Kesoram Inds. (PP) - Kesoram Industries (Partly Paid) Share Price

Kesoram Inds. (PP) - Kesoram Industries (Partly Paid) Share Price

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Open28.10
High30.00
Low27.00
Prev Close28.20
Volume48,522
VWAP(₹)28.82

Stock not traded on NSE/BSE

Key Metrics

PE Ratio(x)-
EPS - TTM(₹)-
MCap(₹ Cr.)-
MCap Rank-
PB Ratio(x)-
Div Yield(%)-
Face Value(₹)-
52W High(₹)-
52W Low(₹)-
MCap/Sales-
Beta(1 Month)-
BV/Share(₹)-

Kesoram Inds. (PP) share price insights

Rank 425 - ET 5002020 ranking

We don’t have any Insights for this stock currently.

Kesoram Inds. (PP) Share Price Returns

1 DayN.A.
1 MonthN.A.
3 MonthsN.A.
1 YearN.A.
3 YearsN.A.
5 YearsN.A.

Financials

  • Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025
    Total Income72.7398.8159.2073.3684.35
    Total Income Growth (%)-26.3966.91-19.30-13.0326.98
    Total Expenses36.5185.9478.92166.83106.91
    Total Expenses Growth (%)-57.528.90-52.6956.0537.29
    EBIT36.2212.87-19.72-93.47-22.56
    EBIT Growth (%)181.46----
    Profit after Tax (PAT)31.076.02-25.87-99.345,765.62
    PAT Growth (%)416.03---101.72-
    EBIT Margin (%)49.8113.02-33.31-127.41-26.75
    Net Profit Margin (%)42.716.09-43.70-135.410.00
    Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025
    Total Income4.2533.602.3311.319.00
    Total Income Growth (%)-87.341,342.06-79.4025.6771.76
    Total Expenses1.983.56114.19138.72165.12
    Total Expenses Growth (%)-44.32-96.88-17.68-15.99139.93
    EBIT2.2730.04-111.86-127.41-156.12
    EBIT Growth (%)-92.44----
    Profit after Tax (PAT)2.2730.04-111.86-127.325,638.53
    PAT Growth (%)-92.44---102.26-
    EBIT Margin (%)53.4089.400.00-1,126.53-1,734.67
    Net Profit Margin (%)53.4089.400.00-1,125.730.01
    FY 2026FY 2025FY 2024FY 2023FY 2022
    Total Revenue303.34279.344,035.943,848.313,642.47
    Total Revenue Growth (%)8.59-93.084.885.6533.67
    Total Expenses349.83370.394,260.554,060.043,707.33
    Total Expenses Growth (%)-5.55-91.314.949.5138.80
    Profit after Tax (PAT)-88.135,565.16-384.09-194.27-77.34
    PAT Growth (%)-101.58----155.20
    Operating Profit Margin (%)-9.03-24.426.616.3012.11
    Net Profit Margin (%)-35.592,150.70-9.63-5.14-2.14
    FY 2026FY 2025FY 2024FY 2023FY 2022
    Total Revenue50.7323.813,783.543,603.933,577.71
    Total Revenue Growth (%)113.07-99.374.980.7342.12
    Total Expenses15.5358.513,940.513,737.063,563.34
    Total Expenses Growth (%)-73.46-98.525.444.8850.82
    Profit after Tax (PAT)-206.875,431.51-331.67-115.67-130.01
    PAT Growth (%)-103.81----177.88
    Operating Profit Margin (%)0.000.008.148.1914.01
    Net Profit Margin (%)0.000.00-8.86-3.27-3.67

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Total Assets665.90812.533,376.123,435.003,432.98
    Total Assets Growth (%)-18.05-75.93-1.710.064.80
    Total Liabilities295.72360.993,240.552,924.442,831.67
    Total Liabilities Growth (%)-18.08-88.8610.813.28-5.74
    Total Equity370.18451.5494.82473.19510.61
    Total Equity Growth (%)-18.02376.21-79.96-7.33158.56
    Current Ratio (x)0.660.681.081.040.93
    Total Debt to Equity (x)0.590.4423.484.013.54
    Contingent Liabilities0.0016.55277.57306.23211.22
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Total Assets357.83640.613,290.983,295.083,225.81
    Total Assets Growth (%)-44.14-80.53-0.122.152.17
    Total Liabilities12.7895.632,932.882,609.482,528.83
    Total Liabilities Growth (%)-86.64-96.7412.393.19-7.57
    Total Equity345.05544.98317.35648.23606.28
    Total Equity Growth (%)-36.6971.73-51.046.9274.64
    Current Ratio (x)1.370.501.121.040.86
    Total Debt to Equity (x)0.000.006.312.612.65
    Contingent Liabilities0.0014.88275.71592.03211.08

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Net Cash flow from Operating Activities-107.0037.34205.61130.83323.91
    Net Cash used in Investing Activities98.626.84-16.4048.74-63.30
    Net Cash flow from Financing Activities-1.78-48.84-148.45-247.84-224.36
    Net Cash Flow-10.17-4.6640.76-68.2736.25
    Closing Cash & Cash Equivalent2.8613.0394.4553.69121.96
    Closing Cash & Cash Equivalent Growth (%)-78.06-86.2075.92-55.9842.29
    Total Debt/ CFO (x)-2.045.3110.8314.515.57
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Net Cash flow from Operating Activities-70.7850.63275.28180.29336.43
    Net Cash used in Investing Activities64.08-58.94-89.65-16.23-79.12
    Net Cash flow from Financing Activities---144.43-230.47-229.27
    Net Cash Flow-6.70-8.3141.20-66.4128.04
    Closing Cash & Cash Equivalent1.998.6993.7652.56118.97
    Closing Cash & Cash Equivalent Growth (%)-77.10-90.7378.39-55.8230.84
    Total Debt/ CFO (x)0.000.007.289.404.77

    All figures in Rs Cr, unless mentioned otherwise

  • AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Return on Equity (%)-23.801,232.48-405.07-41.05-15.17
    Return on Capital Employed (%)-4.44-10.4011.389.8518.50
    Return on Assets (%)-13.23684.91-11.37-5.65-2.25
    Interest Coverage Ratio (x)-0.05-1.120.820.761.09
    Asset Turnover Ratio (x)0.330.121.171.101.09
    EBITDA Margin (%)-0.48-12.0110.059.0215.21
    AnnualFY 2026FY 2025FY 2024FY 2023FY 2022
    Return on Equity (%)-59.95996.64-104.51-17.84-21.48
    Return on Capital Employed (%)10.20-6.3612.9411.9421.81
    Return on Assets (%)-57.81847.86-10.07-3.51-4.03
    Interest Coverage Ratio (x)0.000.000.910.881.22
    Asset Turnover Ratio (x)--1.141.081.11
    EBITDA Margin (%)0.000.0011.2310.5016.57

Found Financials useful?

Technicals

Peer Comparison

  • NAMEROE %ROCE %ROA %Rev CAGR [3Yr]OPMNPMCurrent RatioTotal Debt/ Equity (x)Total Debt/ CFO (x)
    Oricon Enterprises2.232.262.08-42.0663.6465.038.240.00-1.36
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      Shareholding Pattern

      Mutual Funds Ownership

      No Data Available

      Corporate Actions

      • Announced onMeeting on
        May 20, 2026May 27, 2026
        Audited Results
        May 20, 2026May 20, 2026
        Audited Results
        Jan 12, 2026Jan 16, 2026
        Quarterly Results
        Oct 13, 2025Oct 17, 2025
        Quarterly Results
        Jul 09, 2025Jul 14, 2025
        Quarterly Results
      • No Data Available

      • No Data Available

      • No Data Available

      • No Data Available

      • Announced onMeeting on
        Aug 05, 2025Sep 06, 2025
        -
        Jul 01, 2025Jul 16, 2025
        Book closure from Jul 10, 2025 to Jul 16, 2025
        Aug 19, 2024Sep 20, 2024
        -
        Jun 11, 2024Jul 09, 2024
        Book closure from Jul 3, 2024 to Jul 9, 2024
        Aug 04, 2023Sep 05, 2023
        -

      About Kesoram Inds. (PP)

      Kesoram Industries Ltd., incorporated in the year 1919 is operating in Diversified sector.

      Show More

      Industry

      Diversified

      Key Indices Listed On

      -

      Address

      Birla Building,9/1, R.N. Mukherjee Road,Kolkata, West Bengal - 700001

      Executive Leadership

      SN

      Satish Narain Jajoo

      Chairman
      PR

      P Radhakrishnan

      WholeTime Director & CEO
      JK

      Jikyeong Kang

      Director
      JK

      Jitendra Kumar Agarwal

      Director
      Show More

      Auditors

      Walker Chandiok & Co. LLP
      Deloitte Haskins & Sells

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