GODREJ PROPERTIES LIMITED

Public Limited Indian Non-Government CompanyListedACTIVE compliantCIN: L74120MH1985PLC035308
INDICATIVE PRICE₹178Last updated 9 Apr 2026
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UA Score75/100
CIN
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Incorp. Date08 Feb 1985
Paid-up Capital₹150.60 Cr
Open Charges₹6545.65 Cr
Last AGM01 Aug 2025
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Company Summary

Godrej Properties Limited (GPL) is a Public Limited Indian Non-Government Company, incorporated in Maharashtra on February 8, 1985. It functions as the dedicated real estate venture of the prominent G…

Real EstateBuilders and Developers
Incorporation08 Feb 1985
Age41+ years
PANAAACG3995M
StatusListed
LocationMumbai, Maharashtra
IndustryReal Estate

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What They Do
Godrej Properties Limited (GPL) is a Public Limited Indian Non-Government Company, incorporated in Maharashtra on February 8, 1985. It functions as th...
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Financial Health
Reporting More than 1000 cr. in revenue. Currently operating at a more than 5 cr..
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Positive Aspects
No credit bureau defaults. Maintains active compliance with regulators.
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Key Risk
Significant registered debt charges open.

Key Highlights

ℹRevenue: More than 1000 cr.
āœ“Profit: More than 5 cr.
āœ“No bureau defaults
⚠Pending legal cases filed
⚠GST filing delay: true
ℹEmployees: Upto 100

Management Team

IB

INDU BHUSHAN

DirectorDIN: 09302960Since 04 Jul 2022
AS

ASHISH SUDHAKAR KARYEKAR

Company SecretarySince 15 Apr 2022
RS

RAJENDRA SAWARMAL KHETAWAT

CFOSince 02 May 2014

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Show 19 past directors
AB

AMIT BIREN CHOUDHURY

DirectorDIN: 00557547Ceased 01 Apr 2019
SG

SMITA GODREJ CRISHNA

DirectorDIN: 00074230Ceased 16 Jan 2008
SN

SUBBARAMAN NARAYAN

DirectorDIN: 00094081Ceased 03 Aug 2017
SV

SRINIVASAN VISHWANATHAN

Whole-time directorDIN: 00208978Ceased 01 Apr 2015
AB

ADI BARJORJI GODREJ

DirectorDIN: 00065964Ceased 01 Apr 2017
AM

AMITAVA MUKHERJEE

DirectorDIN: 00003285Ceased 03 Jul 2023
PJ

PHEROZA JAMSHYD GODREJ

DirectorDIN: 00432819Ceased 16 Jan 2008
KB

KEKI BOMI DADISETH

DirectorDIN: 00052165Ceased 03 Aug 2021
LD

LALITA DILEEP GUPTE

DirectorDIN: 00043559Ceased 02 Aug 2023
KT

KARAT TAZHTETIL JITHENDRAN

Whole-time directorDIN: 01181998Ceased 16 Dec 2015
MM

MOHIT MALHOTRA

Managing DirectorDIN: 07074531Ceased 31 Dec 2022
RK

RISHAD KAIKHUSHRU NAOROJI

DirectorDIN: 00065906Ceased 16 Jan 2008
PD

PRANAY DHANSUKHLAL VAKIL

DirectorDIN: 00433379Ceased 02 Aug 2022
MS

MILIND SURENDRA KORDE

Managing DirectorDIN: 00434791Ceased 01 Apr 2012
JN

JAMSHYD NAOROJI GODREJ

DirectorDIN: 00076250Ceased 24 Jan 2024
PS

PRITAM SINGH

DirectorDIN: 00057377Ceased 01 Apr 2019
PA

PARMESHWAR ADI GODREJ

DirectorDIN: 00432572Ceased 10 Oct 2016
SV

SURENDER VARMA

Company SecretaryCeased 15 Apr 2022
SA

SHODHAN ARVIND KEMBHAVI

Company SecretaryCeased 03 Aug 2014
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Financial Data

Financial Statements

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Total Employees
Upto 100
CSR Expenditure
Not Specified

Profit & Loss Statement

Line ItemFY 2025
Net Revenue₹1949.62 Cr
Total Operating Cost₹793.19 Cr
Operating Profit / (Loss)-₹340.09 Cr
Other Income₹2207.76 Cr
Depreciation₹37.43 Cr
Profit Before Tax₹1264.82 Cr
Income Tax₹253.81 Cr
Profit After Tax (PAT)₹1011.01 Cr

Balance Sheet

Line ItemFY 2025
ASSETS
Non-Current Investments₹3456.60 Cr
Net Fixed Assets₹535.07 Cr
Total Non-Current Assets₹4480.64 Cr
Cash & Bank Balances₹4059.98 Cr
Trade Receivables₹283.89 Cr
Total Current Assets₹38833.76 Cr
Total Assets₹43943.59 Cr
LIABILITIES & EQUITY
Share Capital₹150.59 Cr
Reserves & Surplus₹17293.55 Cr
Total Equity₹17444.14 Cr
Long-Term Borrowings₹4000.00 Cr
Deferred Tax (Net)₹8.28 Cr
Total Non-Current Liabilities₹4105.30 Cr
Short-Term Borrowings₹7968.09 Cr
Trade Payables₹1407.26 Cr
Total Current Liabilities₹22394.15 Cr
Total Debt₹11968.09 Cr

Cash Flow Statement

Line ItemFY 2025
Operating Cash Flow-₹1757.84 Cr
Investing Cash Flow-₹5172.32 Cr
Financing Cash Flow₹6809.49 Cr
Net Change in Cash-₹120.67 Cr
Closing Cash Balance₹820.48 Cr
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5-Year Financial History

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Analytics

Charts & Ratios

EV / EBITDA Multiple
-31.14x
MCAP:
₹2680.75 Cr
EBITDA:
₹-340.09 Cr

OCF vs PAT Ratio

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Regulatory & Legal

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Industry Benchmarking

Peer Comparison

Industry: Real Estate — Builders and Developers

Sample Size: 30 peers (2025 data)

Target Company Ratios vs Industry Median

ParameterCompany ValueIndustry MedianStatus
Revenue (₹ Cr)1949.621599.97ā–²
Revenue Growth (%)46.5259.03ā–¼
EBITDA Margin (%)-17.4417.02ā–¼
Net Margin (%)51.8615.18ā–²
Return on Equity (%)5.8012.58ā–¼
Debt / Equity0.690.48ā–¼
Inventory / Sales (Days)2866.78221.09ā–¼
Debtors / Sales (Days)53.1515.37ā–¼
Payables / Sales (Days)263.4634.52ā–²
Cash Conversion Cycle (Days)2656.47201.89ā–¼
Sales / Net Fixed Assets3.6411.20ā–¼

Closest Peers by Revenue

Company NameCINCityRevenue (₹)
BAGMANE DEVELOPERS PRIVATE LIMITEDU70102KA1996PTC019532BENGALURU20,25,76,90,000
DLF HOME DEVELOPERS LIMITEDU74899HR1995PLC082458GURGAON19,94,84,52,000
GODREJ PROPERTIES LIMITEDL74120MH1985PLC035308Mumbai19,49,62,00,000
EMAAR INDIA LIMITEDU45201DL2005PLC133161NEW DELHI18,84,42,80,000
SIGNATUREGLOBAL (INDIA) LIMITEDL70100DL2000PLC104787NEW DELHI18,25,24,70,000
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