X
Hindustan Power Exchange Limited (HPX)

₹28.00

mrf 0.00%
03 Mar 2026

Listing Status: Active

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Key Metrics of Hindustan Power Exchange
  • Market Cap1547 Cr.
  • Total Equity Funding
  • Latest Funding Round
  • Post Money Valuation
  • Annual Revenue₹41 Cr
  • EBITDA₹17 Cr
  • EBITDA Margin41.80%
  • Net Profit₹11 Cr
  • Net Profit Margin26.27%
About the Company

Provider of a market for trading electricity, enabling a comprehensive and efficient exchange of power among various participants. It also...

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Price on BSE Volume

Financial Statements

Revenue - INR (Cr)

Net Profit/Loss - INR (Cr)

Select a year from the tabs

FY 24-25
FY 23-24
FY 22-23
FY 21-22
FY 20-21
FY 19-20
FY 18-19
Detailed Income StatementFY 24-25 (in Cr)
40.6
27.2
Total profit before exceptional items, extraordinary items and tax 13.4
Total profit before tax 13.4
2.7
Total profit (loss) for period from continuing operations 10.7
Total profit (loss) for period 10.7
Basic earning per equity share 0.0
Diluted earnings per equity share 0.0
Detailed Balance SheetFY 24-25 (in Cr)
365.6
365.6
Detailed Cash Flow StatementFY 24-25 (in Cr)
Net cash from / (used in) operating activities 18.5
Net cash from / (used in) investing activities 0.6
Net cash from / (used) in financing activities (0.6)
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes 18.5
Net increase / (decrease) in cash and cash equivalents 18.5
Cash and cash equivalents at the beginning of the year 215.9
Cash and cash equivalents at the end of the year 234.3
Detailed Income StatementFY 23-24 (in Cr)
43.6
26.9
Total profit before exceptional items, extraordinary items and tax 16.7
Total profit before tax 16.7
1.8
Total profit (loss) for period from continuing operations 14.9
Total profit (loss) for period 14.9
Basic earning per equity share 0.0
Diluted earnings per equity share 0.0
Detailed Balance SheetFY 23-24 (in Cr)
315.5
315.5
Detailed Cash Flow StatementFY 23-24 (in Cr)
Net cash from / (used in) operating activities 173.1
Net cash from / (used in) investing activities (28.9)
Net cash from / (used) in financing activities (0.9)
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes 143.3
Net increase / (decrease) in cash and cash equivalents 143.3
Cash and cash equivalents at the beginning of the year 72.6
Cash and cash equivalents at the end of the year 215.9
Detailed Income StatementFY 22-23 (in Cr)
17.4
27.4
Total profit before exceptional items, extraordinary items and tax (10.0)
Total profit before tax (10.0)
0
Total profit (loss) for period from continuing operations (10.0)
Total profit (loss) for period (10.0)
Basic earning per equity share (0.0)
Diluted earnings per equity share (0.0)
Detailed Balance SheetFY 22-23 (in Cr)
145.1
145.1
Detailed Cash Flow StatementFY 22-23 (in Cr)
Net cash from / (used in) operating activities 74.6
Net cash from / (used in) investing activities (1.3)
Net cash from / (used) in financing activities (0.8)
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes 72.4
Net increase / (decrease) in cash and cash equivalents 72.4
Cash and cash equivalents at the beginning of the year 0.2
Cash and cash equivalents at the end of the year 72.6
Detailed Income StatementFY 21-22 (in Cr)
2.3
5.4
Total profit before exceptional items, extraordinary items and tax (3.1)
Total profit before tax (3.1)
0.0
Total profit (loss) for period from continuing operations (3.1)
Total profit (loss) for period (3.1)
Detailed Balance SheetFY 21-22 (in Cr)
60.3
60.3
Detailed Cash Flow StatementFY 21-22 (in Cr)
Net cash from / (used in) operating activities (2.0)
Net cash from / (used in) investing activities 2.3
Net cash from / (used) in financing activities (0.3)
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes (0.1)
Net increase / (decrease) in cash and cash equivalents (0.1)
Cash and cash equivalents at the beginning of the year 0.2
Cash and cash equivalents at the end of the year 0.2
Detailed Income StatementFY 20-21 (in Cr)
1.9
2.1
Total profit before exceptional items, extraordinary items and tax (0.1)
Total profit before tax (0.1)
0.3
Total profit (loss) for period from continuing operations (0.4)
Total profit (loss) for period (0.4)
Basic earning per equity share (0.0)
Diluted earnings per equity share (0.0)
Detailed Balance SheetFY 20-21 (in Cr)
55.0
55.0
Detailed Cash Flow StatementFY 20-21 (in Cr)
Net cash from / (used in) operating activities (7.6)
Net cash from / (used in) investing activities (22.9)
Net cash from / (used) in financing activities 29.8
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes (0.7)
Net increase / (decrease) in cash and cash equivalents (0.7)
Cash and cash equivalents at the beginning of the year 0.9
Cash and cash equivalents at the end of the year 0.2
Detailed Income StatementFY 19-20 (in Cr)
0.9
0.9
Total profit before exceptional items, extraordinary items and tax 0.0
Total profit before tax 0.0
0.1
Total profit (loss) for period from continuing operations (0.1)
Total profit (loss) for period (0.1)
Basic earning per equity share 0
Diluted earnings per equity share 0
Detailed Balance SheetFY 19-20 (in Cr)
25.6
25.6
Detailed Cash Flow StatementFY 19-20 (in Cr)
Net cash from / (used in) operating activities (0.9)
Net cash from / (used in) investing activities (23.7)
Net cash from / (used) in financing activities 25.5
Net increase / (decrease) in cash and cash equivalents before effect of exchange rate changes 0.9
Net increase / (decrease) in cash and cash equivalents 0.9
Cash and cash equivalents at the beginning of the year 0.0
Cash and cash equivalents at the end of the year 0.9
Detailed Income StatementFY 18-19 (in Cr)
0
0.0
Profit before exceptional items and tax (0.0)
Total profit before tax (0.0)
0
Total profit (loss) for period from continuing operations (0.0)
Detailed Balance SheetFY 18-19 (in Cr)
0.0
0.0
Detailed Cash Flow StatementFY 18-19 (in Cr)
Cash flow from operating activities 0
Net cash from/(used in) operating activities (0.0)
Cash flow from investing activities 0
Net cash from/(used in) investing activities 0
Cash flow from financing activities 0
Net cash from/(used) in financing activities 0.0
Net increase/(decrease) in cash and cash equivalents before effect of exchange rate changes 0.0
Effect of exchange rate changes on cash and cash equivalents 0
Net increase /(decrease) in cash and cash equivalents 0.0
Cash and cash equivalents at the beginning of the year 0
Cash and cash equivalents at the end of the year 0.0

Shareholding Pattern

As of Mar 31, 2024 • Hpxindia

Total Shares 552.50M

Top Shareholders

Shareholder Category Shares (Mn) % Holding
PTC India Limited Other 125.00M 22.62%
BSE Investments Limited Other 125.00M 22.62%
ICICI Bank Other 49.95M 9.04%
Greenko Energies Private Limited Other 25.00M 4.52%
Lebnitze Real Estates Private Limited Other 25.00M 4.52%
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