The Indian Hume Pipe Company Limited

The Indian Hume Pipe Company Limited

INDIANHUME.BO
The Indian Hume Pipe Company LimitedIN flagBombay Stock Exchange
362.95
INR
+13.85
- -
19.07BMarket Cap
2014 Y
2015 Y
2016 Y
2017 Y
2018 Y
2019 Y
2020 Y
2021 Y
2022 Y
2023 Y
2024 Y
2025 Y
2026 Y
TTM
Revenue per Share
169.88
208.45
187.2
351.3
314.54
339.45
334.51
255.57
312.97
318.01
267.13
283.07
247.86
247.92
Basic EPS, GAAP
4.97
8.58
6.01
20.57
13.64
17.82
15.15
8.67
11.93
11.5
15
105.93
26.79
26.8
Free Cash Flow per Basic Share
-9.7
-2.36
7.26
27.4
-8.71
-9.64
-16.01
37.21
10.59
3.55
40.24
28.32
32.7
- -
Dividend per Share
1.1
1.2
3.1
0.98
2.91
4.12
4.32
2
2
2
1.05
1.52
5.8
- -
Book Value per Share
27.09
31.8
33.45
53.65
64.66
78.35
88.63
95.37
105.03
114.43
121.2
223.09
2
2
Tangible Book Value per Share
52.39
59.12
63.16
82.48
93.33
107.11
117.22
124.25
134.14
143.42
160.11
261.27
281.69
281.76
Basic Weighted Avg Shares
48
48
48
48
48
48
48
48
48
48
52
53
53
53
Sales/Revenue/Turnover
8,230
10,099
9,069
17,019
15,239
16,446
16,206
12,382
15,162
15,406
13,829
14,912
13,056
13,056
Operating Margin (%)
8.43
9.91
9.7
11.65
9.27
10.9
10.19
8.2
8.75
7.75
11.54
11.5
9.65
9.65
Depreciation Expense
78
121
98
105
108
117
184
199
174
155
139
147
198
198
Net Income, GAAP
241
416
291
997
661
863
734
420
578
557
776
5,581
1,411
1,411
Effective Tax Rate (%)
36.71
32.92
35.12
34.85
34.19
34.74
26.85
26.28
25.89
23.04
24.99
15.87
24.81
24.81
Profit Margin (%)
2.92
4.12
3.21
5.86
4.34
5.25
4.53
3.39
3.81
3.62
5.61
37.42
10.81
10.81
Working Capital
1,943
2,277
2,059
2,626
3,393
3,254
3,343
3,899
4,095
4,813
6,341
11,799
12,634
12,634
LT Debt
281
206
136
82
27
23
487
381
248
145
122
70
45
45
Total Equity
2,543
2,869
3,064
4,001
4,531
5,196
5,686
6,026
6,502
6,953
8,293
13,767
14,844
14,844
Return on Invested Capital (%)
9.62
12.38
9.43
19.84
12.63
13.05
10.79
6.21
8.16
7.14
8.94
9.07
5.06
5.06
Return on Capital (%)
12.67
16.69
11.48
24.73
14.97
15.22
12.39
8.36
9.16
9.03
10.51
44.06
17.16
17.16
Return on Common Equity (%)
18.85
29.14
18.41
47.25
23.05
24.91
18.15
9.42
11.9
10.48
13.14
61.91
23.8
23.8

Capital Structure

FRC

in mil. unless spec.
Sep'26
Dec'26
Mar'26
ST Debt
4,948
- -
4,124
LT Borrowings
13
- -
12
LT Finance Leases
47
- -
33
Preferred Equity and Hybrid Capital
- -
- -
- -
Shares Outstanding
53
- -
53
Market Capitalization
18,905
21,500
14,845

Working Capital

FRC

in mil. unless spec.
Sep'26
Dec'26
Mar'26
Total Current Assets
24,765
- -
24,929
Cash, Cash Equivalents & STI
6,249
- -
8,816
Accounts Receivable, Net
5,545
- -
4,847
Inventories
2,391
- -
2,497
Total Current Liabilities
12,727
- -
12,295
Payables & Accruals
- -
- -
- -
ST Debt
4,948
- -
4,124
Deferred Revenue
- -
- -
- -

Growth Rates

FRC

in mil. unless spec.

(avg. rate of change)

10 years
5 years
1 year
Total Equity
18.18%
21.59%
7.82%
Free Cash Flow
84.94%
191.88%
15.46%
Net Income, GAAP
79.92%
123.5%
-74.71%
Sales/Revenue/Turnover
6.93%
1.84%
-12.45%
Total Cash Common Dividend
40.55%
56.99%
281.69%

Quarterly Revenue

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2024
3,470
3,188
3,185
3,985
13,829
2025
3,641
3,544
3,806
3,921
14,912
2026
3,074
3,648
2,821
3,513
13,056

Quarterly Earnings Per Share

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2024
1.61
1.96
2.87
- -
15
2025
5.91
2.52
2.73
94.77
105.93
2026
4.16
6.59
11.67
4.37
26.79

Quarterly Dividends Per Share

FRC

in mil. unless spec.

Year

Q1
Q2
Q3
Q4
FY
2024
- -
- -
- -
- -
1.05
2025
- -
- -
- -
- -
1.52
2026
- -
- -
- -
- -
5.8

Company Description

APIChatGPT
CEO
Rajas Ratanchand Doshi
Full Time Employees
1,088
Sector
Industrials
Industry
Engineering & Construction
Address
Construction House Mumbai India 400001
IPO Date
Jul 1, 2002
Business
The Indian Hume Pipe Company Limited manufactures prestressed concrete pipes, prestressed concrete cylinder pipes, bar-wrapped steel cylinder pipes, Hume steel pipes, welded steel penstocks, reinforced cement concrete pipes, and prestressed concrete railway sleepers; it also executes turnkey engineering, procurement, and construction contracts for water supply, sewerage, irrigation, drainage, and hydroelectric power generation projects, including laying and jointing of pipelines, intake wells, pumping stations, water treatment plants, reservoirs, and distribution systems. Founded in 1926 and headquartered in Mumbai, India, the company operates a network of over 20 factories across eight states in India and has executed projects in neighboring countries including Nepal, Sri Lanka, Myanmar, Malaysia, and Iraq; it supplies products to government entities, Indian Railways, and infrastructure developers primarily in water, power, and rail transport sectors. Recent developments include the sale of freehold land in Yelahanka, Bengaluru to Godrej SSPDL Green Acres LLP in fiscal year 2025, generating a significant gain that boosted net profit to Rs 558 crore and prompted a special dividend of Rs 4 per share alongside a normal dividend of Rs 1.80; the company secured fresh orders worth Rs 1,325 crore during the year, with 48% involving in-house manufacturing of prestressed concrete, bar-wrapped steel cylinder, and prestressed concrete cylinder pipes, and completed 12 projects valued at Rs 2,438 crore across states such as Uttar Pradesh, Rajasthan, Gujarat, Tamil Nadu, Madhya Pradesh, Chhattisgarh, and Andhra Pradesh, elevating its unexecuted order book to Rs 4,002 crore as of May 2025; in November 2025, it entered an agreement for sale with Ashoka Builders India Private Limited.