Valuation

P/E--
P/B--
P/S--
EV/EBIT--

Business Strength

ROE0.0%
ROCE-24.3%
OPM0.0%
NPM-0.7%

Growth (3Y CAGR)

EPS-94.1%
Sales--
Profit--
3Y Return--

Balance Sheet

Debt/Equity0.0
Debt0 Cr
Pledge99.7%
CWIP/Fixed Asset0.0%

Cash Position

CFO/NP200.0%
FCF-2.08 Cr
FCF 3Y Avg-21 Cr
Cash/MCap91.0%

Others

Div Yield0.0%
Div Payout0.0%
Cash Conv. Cycle-1 days
Tradeable Free Float40.4%

Growth Trends

Metric10Y5Y3Y1YTTMTrend
ROE
--
--
--
--
--
--
Sales
-2.0%
+74.0%
--
--
+2812.0%
Accelerating
Profit
--
+13.0%
--
--
-93.0%
Decelerating
Return
-37.0%
--
--
--
--
--

Quarterly Results

Jun 2026

14 Aug
Rev
59 Cr
+5893% YoY--
OPM-2.0%
NPM--
PAT
-239% YoY-6 Cr
EPS
---2.5

Mar 2026

30 May
Rev
75 Cr
+6867% YoY+3% QoQ
OPM-0.4%
NPM-0.9%
PAT
+42% YoY-1 Cr
EPS
+41% YoY-0.3

Dec 2025

PDF
Rev
72 Cr
+4392% YoY+1270% QoQ
OPM1.0%
NPM0.6%
PAT
+147% YoY0 Cr
EPS
+138% YoY0.2

Sep 2025

PDF
Rev
5 Cr
+347% YoY+433% QoQ
OPM13.8%
NPM8.0%
PAT
+282% YoY0 Cr
EPS
+280% YoY0.2

Jun 2025

PDF
Rev
1 Cr
-29% YoY-7% QoQ
OPM-129.3%
NPM-164.7%
PAT
-2138% YoY-2 Cr
EPS
-1975% YoY-0.8

Mar 2025

PDF
Rev
1 Cr
-68% YoY-34% QoQ
OPM-2.8%
NPM-102.8%
PAT
-1733% YoY-1 Cr
EPS
-1600% YoY-0.5

Dec 2024

Rev
2 Cr
-37% YoY+36% QoQ
OPM10.6%
NPM10.6%
PAT
+127% YoY0 Cr
EPS
+128% YoY0.1

Sep 2024

PDF
Rev
1 Cr
-27% YoY-16% QoQ
OPM9.3%
NPM9.3%
PAT
-27% YoY0 Cr
EPS
-29% YoY0.1

Jun 2024

Rev
1 Cr
+27% YoY-58% QoQ
OPM5.7%
NPM5.7%
PAT
+113% YoY0 Cr
EPS
+114% YoY0.0

Mar 2024

Rev
3 Cr
--+33% QoQ
OPM12.5%
NPM-1.8%
PAT
---0 Cr
EPS
---0.0

Dec 2023

Rev
3 Cr
--+57% QoQ
OPM0.4%
NPM-24.4%
PAT
---1 Cr
EPS
---0.3

Sep 2023

PDF
Rev
2 Cr
--+47% QoQ
OPM28.4%
NPM9.3%
PAT
--0 Cr
EPS
--0.1

Jun 2023

Rev
1 Cr
---57% QoQ
OPM-25.4%
NPM-54.5%
PAT
---1 Cr
EPS
---0.3

Sep 2021

PDF
Rev
3 Cr
----
OPM-17.6%
NPM-34.1%
PAT
+76% YoY-1 Cr
EPS
---0.4

Revenue & Margin Trends

Annual

Quarterly

Balance Sheet Health

Leverage

Debt / Equity0.00
Interest Coverage-3.0x
Promoter Pledge99.7%
Borrowings0 Cr

Efficiency

Receivable Days12 days
Inventory Days1 days
Payable Days14 days
Cash Conversion cycle-1 days

Cash Position

Operating Cash Flow-2 Cr
Investing Cash Flow0 Cr
Financing Cash Flow2 Cr
Free Cash Flow-2 Cr

Detailed Financials

Jun 2026PDF ↗
Mar 2026PDF ↗
Dec 2025PDF ↗
Sep 2025PDF ↗
Jun 2025PDF ↗
Mar 2025PDF ↗
Dec 2024
Sep 2024PDF ↗
Jun 2024
Mar 2024
Dec 2023
Sep 2023PDF ↗
Jun 2023
Sep 2021PDF ↗
Sales59757251121133213
Expenses61757252111133113
Operating Profit-1-011-1-0000000-0-0
OPM %-2.0%-0.4%1.0%13.8%-129.3%-2.8%10.6%9.3%5.7%12.5%0.4%28.4%-25.4%-17.6%
Other Income0000-0000000000
Interest00000000000000
Depreciation00000100011000
Profit Before Tax-1-100-2-1000-0-10-1-1
Tax %312.7%23.5%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Net Profit-6-100-2-1000-0-10-1-1
Exceptional Items----------------------------
EPS (Rs)-2.5-0.30.20.2-0.8-0.50.10.10.0-0.0-0.30.1-0.3-0.4
Sales Growth (YoY)5893.0%6867.0%4392.0%347.0%-29.0%-68.0%-37.0%-27.0%27.0%----------
Sales Growth (QoQ)--3.1%1269.7%433.3%-7.5%-33.5%36.4%-15.7%-58.5%32.7%56.8%47.3%-56.9%--
OP Growth (YoY)7.8%-900.0%329.4%563.6%-1700.0%-107.1%1600.0%-76.1%128.6%----------
OP Growth (QoQ)-293.3%-141.1%0.0%157.0%-4166.7%-117.6%54.5%37.5%-81.0%4100.0%-97.8%264.3%----
Profit Growth (YoY)-239.0%42.0%147.0%282.0%-2138.0%-1733.0%127.0%-27.0%113.0%--------76.4%
EPS Growth (YoY)--41.2%137.5%280.0%-1975.0%-1600.0%127.6%-28.6%114.3%----------
EPS Growth (QoQ)---257.9%0.0%125.3%-47.1%-737.5%60.0%25.0%233.3%89.7%-514.3%125.0%30.0%--
OP Margin---0.4%1.0%13.8%-129.3%-2.8%10.6%9.3%5.7%12.5%0.4%28.4%-25.4%-17.6%
Net Margin---0.9%0.6%8.0%-164.7%-102.8%10.6%9.3%5.7%-1.8%-24.4%9.3%-54.5%-34.1%
Material Cost %97.0%97.0%96.0%56.0%161.0%6.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%49.0%
Employee Cost %1.0%1.0%1.0%6.0%16.0%7.0%12.0%9.0%14.0%23.0%18.0%16.0%23.0%10.0%
P/S----------------------------
P/E----------------------------
P/B----------------------------

Shareholding Pattern

Shareholders:21.4K (-0.2%)
Current MixMar 2026

Annual Reports

11

2021

2020

2019

2018

2017

2016

2014

2013

2012

2011

2010