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Earnings Call

Paramount Communications Earnings Call: Key Takeaways

Paramount Q4 FY26 shows strong sequential recovery post-US tariff disruptions. Management pivots to domestic markets while targeting ₹5,000cr revenue by FY31.

Highlights
Revenue growth23% YoY for FY26; 13.6% YoY for Q4.
MarginsEBITDA margin recovered to 6.7% in Q4 from 4.3% in Q3.
Order book₹583 crores as of March 31, 2026 (87% domestic).
Demand visibilityStrong domestic demand in power, renewables, and data centers.
Management confidenceHigh confidence in recovery and long-term ₹5,000cr revenue milestone.

Growth

FY26 Revenue grew 23% YoY to ₹1,912cr; PAT stood at ₹60cr with a 3.1% margin.

Outlook

₹300cr Capex for Narmadapuram plant targeting ₹1,200cr revenue by FY29; FY27 top-line guidance of 15-20% growth.

Risks

US tariff volatility (historically up to 50%) and copper/aluminum price fluctuations impacting margins.

Source

Earnings Call filed with BSE, NSE: PARACABLES. Summary written with AI assistance from the document.

Read the document ↗

Paramount Communications Ltd: key numbers

Share price
₹59.81
Market cap
₹1,957 Cr
Revenue (annual)
₹1,913 Cr
Net profit (annual)
₹59.75 Cr
P/E (TTM)
32.1×Sector 45.9×
Promoter holding
45.88%-3.30% QoQ
FII holding
0.45%Current quarter

Reference market data from a third-party provider, updated daily. Not a valuation or a recommendation.

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