue (₹ Cr)129.9127.4141.1119.8
YoY chg————
Net profit (₹ Cr)6.65.78.54.8
YoY chg————
Net margin5.1%4.5%6.0%4.0%
EPS2.702.333.481.95

Shareholding over time

CSV

By quarter

30 Jun 2026 · promoter 63.93% · public 36.07%
23 Dec 2021: promoter 60.61%31 Mar 2022: promoter 60.61%30 Sept 2022: promoter 60.64%31 Mar 2023: promoter 60.64%30 Sept 2023: promoter 62.81%31 Mar 2024: promoter 62.81%30 Sept 2024: promoter 63.38%31 Dec 2024: promoter 63.38%31 Mar 2025: promoter 63.38%30 Jun 2025: promoter 63.38%30 Sept 2025: promoter 63.38%31 Dec 2025: promoter 63.38%31 Mar 2026: promoter 63.93%30 Jun 2026: promoter 63.93%
2021-122026-06
  • Promoter
  • Public and others
Promoter
63.93%
Public
36.07%
Promoter change
0.00 pp
Filed
17 Jul 2026
FII
0.00%
DII
1.29%
Promoter pledged
0.00%

Promoter and public shares of total equity, from the pattern filed each quarter. Institutional and pledge figures come from a separate filing stage whose backfill is still running, so they are absent for almost every instrument rather than zero.

Financials · quarterly statement

CSV
₹ crore, as filed
 Q2 FY26Q3 FY26Q4 FY26AQ1 FY27
Revenue from operations129.9127.4141.1119.8
Other income0.00.30.30.4
Total income129.9127.7141.4120.2
Total expenses120.8120.0130.2113.4
└ Finance costs3.63.42.03.7
└ Depreciation2.22.32.22.6
Profit before tax9.17.611.26.8
Tax expense2.41.92.62.0
Net profit6.65.78.54.8
EPS2.702.333.481.95
Net margin5.10%4.47%6.04%3.99%
PBT margin6.98%6.00%7.92%5.67%
Tax rate26.93%25.41%23.72%29.58%

A audited · R restated by a later filing · negatives in parentheses. EPS and the share count are restated onto the same split-adjusted basis as the price chart, so they can be read against it; every rupee figure is exactly as filed. A quarterly filing carries a profit and loss only — there is no balance sheet behind it, and so no debt, cash flow or return-on-capital figure here. Latest filed 14 Aug 2026.

4 quarters on file; a year-on-year comparison needs five.

EUROBOND at a glance

  • EUROBOND closed at ₹143.4 on 6 Oct 2026, -0.64% on the day, -30.2% over one year, 36.5% below its 52-week high of ₹225.89.
  • Delivery was 71.8% of traded quantity on 6 Oct 2026, the 37th percentile of its own 1,129 sessions with a reading (20-session average 81.2%, 1-year average 71.4%).
  • Market capitalisation is ₹351 crore at a trailing P/E of 13.7 (trailing EPS ₹10.46).
  • Q1 FY27 results (consolidated, filed 14 Aug 2026): revenue ₹120 crore, net profit ₹5 crore; the price moved -4.1% on the first session after.
  • Promoters held 63.93% at 30 Jun 2026, unchanged on the previous filing.
  • Q2 FY27 results are expected between 11 Nov 2026 and 23 Nov 2026, going by past filing dates — an estimate, not an announcement.