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Earnings Call

Prospect Consumer Products Earnings Call: Key Takeaways

Prospect Consumer (formerly Prospect Commodities) H2 FY26 presentation highlights strategic shift from B2B cashew processing to high-margin B2C snacking (DriFrutz) and massive capacity expansion.

Why this was an Alfa AlertManagement explicitly guides to >50% YoY growth for the next period on a primary metric (Net Profit/Revenue target range top end).
Highlights
Revenue growth85.14% YoY surge in FY26.
MarginsTargeting 10-15% EBITDA; improved via automation and B2C mix.
Demand visibilityStrong domestic and international demand for premium/health snacks.
Management confidenceStrong; targeting 40-50% CAGR over next 3 years.

Growth

FY26 Total Income rose 85.14% YoY to ₹57.62 Cr; EBITDA grew 48.34% to ₹6.31 Cr; PAT reached ₹2.46 Cr.

Outlook

Management targets 40-50% CAGR over next 3 years with sustained 10-15% EBITDA margins and full automation.

Risks

Raw material consistency across global sourcing networks; local preference for cheaper, lighter on-the-go snacks.

Source

Earnings Call filed with BSE, BSE: 543814. Summary written with AI assistance from the document.

Read the document ↗

Prospect Consumer Products Ltd: key numbers

Share price
₹33.99
Market cap
₹18.82 Cr
Revenue (annual)
₹57.54 Cr
Net profit (annual)
₹2.46 Cr
P/E (TTM)
7.7×Sector 41.4×
Promoter holding
47.06%
FII holding
0.00%Current quarter

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

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