V MARC INDIA LIMITED·CABLES 85.58·Industrial Products Companies

2026-08-21 NSE SME Web 10%L-ASM-I
SME₹5.9 L1,500
Result 12 Aug

Price

393.15

+1.69%
O:389.7
H:396.8
L:389.7
C:393.15

52W Range

70400
+462%/-2%

Market Cap

₹5,760.60 Cr

Traded: ₹6.02 Cr (0.10%) 0.0x

Volume · 60D trend

1.53 L 0.0x

Delivery: % 0.0x

View Delivery Data

Returns

1W:+0% 1M:+42% 3M:+47% 6M:+179% 12M:+257%

Valuation

P/E--
P/B19.9
P/S--
EV/EBIT--

Business Strength

ROE--
ROCE--
OPM--
NPM--

Growth (3Y CAGR)

EPS--
Sales--
Profit--
3Y Return--

Balance Sheet

Debt/Equity--
Debt--
Pledge--
CWIP/Fixed Asset--

Cash Position

CFO/NP--
FCF--
FCF 3Y Avg--
Cash/MCap--

Others

Div Yield--
Div Payout--
Cash Conv. Cycle--
Tradeable Free Float--

Growth Trends

Metric10Y5Y3Y1YTTMTrend
Sales
--
--
--
--
--
--
Profit
--
--
--
--
--
--
Return
--
--
--
--
--
--
ROE
--
--
--
--
--
--

Quarterly Results

Jun 2026

12 Aug
Rev
556 Cr
+102% YoY--
OPM11.0%
NPM--
PAT
+163% YoY29 Cr
EPS
--1.9

Mar 2026

PDF
Rev
667 Cr
--+60% QoQ
OPM12.0%
NPM5.8%
PAT
--44 Cr
EPS
+157% YoY3.0

Sep 2025

Rev
692 Cr
--+24% QoQ
OPM11.0%
NPM5.2%
PAT
--36 Cr
EPS
--14.9

Jun 2025

PDF
Rev
274 Cr
----
OPM11.0%
NPM--
PAT
--11 Cr
EPS
--0.7

Mar 2025

Rev
560 Cr
----
OPM11.0%
NPM4.5%
PAT
--25 Cr
EPS
--10.1

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity--
Interest Coverage--x
Promoter Pledge--
Borrowings--

Efficiency

Receivable Days days
Inventory Days days
Payable Days days
Cash Conversion cycle days

Cash Position

Operating Cash Flow--
Investing Cash Flow--
Financing Cash Flow--
Free Cash Flow--

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Sep 2025
Jun 2025PDF ↗
Mar 2025
Sales556667692274560
Expenses496587613244497
Operating Profit5979783063
OPM %11.0%12.0%11.0%11.0%11.0%
Other Income10101
Interest1615181019
Depreciation8612611
Profit Before Tax3659491534
Tax %22.0%26.0%25.0%27.0%28.0%
Net Profit2944361125
Exceptional Items----------
EPS (Rs)1.93.014.90.710.1
Sales Growth (YoY)102.0%--------
Sales Growth (QoQ)--59.8%23.6%----
OP Growth (YoY)96.7%25.4%------
OP Growth (QoQ)-25.3%--160.0%-52.4%--
Profit Growth (YoY)163.0%--------
EPS Growth (YoY)--157.2%------
EPS Growth (QoQ)--74.6%47.3%----
OP Margin--11.1%11.3%--11.3%
Net Margin--5.8%5.2%--4.5%
Material Cost %80.0%79.0%77.0%77.0%76.0%
Employee Cost %4.0%3.0%5.0%5.0%4.0%
P/S----------
P/E----------
P/B19.9318.69------

Shareholding Pattern

Annual Reports

5

2025

2024

2023

2022

2021