| 
                            
 
    Registered Address
 
                            
    Key Officials 
	
		| 
            Name
         | 
		
            Designation
         | 
	 
	
		| 
            Mr. Narendranath J Baliga
         | 
		
            Chief Financial Officer
         | 
	 
	
		| 
            Mr. Manohar Kamath
         | 
		
            General Counsel & Company Secretary
         | 
	 
	
		| 
            
         | 
		
            
         | 
	 
 
                            
    Listings 
	
		| 
            BSE        , BSE        , MCXSX      , NSE       ,  
         | 
	 
 
                            
	
        
            
                | 
                    Standalone
                    Consolidated
                 | 
             
            
                | 
                    You are viewing
                    standalone
                    data.
                 | 
             
            
                
                    
		
    Quarterly Results
 
    
 
		
	 
                    
   Balance Sheet
 
            
		
			| 
                     | 
			
                        Mar  25
                     | 
			
                        Mar  24
                     | 
			
                        Mar  23
                     | 
		 
		
			| 
                        Share Capital
                     | 
			
                        43.29
                     | 
			
                        43.29
                     | 
			
                        43.29
                     | 
		 
		
			| 
                        Reserve & Surplus
                     | 
			
                        3,613.82
                     | 
			
                        3,176.79
                     | 
			
                        2,652.47
                     | 
		 
		
			| 
                        Revaluation Reserve
                     | 
			
                        0.00
                     | 
			
                        0.00
                     | 
			
                        0.00
                     | 
		 
		
			| 
                        Networth
                     | 
			
                        3,657.11
                     | 
			
                        3,223.58
                     | 
			
                        2,701.18
                     | 
		 
		
			| 
                        Total debt
                     | 
			
                        -
                     | 
			
                        -
                     | 
			
                        -
                     | 
		 
		
			| 
                        Total Liability
                     | 
			
                        3,657.11
                     | 
			
                        3,223.58
                     | 
			
                        2,701.18
                     | 
		 
		
			| 
                        Net Block
                     | 
			
                        694.00
                     | 
			
                        758.74
                     | 
			
                        792.89
                     | 
		 
		
			| 
                        Capital work in progress
                     | 
			
                        83.72
                     | 
			
                        61.48
                     | 
			
                        18.77
                     | 
		 
		
			| 
                        Investment
                     | 
			
                        213.41
                     | 
			
                        0.01
                     | 
			
                        0.00
                     | 
		 
		
			| 
                        Net current asset
                     | 
			
                        2,665.98
                     | 
			
                        2,403.35
                     | 
			
                        1,889.52
                     | 
		 
		
			| 
                        Miscellaneous expenses
                     | 
			
                        0.00
                     | 
			
                        0.00
                     | 
			
                        0.00
                     | 
		 
		
			| 
                        Total Assets
                     | 
			
                        3,657.11
                     | 
			
                        3,223.58
                     | 
			
                        2,701.18
                     | 
		 
	 
	
                    
    Income Statement
 
	
                    
    Key Ratios
 
		
			| 
             
         | 
			
            Mar25
         | 
			
            Mar24
         | 
			
            Mar23
         | 
		 
		
			| 
            OPM (%)
         | 
			
            4.92
         | 
			
            6.46
         | 
			
            5.03
         | 
		 
		
			| 
            GPM (%)
         | 
			
            3.75
         | 
			
            5.07
         | 
			
            3.69
         | 
		 
		
			| 
            NPM (%)
         | 
			
            3.29
         | 
			
            4.09
         | 
			
            2.95
         | 
		 
		
			| 
            Earning Retention Ratio
         | 
			
            85.97
         | 
			
            93.86
         | 
			
            93.30
         | 
		 
		
			| 
            Return on networth (%)
         | 
			
            13.65
         | 
			
            17.49
         | 
			
            14.94
         | 
		 
		
			| 
            EPS (Rs.)
         | 
			
            115.33
         | 
			
            130.15
         | 
			
            93.08
         | 
		 
		
			| 
            Dividend payout Ratio
         | 
			
            13.00
         | 
			
            6.14
         | 
			
            6.44
         | 
		 
		
			| 
            Longterm Debt-Equity Ratio
         | 
			
            0.00
         | 
			
            0.00
         | 
			
            0.00
         | 
		 
		
			| 
            Current Ratio
         | 
			
            1.57
         | 
			
            1.60
         | 
			
            1.49
         | 
		 
		
			| 
            Fixed Asset Turnover Ratio
         | 
			
            4.41
         | 
			
            4.65
         | 
			
            5.42
         | 
		 
		
			| 
            Inventory
         | 
			
            4.15
         | 
			
            4.28
         | 
			
            5.06
         | 
		 
		
			| 
            Interest coverage Ratio
         | 
			
            53.17
         | 
			
            62.18
         | 
			
            52.05
         | 
		 
	 
	
                 | 
             
         
    
 
                         | 
                        
                         | 
                        
                            
 
    Registrar Details
 
	
		| 
            MUFG Intime India Pvt. Ltd.
         | 
	 
	
		| 
            C 101, 247 Park,
L.B.S. Marg, Vikhroli (West)
         | 
	 
	
		| 
            Mumbai,400083,Maharashtra
         | 
	 
	
		| 
          Tel :  022-49186270
         | 
	 
	
		| 
         Fax :   49186060
         | 
	 
 
                            
                            
                            
    Market Performance
 
                            
    Board Meetings 
	
		| 
            Date
         | 
		
            Purpose
         | 
	 
	
		| 
            14/11/2025
         | 
		
            Quarterly Results
         | 
	 
	
		| 
            30/07/2025
         | 
		
            Quarterly Results
         | 
	 
	
		| 
            14/05/2025
         | 
		
            Audited Results & Final Dividend
         | 
	 
 
                            
    Corporate News
 
                            
    Share Holding Pattern as on 30/09/2025
 
	
		| 
            Major Holder
         | 
		
            No. of Shares
         | 
		
            Percentage (%)
         | 
	 
	
		| 
            Promoters
         | 
		
            31,743,220
         | 
		
            73.33
         | 
	 
	
		| 
            Institutional Investors
         | 
		
            4,574,123
         | 
		
            10.57
         | 
	 
	
		| 
            Other Investors
         | 
		
            2,003,848
         | 
		
            4.63
         | 
	 
	
		| 
            General Public
         | 
		
            4,964,449
         | 
		
            11.47
         | 
	 
 
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