🔥 We have been featured on Shark Tank India.Episode 13

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Consolidated Quarterly Results (in ₹ Crores)

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Total Figures
QoQ Changes
Total Figures
Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales30,22131,96537,72733,86133,56334,79344,26740,11839,90044,312
Expenses24,16825,07229,83527,15627,54627,99735,51731,29632,22835,386
Operating Profit6,0536,8937,8926,7056,0176,7968,7508,8227,6718,926
OPM %20.0321.5720.9219.8017.9319.5319.7721.9919.2320.14
Other Income280256-483653983794853724068.91
Interest2,2262,4332,5862,7252,9513,1963,4073,5513,6693,909
Depreciation1,2451,2441,3291,3681,4961,5321,8311,8101,8991,975
Profit Before Tax2,8623,4723,9282,9761,9682,4483,9963,8342,5103,051
Tax %29.2725.0130.7223.8044.0924.6725.5927.8240.3226.80
Net Profit2,0242,6032,7222,2681,1001,8442,9732,7671,4982,233
EPS in Rs17.1322.3020.6518.135.8413.3822.1920.888.1515.26

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales40,24757,33872,97168,25276,40495,7011,17,6271,30,9781,48,4781,52,741
Expenses28,68344,00856,90257,88057,76975,27096,0381,03,7831,20,2161,22,355
Operating Profit11,56413,33116,06910,37318,63520,43121,58927,19528,26230,386
OPM %28.7323.2522.0215.2024.3921.3518.3520.7619.0319.89
Other Income1,077-170-1,7447,0138931,1333,7337831,5171,634
Interest7023,6595,8316,8905,7234,7766,0449,27712,50013,105
Depreciation1,8082,7243,2604,0044,0334,1614,5525,0016,4546,669
Profit Before Tax5,9525,6375,2336,4929,77112,62714,72713,70010,82512,246
Tax %28.6734.5946.96-1.3030.9315.3324.7727.5528.3529.08
Net Profit4,2463,6882,7766,5766,74910,69111,0789,9267,7568,685
EPS in Rs26.8039.5025.7265.1863.34111.04100.4683.2959.5466.48
Dividend Payout %8.1214.0425.985.9513.748.719.6611.7418.02

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital9393131132132132132132133136
Reserves27,33631,29457,23055,64256,50165,36275,56778,61088,52097,373
Borrowings9,0237,92761,31373,02172,41179,07874,7441,03,0391,37,1551,86,326
Other Liabilities23,14323,45489,1921,00,4081,15,2761,22,9821,38,9521,55,4241,86,7322,16,701
Total Liabilities59,59562,7682,07,8672,29,2032,44,3192,67,5542,89,3953,37,2054,12,5395,00,536
Fixed Assets34,27134,78669,25776,60487,72085,00888,98194,8821,00,4801,41,134
CWIP1,7881,2972,2902,7353,9045,7696,6157,77818,35814,765
Investments10,60114,20065,99562,76366,35388,03296,7811,05,3701,29,3191,40,510
Other Assets12,93512,48470,32587,10086,34288,74697,0171,29,1761,64,3822,04,127
Total Assets59,59562,7682,07,8672,29,2032,44,3192,67,5542,89,3953,37,2054,12,5395,00,536

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity5,8687,288-3,393-2,45516,62015,0757,038-12,685-10,719-17,170
Cash from Investing Activity-4,569-3,488791-2,141-11,364-7,146-1,053-13,712-23,114-23,317
Cash from Financing Activity-1,365-3,7993,4544,870-3,418-8,003-6,73326,46933,90842,978
Net Cash Flow-651.598522741,838-75-74872752,491

Shareholdings

Shareholding History

Quarterly
Yearly
Quarterly
Jun 2023Sep 2023Dec 2023Feb 2024Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Promoters42.88%42.90%42.89%43.20%43.19%43.19%43.25%43.24%43.24%43.24%43.25%43.37%
FIIs12.33%12.22%12.57%12.48%12.74%13.73%13.82%13.55%13.49%13.83%14.42%14.55%
DIIs20.78%20.90%20.67%20.62%20.81%19.73%19.86%20.02%20.64%20.13%19.78%19.61%
Public24.02%23.98%23.87%23.70%23.26%23.35%23.07%23.19%22.63%22.81%22.56%22.47%
Total Shareholders2,43,2652,39,7802,34,4462,41,3752,52,3172,53,6712,65,2022,58,9552,55,1692,47,6282,44,7182,38,208

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