rs
251
CHAMBAL F'ERTILISERS AND CHEMICALS LIMITED BSE Limited Phiroze Jeejeebhoy Towers 251h Floor, Dalal Street Mumbai - 400 001 Dear Sir, August3,2022 National Stock Exchange of Indi
17%
ion Chemicals and Specialty Nutrients continues Several new Crop Protection Chemicals introduced (17% of product portfolio) Seed to Harvest program progressing well ‐ focus on identifying key markets
15 %
ses 5/17 Product Portfolio Enhanced with New Age Products Insecticide UTTAM FENTOL (Tolfenpyrad 15 % EC ) Insecticide PIFRO (Fipronil 5% SC) Herbicide UTTAM FILLIP (Bispyribac sodium 10% SC ) Sel
5%
with New Age Products Insecticide UTTAM FENTOL (Tolfenpyrad 15 % EC ) Insecticide PIFRO (Fipronil 5% SC) Herbicide UTTAM FILLIP (Bispyribac sodium 10% SC ) Selective Herbicide UTTAM FLUZI (Fluazif
10%
fenpyrad 15 % EC ) Insecticide PIFRO (Fipronil 5% SC) Herbicide UTTAM FILLIP (Bispyribac sodium 10% SC ) Selective Herbicide UTTAM FLUZI (Fluazifop – p – butyl 13.4% + fomesafen 11.1% SL) Herbicid
13.4%
UTTAM FILLIP (Bispyribac sodium 10% SC ) Selective Herbicide UTTAM FLUZI (Fluazifop – p – butyl 13.4% + fomesafen 11.1% SL) Herbicide UTTAM TEMONE (Tembotrione 34.4% SC) 6/17 Technical Ammonium Ni
11.1%
yribac sodium 10% SC ) Selective Herbicide UTTAM FLUZI (Fluazifop – p – butyl 13.4% + fomesafen 11.1% SL) Herbicide UTTAM TEMONE (Tembotrione 34.4% SC) 6/17 Technical Ammonium Nitrate Project 7/
34.4%
TTAM FLUZI (Fluazifop – p – butyl 13.4% + fomesafen 11.1% SL) Herbicide UTTAM TEMONE (Tembotrione 34.4% SC) 6/17 Technical Ammonium Nitrate Project 7/17 Status of Technical Ammonium Nitrate (TAN)
Rs. 9.77
540 106 energy efficiency 700 576 406 559 EBITDA PBT PAT Cash Profit 617 513 342 500 Rs. 9.77 EPS Rs. 8.22 13 12 19 12 19 CONSOLIDATED 342 PAT 381 (10) • Planned maintenance of the p
Rs. 8.22
y efficiency 700 576 406 559 EBITDA PBT PAT Cash Profit 617 513 342 500 Rs. 9.77 EPS Rs. 8.22 13 12 19 12 19 CONSOLIDATED 342 PAT 381 (10) • Planned maintenance of the plant by Joint
64%
• Crop Protection Chemicals (CPC) & Specialty Nutrients (SN): Strong double digit growth of around 64% 11/17 Financial Position ‐ Standalone Total Shareholders’ Funds Net Debt ( net of cash surplus)
rs
5485
2022 As at June 30, 2021 As at March 31, 2022 Receivables Subsidy Received 10434 Market Debtors 5485 Subsidy Debtors 2345 2102 228 284 49 1917 1075 As at June 30, 2022 As at June 30, 2021 As