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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
Sales15024319525711721013822486136
Expenses13922518123311221113720990130
Operating Profit101814245.16-1.370.2415-4.075.55
OPM %6.927.357.099.454.40-0.650.176.74-4.754.09
Other Income0.321.231.180.901.060.681.010.701.07-0.53
Interest4.655.245.765.595.815.866.024.533.623.18
Depreciation2.973.113.073.393.343.833.903.874.254.35
Profit Before Tax3.05116.1416-2.93-10-8.687.40-11-2.51
Tax %18.0325.9141.5315.17-22.53-2.9959.331.0811.8784.86
Net Profit2.507.953.5814-3.58-11-3.537.33-9.58-0.38
EPS in Rs0.481.510.692.63-0.59-1.73-0.641.23-1.73-0.09

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
Sales432464588534589545732867722689
Expenses359416558489520506740807694670
Operating Profit744729456939-7.75592819
OPM %17.0310.154.988.4811.657.14-1.066.863.922.78
Other Income1.433.012.150.520.862.513.533.393.653.45
Interest13131517111417202322
Depreciation5.145.916.257.157.498.079.13121415
Profit Before Tax12149.99215119-3030-5.77-15
Tax %34.6833.8239.8510.8525.4325.8124.2528.3129.9528.24
Net Profit8.159.196.01193814-2322-4.04-10
EPS in Rs1.153.516.843.77-4.374.16-0.34-1.23
Dividend Payout %9.158.1112.404.022.754.980.004.520.00

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 Capital4.964.964.964.964.964.964.964.964.965.11
Reserves5562717694129149125147197
Borrowings55585468708199120128100
Other Liabilities109118127162184150156161174170
Total Liabilities223243258311353365409411454472
Fixed Assets60798399106100106124155165
CWIP3.630.020.490.670.958.1014171321
Investments0.020.020.020.020.020.020.022.864.294.05
Other Assets159165174212246256290268281283
Total Assets223243258311353365409411454472

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 Activity1326311832304.03275834
Cash from Investing Activity-8.77-18-12-25-16-14-7.02-31-46-37
Cash from Financing Activity-4.19-8.90-185.83-16-163.123.76-122.58
Net Cash Flow0.07-0.251.35-1.560.01-0.030.13-0.090.23-0.21

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Frequently Asked Questions about Kriti Industries (India) Ltd

Kriti Industries (India) Ltd (KRITI) is currently trading at 83.98 per share. Stock prices fluctuate during market hours on NSE and BSE based on demand, company updates, and overall market conditions. Refer to the live price chart above for the most recent price movement.

Kriti Industries (India) Limited manufactures polymer piping solutions and accessories—PVC, CPVC, HDPE, column and casing pipes—sold primarily under the Kasta brand into agriculture, building products, micro‑irrigation and industrial solutions, operating from a large single integrated facility at Pithampur, Madhya Pradesh and a dealer network of about 490 dealers across 16 states. Recent operating data shows revenue pressure with 9M‑FY26 revenues at INR 4,456 million, a 24% year‑on‑year decline driven by weather‑related demand weakness, while Q3‑FY26 EBITDA turned positive to INR 56 million driven by lower raw material costs and disciplined opex control, reflecting operational leverage despite net loss of INR 5 million in the quarter. Kriti’s manufacturing scale is a strategic asset: the single Pithampur plant reports 149,400 TPA capacity across multiple extrusion and injection lines, extensive BIS certifications and automated compounding, enabling a heavy retail focus (over 85% revenues) and dominant brand recall in Central India that supports pricing and distribution advantages in core territories. Management is deliberately cautious on geographic capex and multi‑locational plants, preferring to watch recovery over one to two quarters before committing; the company has de‑prioritised aggressive push into industrial/EPC contracts and capped that exposure near INR 100–150 crores, while reiterating a medium‑term ambition to cross INR 1,000 crore revenue by FY28‑29 contingent on demand recovery. Key structural risks are weather dependency, resin price volatility and concentrated geographic exposure; countermeasures include tighter working capital management, margin focus to reach near‑term 10% EBITDA first, selective depot seeding and possible promoter support for funding if required, indicating a pragmatic balance between growth aspirations and financial conservatism.

Over the past 52 weeks, Kriti Industries (India) Ltd has traded between a low of ₹72.42 and a high of ₹179.00. The 52-week high and low indicate the stock’s price range over the last year and help investors understand its volatility and recent trading levels.

Kriti Industries (India) Ltd has a market capitalization of approximately 442.54. Market capitalization represents the total value of a company’s outstanding shares and helps investors understand its size, stability, and relative risk compared to other listed companies.

Kriti Industries (India) Ltd’s investment profile depends on its business fundamentals, valuation, and long-term outlook. The stock currently trades at a PE ratio of -68.27 and operates in the Plastic products sector. Investors typically assess financial performance, growth prospects, and individual risk tolerance before making investment decisions.

Based on its market capitalization of 442.54 Cr, Kriti Industries (India) Ltd is classified as a Small Cap stock. Large-cap stocks are generally more stable, while mid-cap and small-cap stocks tend to offer higher growth potential along with higher price volatility.

Kriti Industries (India) Ltd operates in the Plastic products sector. Sector classification matters because companies in the same sector are often affected by similar economic conditions, regulatory changes, and competitive dynamics, which can influence overall stock performance.

The Price-to-Earnings (PE) ratio of Kriti Industries (India) Ltd is -68.27. The PE ratio compares a company’s share price to its earnings and is commonly used to assess valuation. Comparing the PE ratio with sector peers and historical levels provides better context.