Hindustan Power Exchange Limited

Last Traded Price : ₹33

About

Hindustan Power Exchange (HPX) (formerly known as Pranurja Solutions Limited) is the new age power exchange in Indian Electricity Market. It provides a comprehensive market platform for different electricity products providing a transparent, seamless and robust exchange platform for the market participants. HPX provides opportunity to market participants to transact in most equitable and transparent manner giving its customers unmatched user experience through advanced technology and customized value added services. Through continuous innovation and creativity in the services as well as its technology, HPX brings in fresh perspective in the power market.

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Fundamental


Company Name :
Hindustan Power Exchange Limited
Scrip Name :
HPXL
ISIN No. :
INE07WD01012
No. of Outstanding Shares :
552,500,000
PAN No. :
AAJCP8333P
Face Value :
₹1.00
EPS :
₹0.27
PE ratio :
133.19
P/S Ratio :
45.58
Market Capitalization :
₹1,989.00 Crore
Book value :
₹1.02
P/BV :
35.16
52 Week High :
₹ 60.00 (20/09/25)
52 Week Low :
₹ 40.00 (08/10/25)
Lifetime High :
₹ 60.00 (20/09/25)
Lifetime Low :
₹ 40.00 (08/10/25)
DRHP Filed ?
No
Available on :
NSDL and CDSL
ROFR Require :
Yes
Sector :
Electricity
CIN :
U74999MH2018PLC308448
Registration Date :
24/04/2018

Balance Sheet (RS in Lakhs)

Particulars 2024 2023
Non-Current Assets
Property, Plant and Equipment 266.44 466.11
Intangible assets 851.46 1,060.68
Capital work-in-progress - -
Right of use 50.59 126.48
Other financial assets 242.76 1,134.36
Income tax assets (net) 0.15 57.58
Other non-current assets 1.27 3.15
Current Assets
Trade receivables 149.56 238.65
Cash and cash equivalents 21,585.17 7,257.11
Bank balances other than above 7,111.02 2,616.61
Other financial assets 0.28 1.23
Other current assets 1,288.76 1,548.37
Total Assets 31,547.46 14,510.33
Equity
Equity Share Capital 5,525.00 5,525.00
Other Equity 131.75 -1,360.57
Non-current liabilities
Lease liabilities - 57.62
Other financial liabilities 279.14 178.03
Other non-current liabilities 218.02 222.82
Non-current Provision 46.91 23.71
Current liabilities
Total dues micro and small enterprises 22.49 4.87
Total dues other than above 479.67 1,294.99
Lease liabilities 57.62 78.29
Other financial liabilities 17,186.53 6,178.97
Current Provisions 2.22 3.14
Other current liabilities 7,598.11 2,302.46
Total equity and liabilities 31,547.46 14,510.33

Profit & Loss Statement (RS in Lakhs)

Particulars 2024 2023
Revenue from Operations
Revenue from operations 3645.62 1550.51
Investment income 712.03 183.45
Other Income 5.74 9.57
Total Income 4363.39 2743.53
Expenses
Employee benefit expense 1033.21 927.75
Finance cost 19.62 7.99
Depreciation and amortization expense 489.95 577.35
Administration and other expenses 1148.09 1231.78
Total Expenses 2690.87 2744.87
Profit Before Tax 1672.52 -1001.34
Tax Expense
Current tax 179.2 -
Tax for earlier years - -
Deferred tax - -
Profit for the Year 1493.32 -1001.34
Other Comprehensive Income
Remeasurements of defined benefit liabilities 1.01 0.08
Total Comprehensive Income 1492.31 -1001.42
Earnings per Equity Share
Basic (?) 0.27 0.08
Diluted (?) 1 1

Cash Flow Statement (RS in Lakhs)

Particulars 2024 2023
Cash Flow From Operating Activities
Profit/(Loss) for the year 1672.52 -1001.34
Adjustments for:
Depreciation and amortisation expense 489.95 577.35
Provision/Liability No longer required written back - -7.2
Interest expense on financial liabilities (amortised cost) 19.62 7.99
Amortisation of deferred settlement guarantee fund -18.73 -7.39
Interest income on Financial Assets at Amortised Cost -1.38 -1.28
Interest expense on lease liabilities 7.85 13.49
Profit/Loss on Sale/theft of Fixed assets -0.04 0.06
Interest income -712.03 -183.45
Operating Profit before Working Capital Changes 1457.76 -601.77
Other assets 261.49 -1285.16
Trade payable -797.7 1146.25
Other financial assets 0.95 50.87
Other Current Liabilities 5313.38 7887.75
Other non-Current Liability -4.8 222.82
Other financial liabilities 11089.05 284.29
Trade Receivable 89.09 -236.73
Provisions 21.27 16.37
Operating Profit After Working Capital Changes 15972.73 8086.46
Tax paid (net of refunds) -121.77 -28.19
Net Cash generating from/(used in) Operating Activities 17308.72 7456.5
Cash Flow From Investing Activities
Investment/Maturity of fixed deposits -3471 823.72
Interest income received 581.6 115.49
PPE- Amount Realised against sale /theft of Laptop 0.32 0.68
Investment in property, plant & equipment including CWIP -5.44 -1074.11
Net Cash Generated From/(used in) Investing Activities -2894.52 -134.22
Cash Flow From Financing Activities
Repayment of lease obligation -86.14 -82.04
Net Cash Generated From/(used in) Financing Activities -86.14 -82.04
Net (Decrease)/ increase in Cash and Cash Equivalents 14328.06 7240.24
Opening balance of cash and cash equivalents 7257.11 16.87
Closing balance of cash and cash equivalents 21585.17 7257.11

Financial Ratios

Particulars 2024 2023
Current Ratio 1.19 1.18
Return on Equity Ratio 0.27 -0.18
Trade Receivables Ratio 18.78 13.1
Trade Payables Turnover Ratio 4.05 2.39
Net Capital Turnover Ratio 0.74 0.33
Net Profit Ratio 0.41 0.65
Return on Capital Employed Ratio 29.57% -24.05%
Return on Investments 3.11% 2.79%

Price per Unit 33
No. of Unit to Buy

Total Investment 0

*Best Price In Industry
No. of Unit to Sell
Price per Unit to Sell


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How Its Work


Our team will contact you via Email or Phone

Contact our team to get the best prices for the shares you wish to buy or sell.



Secure Transaction Process

After deal confirmation and KYC, the seller transfers shares to our Demat account, while the buyer safely sends payment to our bank account.



Deal Completion

The final stage of the transaction where legal documents are signed, payments are settled, and ownership is officially transferred.