Valuation

P/E--
P/B--
P/S--
EV/EBIT1.8

Business Strength

ROE0.0%
ROCE0.0%
OPM69.2%
NPM-1244.7%

Growth (3Y CAGR)

EPS+1.3%
Sales-6.0%
Profit-7.0%
3Y Return--

Balance Sheet

Debt/Equity-0.0
Debt68.2 Cr
Pledge84.8%
CWIP/Fixed Asset0.0%

Cash Position

CFO/NP0.0%
FCF0.34 Cr
FCF 3Y Avg22.7 Cr
Cash/MCap20.0%

Others

Div Yield0.0%
Div Payout0.0%
Cash Conv. Cycle-2081 days
Tradeable Free Float13.2%

Growth Trends

Metric10Y5Y3Y1YTTMTrend
ROE
--
--
--
--
--
--
Profit
-7.0%
-21.0%
-7.0%
--
-27.0%
Stable
Return
-19.0%
--
--
--
--
--
Sales
-36.0%
+12.0%
-6.0%
--
+53.0%
Stable

Quarterly Results

Jun 2026

10 Aug
Rev
2 Cr
+100% YoY-98% QoQ
OPM-1053.0%
NPM-18650.0%
PAT
-91% YoY-373 Cr
EPS
-92% YoY-10.0

Mar 2026

1 Jun
Rev
80 Cr
+63% YoY+3900% QoQ
OPM81.0%
NPM-392.5%
PAT
-95% YoY-314 Cr
EPS
-91% YoY-8.5

Dec 2025

14 Feb
Rev
2 Cr
-60% YoY-82% QoQ
OPM-134.0%
NPM-17300.0%
PAT
+35% YoY-346 Cr
EPS
+35% YoY-9.4

Sep 2025

Rev
11 Cr
+57% YoY+1000% QoQ
OPM41.0%
NPM-2881.8%
PAT
-83% YoY-317 Cr
EPS
-83% YoY-8.6

Jun 2025

Rev
1 Cr
-86% YoY-98% QoQ
OPM-157.0%
NPM-19400.0%
PAT
+40% YoY-194 Cr
EPS
+39% YoY-5.2

Mar 2025

Rev
49 Cr
+96% YoY+880% QoQ
OPM160.0%
NPM-349.0%
PAT
+86% YoY-171 Cr
EPS
+86% YoY-4.4

Dec 2024

Rev
5 Cr
-67% YoY-29% QoQ
OPM-2735.0%
NPM-10640.0%
PAT
-213% YoY-532 Cr
EPS
-214% YoY-14.4

Sep 2024

Rev
7 Cr
-59% YoY+0% QoQ
OPM438.0%
NPM-2485.7%
PAT
+42% YoY-174 Cr
EPS
+42% YoY-4.7

Jun 2024

Rev
7 Cr
-53% YoY-72% QoQ
OPM-477.0%
NPM-4514.3%
PAT
-13% YoY-316 Cr
EPS
-5% YoY-8.6

Mar 2024

PDF
Rev
25 Cr
-71% YoY+67% QoQ
OPM-2358.0%
NPM-4584.0%
PAT
-209% YoY-1.1K Cr
EPS
-1413% YoY-31.3

Dec 2023

PDF
Rev
15 Cr
+88% YoY-12% QoQ
OPM448.0%
NPM-1153.3%
PAT
-460% YoY-173 Cr
EPS
+9% YoY-4.6

Sep 2023

PDF
Rev
17 Cr
--+13% QoQ
OPM-334.0%
NPM-2017.7%
PAT
+12% YoY-343 Cr
EPS
---8.1

Jun 2023

PDF
Rev
15 Cr
---82% QoQ
OPM-115.0%
NPM-2046.7%
PAT
+12% YoY-307 Cr
EPS
---8.1

Mar 2023

PDF
Rev
85 Cr
--+963% QoQ
OPM-93.0%
NPM97.7%
PAT
+18% YoY83 Cr
EPS
---2.1

Dec 2022

Rev
8 Cr
----
OPM2299.0%
NPM-3862.5%
PAT
+89% YoY-309 Cr
EPS
---5.0

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity-0.01
Interest Coverage--x
Promoter Pledge84.8%
Borrowings68 Cr

Efficiency

Receivable Days117 days
Inventory Days294 days
Payable Days2492 days
Cash Conversion cycle-2081 days

Cash Position

Operating Cash Flow0 Cr
Investing Cash Flow20 Cr
Financing Cash Flow-17 Cr
Free Cash Flow0 Cr

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Dec 2025PDF ↗
Sep 2025
Jun 2025
Mar 2025
Dec 2024
Sep 2024
Jun 2024
Mar 2024PDF ↗
Dec 2023PDF ↗
Sep 2023PDF ↗
Jun 2023PDF ↗
Mar 2023PDF ↗
Dec 2022
Sales28021114957725151715858
Expenses2515464-29141-2442604-537432164-165
Operating Profit-2365-24-278-13631-35-58069-57-17-79173
OPM %-1053.0%81.0%-134.0%41.0%-157.0%160.0%-2735.0%438.0%-477.0%-2358.0%448.0%-334.0%-115.0%-93.0%2299.0%
Other Income1-273612726-9192794521-14378-225
Interest349341346327318306304296288275293286276228256
Depreciation000001111000000
Profit Before Tax-372-303-346-317-194-203-532-174-316-761-173-343-30770-309
Tax %0.0%4.0%0.0%0.0%0.0%-16.0%0.0%0.0%0.0%51.0%0.0%0.0%0.0%-18.0%0.0%
Net Profit-373-314-346-317-194-171-532-174-316-1,146-173-343-30783-309
Exceptional Items00000-4007000-15299-259
EPS (Rs)-10.0-8.5-9.4-8.6-5.2-4.4-14.4-4.7-8.6-31.3-4.6-8.1-8.1-2.1-5.0
Sales Growth (YoY)100.0%63.3%-60.0%57.1%-85.7%96.0%-66.7%-58.8%-53.3%-70.6%87.5%--------
Sales Growth (QoQ)-97.5%3900.0%-81.8%1000.0%-98.0%880.0%-28.6%0.0%-72.0%66.7%-11.8%13.3%-82.3%962.5%--
OP Growth (YoY)-1050.0%-16.7%98.5%-87.1%94.3%113.4%-297.1%154.4%-105.9%-634.2%-60.1%--------
OP Growth (QoQ)-135.4%3350.0%-150.0%300.0%-102.6%157.4%-538.7%188.6%94.0%-940.6%221.1%-235.3%78.5%-145.7%--
Profit Growth (YoY)-91.0%-95.0%35.0%-83.0%40.0%86.0%-213.0%42.0%-13.0%-209.0%-460.0%12.0%12.0%18.0%89.0%
EPS Growth (YoY)-91.6%-90.5%35.0%-83.2%38.8%85.8%-213.5%42.0%-5.3%-1412.6%8.8%--------
EPS Growth (QoQ)-18.4%9.6%-9.0%-64.2%-17.8%69.2%-206.8%45.1%72.7%-582.1%43.2%0.5%-292.3%58.9%--
OP Margin-1150.0%81.3%-100.0%36.4%-200.0%159.2%-2720.0%442.9%-500.0%-2320.0%460.0%-335.3%-113.3%-92.9%2162.5%
Net Margin-18650.0%-392.5%-17300.0%-2881.8%-19400.0%-349.0%-10640.0%-2485.7%-4514.3%-4584.0%-1153.3%-2017.7%-2046.7%97.7%-3862.5%
Material Cost %0.0%7.0%0.0%0.0%0.0%93.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%25.8%0.0%
Employee Cost %67.0%2.0%89.0%14.0%99.0%4.0%36.0%27.0%25.0%10.0%14.0%12.0%15.0%3.5%31.0%
P/S------------------------------
P/E------------------------------
P/B------------------------------

Shareholding Pattern

Shareholders:26.2K (-38.6%)
Current MixJun 2026

Annual Reports

11

2021

2020

2019

2018

2017

2016

2014

2013

2012

2011

2010

Credit Ratings

6
careRating update
22 Jul 2025Report
careRating update
23 Jul 2024Report
careRating update
24 Jul 2023Report
careRating update
05 Aug 2022Report
careRating update
05 Aug 2021Report
careRating update
23 Jul 2020Report