470.0500 -4.95 (-1.04%)
NSE Jan 13, 2026 15:31 PM
Volume: 158.7K
 

470.05
-1.04%
ICICI Securities Limited
We expect gross debt to reduce from | 903 crore in FY21 to | 500 crore by FY23E. The management's focus on prudent capital allocation, stringent working capital policy is expected to translate to positive FCF by FY23E, with pre Ind-AS 116 EBITDA margin of ~7%. We change our stance from REDUCE to HOLD owing to strengthened b/s. Better capital allocation towards profitable brands with improvement in margin profile, debt reduction would be key monitorables. We value...
Number of FII/FPI investors increased from 276 to 289 in Sep 2025 qtr.
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