FERTILIZERS AND CHEMICALS TRAV vs UPL LIMITED

FACT and UPL, both in Chemicals: Agricultural. Monthly data through 2026-10-09. Change the comparison →

Price, rebased to 100

Share price change since Jan '19, the first month all 2 have a price: FACT +1737%, UPL -3%.

6290417462588Jan '19Aug '20Mar '22Oct '23May '25Oct '266290417462588Jan '19Aug '21Mar '24Oct '26

Rebased at 2019-01. Monthly closes from each company's history.

ROCE

1.0%14.0%27.0%40.0%Jan '19Aug '20Mar '22Oct '23May '25Oct '261.0%14.0%27.0%40.0%Jan '19Aug '21Mar '24Oct '26
FERTILIZERS AND CHEMICALS TRAV (FACT)UPL LIMITED (UPL)

Months with a missing value are left as gaps.

Where the return came from

The share price return over 3 years, split into net profit growth, share count change and the change in P/E.

UPL Net profit growth: -25 pts-25 ptsP/E change: +19 pts+19 pts -6%
Net profit growthShare count changeP/E changeUnexplained

UPL: share price fell 6% over 3 years: −25 pts from net profit growth, +19 pts from the P/E change.

Not shown for FACT: earnings were negative at one end of the window or there is not enough history.

Segments are percentage points of the price return: price = P/E × net profit ÷ share count. These are the same numbers each company's own page shows.

Rank within sector, month by month

Each cell is the company's percentile rank among its own sector peers that month. Darker is higher-ranked. Rows marked ↓ are inverted (lower debt, shorter cash cycle and a lower P/E rank higher).

FERTILIZERS AND CHEMICALS TRAV (FACT) · Process Industries

ROCE
Op. margin
Revenue growth
EPS growth
Debt/equity ↓
Cash cycle ↓
P/E ↓
12M momentum
Nov '212023202420252026Oct '26
Lower rank Higher rank

UPL LIMITED (UPL) · Process Industries

ROCE
Op. margin
Revenue growth
EPS growth
Debt/equity ↓
Cash cycle ↓
P/E ↓
12M momentum
Nov '212023202420252026Oct '26
Lower rank Higher rank

Percentiles use today's listed companies in the sector and need at least 5 peers with a value.

Latest snapshot

MetricFACTUPL
Share Price₹729.40₹488.45
Market Cap₹47144 cr₹41225 cr
P/E—54.8x
P/B34.9x2.9x
P/S7.9x7.5x
ROCE4.0%9.0%
ROE-7.9%5.4%
Operating margin-2.4%3.4%
Revenue (TTM), indexed to 100₹5934 cr₹5485 cr
Net Profit (TTM)₹-106 cr₹752 cr
Debt / Equity3.0x0.1x
Cash Conversion Cycle109d150d
Promoter holding90.0%33.5%
FII Holding0.2%42.4%
DII Holding0.1%14.3%
12M momentum-19.3%-32.2%
Drawdown from Peak-29.0%-38.6%
Cash conversion (3Y)-2.0x-0.7x
Interest cover0.5x8.8x
Share Count Change (1Y)0.0%6.3%
Volatility (1Y)40.1%34.0%

Latest month in the data: 2026-10. Highlight marks the higher value, or the lower value for P/E, P/B, P/S, debt, working-capital days, share count change and volatility. It marks a number, not a better investment.

Comparison is descriptive and historical. Highlights mark the higher or lower value on a metric, not a better investment. Not investment advice; ApnaFunda is not a SEBI-registered research analyst.