TipHub

3.61

+0 +0.00%

29 Jul 2026

BSE Listed

GSM · GSM 0 · LT-ASM · ASM 1
What does GSM · GSM 0 · LT-ASM · ASM 1 mean?
BSE · Graded Surveillance Measure (GSM 0)GSM targets fundamentally weak companies whose price doesn't square with their financials (tiny net worth or negative/extreme P/E). Practical meaning: the exchange doubts the price is backed by the business. Stage 0 is a watchlist; each higher stage makes the stock progressively harder to trade — tighter bands, full upfront margin, weekly-only trading, and at Stage IV no upward price movement at all. Exiting requires a quarterly review finding the criteria no longer met.Criteria: Shortlisted on objective financial parameters — net worth, net fixed assets, price-to-earnings multiple and market capitalisation. Stage 0 = base surveillance watchlist (identified under GSM, no graded price restriction yet); Stages I–VI add escalating curbs (price band, 100% margin, periodic call auction, settlement on a gross/trade-for-trade basis, no upward price movement).
BSE · Long Term Additional Surveillance Measure (ASM 1)LT-ASM is the joint SEBI/exchange framework for SUSTAINED abnormal price moves (contrast ST-ASM's 5–15-day spikes). Entry is beta-adjusted price variation versus the Nifty (e.g. 3-month high-low above 150% plus the stock's β × index move) along with client-concentration checks. Stages I–IV escalate from a 5% price band through 100% margin to Trade-for-Trade with an additional surveillance deposit. Practical meaning: the exchange still considers the price action abnormal — tighter bands and elevated margins continue even if another measure (like ESM) has lifted. A stock can sit under LT-ASM on both exchanges via either exchange's shortlisting; it is a preventive cost-of-speculation measure, not an adverse finding against the company.Criteria: High 3-month / 12-month high-low price variation, close-to-close price variation, client concentration, number of price-band hits, market-wide position limit and P/E — applied in graded Stages I–IV with escalating margin and price-band curbs.Exchange notice · 2026-06-10

Agio Paper & Industries Limited (516020)

Volume: 4Avg Vol 1W: 571Avg Vol 1M: 80652W Range:3.287.1
Market Cap₹6 Cr
Current Price₹3.61
Previous Close₹3.61
High / Low (52w)₹7.1 / ₹3.28
Volume4
Avg Vol (1W)571
Avg Vol (1M)806
Stock P/E
Book Value₹-10.3
Dividend Yield0%
ROE108.66%
ROA-245.38%
Revenue (TTM)
Revenue Growth
Profit Margin0%
Total Debt
Shares Outstanding2 Cr
Face Value
EPS (TTM)₹0
P/B
Debt / Equity0.31
50 DMA₹3.74
200 DMA₹4.71
Day change+0.00%
SurveillanceGSM · GSM 0 · LT-ASM · ASM 1
Price Chart
3.61 29.22% · 1Y
7314K
2025-07-31
2026-07-29

20-day avg volume: 876 shares

Pros
  • Healthy return on equity of 108.7%.
  • Company is almost debt-free.
Cons
  • Revenue fell 98% YoY.
  • Company is loss-making at the latest annual result.
  • Negative book value per share.
Quarterly Results
MetricJun 2024Sept 2024Dec 2024Mar 2025Jun 2025Sept 2025Dec 2025Mar 2026
Revenue₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr
EBITDA₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹-16 Cr₹0 Cr₹0 Cr
Net Profit₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹-17 Cr₹0 Cr₹0 Cr
EPS
Profit & Loss (Annual)
MetricMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Revenue₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr
EBITDA₹-1 Cr₹-1 Cr₹-1 Cr₹-1 Cr₹-1 Cr₹-1 Cr₹0 Cr₹-1 Cr
Net Profit₹-5 Cr₹-8 Cr₹-2 Cr₹-1 Cr₹-1 Cr₹-1 Cr₹-1 Cr₹-2 Cr
EPS-3.19-5.18-0.96-0.76-0.83-0.87-0.67-0.98
Balance Sheet
MetricMar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Total Assets₹37 Cr₹24 Cr₹24 Cr₹24 Cr₹24 Cr₹24 Cr₹24 Cr₹24 Cr
Total Liabilities₹20 Cr₹15 Cr₹16 Cr₹18 Cr₹19 Cr₹20 Cr₹21 Cr₹22 Cr
Equity₹17 Cr₹9 Cr₹8 Cr₹6 Cr₹5 Cr₹4 Cr₹3 Cr₹1 Cr
Total Debt
Cash Flow
MetricMar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Operating₹-1 Cr₹-1 Cr₹-1 Cr₹0 Cr₹0 Cr
Investing₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr
Financing₹1 Cr₹1 Cr₹0 Cr₹0 Cr₹0 Cr
Free Cash Flow₹-1 Cr₹-1 Cr₹-1 Cr₹0 Cr₹0 Cr
Shareholding
Promoter 63.56% Institutions 0.04% Public 36.4%
Efficiency & Working Capital
ROCE-5051.5%
Interest Coverage-0.5
Dividend Payout
Debtor Days
Inventory Days
Payable Days
Cash Conversion Cycle
Working Capital Days
Shareholding Details

As of 2026-06-30

Promoter63.6%
FII0%
DII0%
Institutions0%
Public36.4%
Promoter Pledge0%
No. of Shareholders8,462
Shareholding Pattern

Quarterly — figures in %. Latest 12 quarters.

PeriodSept 2023Dec 2023Mar 2024Jun 2024Sept 2024Dec 2024Mar 2025Jun 2025Sept 2025Dec 2025Mar 2026Jun 2026
Promoters63.6%63.6%63.6%63.6%63.6%63.6%63.6%63.6%63.6%63.6%63.6%63.6%
FIIs0%0%0%0%0%0%0%0%0%0%0%0%
DIIs0%0%0%0%0%0%0%0%0%0%0%0%
Public36.4%36.4%36.4%36.4%36.4%36.4%36.4%36.4%36.4%36.4%36.4%36.4%
Promoter Pledge0%0%0%0%0%0%0%0%0%0%0%0%
No. of Shareholders8,2028,2378,3798,3298,4198,4238,4588,4218,4348,4728,4588,462
Returns History (ROE / ROCE / ROA)
PeriodROEROCEROAP/E
202503
Major Shareholders (>1%)
NameCategoryStakeShares
Ankit JalanShareholding of Promoter and Promoter Group45.3%73,11,336
Arrow Syntex Private LimitedShareholding of Promoter and Promoter Group18.2%29,38,194
Anand PurohitPublic Shareholding9.3%15,00,000
Bharat MekaniPublic Shareholding9.3%15,00,000
Murari Lal JalanShareholding of Promoter and Promoter Group0%0
Board of Directors
NameDesignationYear
Ankit JalanManaging Director & CEO2025
Suraj Narayan JaiswalIndependent Non Exe. Director2025
Mohini AgarawalIndependent Non Exe. Director2025
Malay ChakrabartyE D & Wholetime Director2025
Umesh kumar DhanukaIndependent Non Exe. Director2025
Manish BhootCompany Sec. & Compli. Officer2025
Capital Structure (₹ Cr)
YearFace ValueAuthorisedIssuedPaid-up
2025₹10171616
Related-Party Transactions (₹ Cr)
YearSubsidiariesAssociatesJVKMPOthersTotal
2025000213
2025000213
2025000000
Substantial Acquisitions (SAST)

2 disclosure(s)

NULL13/03/2025 · 71,95,868
NULL05/12/2024 · 71,95,868
Company Information
Incorporated1984
AuditorBaid Agarwal Singhi & Co
🌐 www.agiopaper.com

📍 41A AJC Bose Road, Suit No 505, Kolkata, West Bengal, 700017

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