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ISIN : INE450D01021
NSE : PITTIENG
BSE : 513519
Face Value : 5
Industry : Engineering
EPS : 28.14
EPS (TTM) : 30.20
Price to Earning (P/E) : 37.21
Book Value : 129.87
Price to Bookvalue (P/B) : 8.06
Dividend Yield : 0 %
Return on Equity (ROE) : 24.04 %
Return on Capital Employed (ROCE) : 21.80 %
Pitti Engineering Limited
ISIN : INE450D01021
NSE : PITTIENG
BSE : 513519
Face Value : 5
Industry : Engineering
EPS : 28.14
EPS (TTM) : 30.20
Price to Earning (P/E) : 37.21
Book Value : 129.87
Price to Bookvalue (P/B) : 8.06
Dividend Yield : 0 %
Return on Equity (ROE) : 24.04 %
Return on Capital Employed (ROCE) : 21.80 %
Pitti Engineering share price(02-Apr-2026) | |
|---|---|
| Open / Close | 0 - 0 NAN % |
| Low / High | 0 - 0 NAN % |
| Trade Volume | 0 |
| 52 Week Low / High | 0 - 0 NAN % |
| Open / Close | 738.45 - 740 0.2 % |
| Low / High | 711 - 747.55 5.1 % |
| Trade Volume | 1,903 |
| 52 Week Low / High | 677.2 - 1069.85 58 % |
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CONSOLIDATED QUARTERLY RESULT FOR PITTI ENGINEERING LIMITED
| Date End | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 2713.87 | 3105.42 | 3041.69 | 2379.59 | 2475.01 | 2897.87 | 2902.88 | 2936.38 | 3278.83 | 3827.83 |
| Total Income | 2864.58 | 3110.57 | 3045.49 | 2390.81 | 2633.12 | 2907.12 | 3028.5 | 2969.2 | 3593.22 | 3867.1 |
| Total Expenditure | 2360.28 | 2750.85 | 2676.2 | 1991.41 | 2069.41 | 2473.6 | 2477.31 | 2495.51 | 2792.44 | 3264.31 |
| Other Income | 150.7 | 5.15 | 3.8 | 11.22 | 158.11 | 9.25 | 125.62 | 32.81 | 314.38 | 39.27 |
| Operating Profit | 504.3 | 359.72 | 369.29 | 399.4 | 563.71 | 433.52 | 551.19 | 473.69 | 800.78 | 602.79 |
| Interest | 122.94 | 107.03 | 120.29 | 119.93 | 99.29 | 116.09 | 111.99 | 135.42 | 136.43 | 170.8 |
| PBDT | 381.36 | 252.69 | 249 | 279.47 | 464.42 | 317.43 | 439.2 | 338.27 | 664.35 | 431.99 |
| Depreciation | 111.39 | 102.84 | 106.11 | 110 | 127.57 | 131.59 | 122.82 | 145.58 | 140.2 | 154.1 |
| Profit Before Tax | 269.97 | 149.85 | 142.89 | 169.47 | 336.85 | 185.84 | 316.38 | 192.69 | 524.15 | 277.89 |
| Tax | 69.93 | 32.85 | 41.22 | 48.19 | 88.48 | 46.19 | 90.87 | 59.49 | 120.6 | 72.4 |
| Profit After Tax | 200.04 | 117 | 101.67 | 121.28 | 248.37 | 139.65 | 225.51 | 133.2 | 403.55 | 205.49 |
| Net Profit | 200.04 | 117 | 101.67 | 121.28 | 248.37 | 139.65 | 225.51 | 133.2 | 403.55 | 205.49 |
| Equity Capital | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 |
| Face Value (IN RS) | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 |
| Calculated EPS | 6.24 | 3.65 | 3.17 | 3.78 | 7.75 | 4.36 | 7.03 | 4.15 | 12.59 | 6.41 |
| Diluted Eps After Extraordinary Items | 6.24 | 3.65 | 3.17 | 3.78 | 7.75 | 4.36 | 7.04 | 4.16 | 12.59 | 6.41 |
| Diluted Eps Before Extraordinary Items | 6.24 | 3.65 | 3.17 | 3.78 | 7.75 | 4.36 | 7.04 | 4.16 | 12.59 | 6.41 |
STANDALONE QUARTERLY RESULT FOR PITTI ENGINEERING LIMITED
| Date End | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 2713.87 | 3105.42 | 3041.69 | 2379.59 | 2475.01 | 2897.87 | 2902.88 | 2936.38 | 3278.83 | 3508.69 |
| Total Income | 2864.6 | 3110.61 | 3045.33 | 2390.81 | 2633.12 | 2907.12 | 3028.5 | 2969.2 | 3593.22 | 3544.5 |
| Total Expenditure | 2360.25 | 2750.83 | 2676.18 | 1991.38 | 2069.4 | 2473.59 | 2477.29 | 2495.5 | 2792.41 | 2965.27 |
| Other Income | 150.73 | 5.18 | 3.64 | 11.22 | 158.11 | 9.25 | 125.62 | 32.81 | 314.38 | 35.81 |
| Operating Profit | 504.35 | 359.78 | 369.15 | 399.43 | 563.72 | 433.53 | 551.21 | 473.7 | 800.81 | 579.23 |
| Interest | 122.93 | 107.03 | 120.33 | 119.93 | 99.29 | 116.09 | 111.99 | 135.42 | 136.43 | 163.94 |
| PBDT | 381.42 | 252.75 | 248.82 | 279.5 | 464.43 | 317.44 | 439.22 | 338.28 | 664.38 | 415.29 |
| Depreciation | 111.36 | 102.82 | 106.11 | 110 | 127.57 | 131.59 | 122.82 | 145.58 | 140.2 | 149.93 |
| Profit Before Tax | 270.06 | 149.93 | 142.71 | 169.5 | 336.86 | 185.85 | 316.4 | 192.7 | 524.18 | 265.36 |
| Tax | 69.94 | 32.85 | 41.17 | 48.19 | 88.48 | 46.19 | 90.87 | 59.49 | 120.6 | 68.32 |
| Profit After Tax | 200.12 | 117.08 | 101.54 | 121.31 | 248.38 | 139.66 | 225.53 | 133.21 | 403.58 | 197.04 |
| Net Profit | 200.12 | 117.08 | 101.54 | 121.31 | 248.38 | 139.66 | 225.53 | 133.21 | 403.58 | 197.04 |
| Equity Capital | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 | 160.29 |
| Face Value (IN RS) | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 |
| Calculated EPS | 6.24 | 3.65 | 3.17 | 3.78 | 7.75 | 4.36 | 7.04 | 4.16 | 12.59 | 6.15 |
| Diluted Eps After Extraordinary Items | 6.24 | 3.65 | 3.17 | 3.79 | 7.75 | 4.36 | 7.03 | 4.16 | 12.59 | 6.15 |
| Diluted Eps Before Extraordinary Items | 6.24 | 3.65 | 3.17 | 3.79 | 7.75 | 4.36 | 7.03 | 4.16 | 12.59 | 6.15 |
CONSOLIDATED ANNUAL RESULT FOR PITTI ENGINEERING LIMITED
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 9538.24 | 11001.7 | 12016 |
| Total Income | 9702.49 | 11180 | 12498 |
| Total Expenditure | 8212.01 | 9487.87 | 10238.9 |
| Other Income | 164.26 | 178.27 | 482.09 |
| Operating Profit | 1490.48 | 1692.11 | 2259.18 |
| Interest | 396.05 | 446.54 | 499.93 |
| PBDT | 1094.43 | 1245.57 | 1759.25 |
| Depreciation | 388.77 | 446.52 | 540.19 |
| Profit Before Tax | 705.66 | 799.05 | 1219.06 |
| Tax | 187.03 | 210.73 | 317.15 |
| Profit After Tax | 518.63 | 588.32 | 901.91 |
| Net Profit | 518.63 | 588.32 | 901.91 |
| Equity Capital | 160.29 | 160.29 | 160.29 |
| Face Value (IN RS) | 5 | 5 | 5 |
| Reserves | 2678.87 | 3180.06 | 4001.95 |
| Calculated EPS | 16.18 | 18.35 | 28.13 |
| Diluted Eps After Extraordinary Items | 16.18 | 18.36 | 28.14 |
| Diluted Eps Before Extraordinary Items | 16.18 | 18.36 | 28.14 |
STANDALONE ANNUAL RESULT FOR PITTI ENGINEERING LIMITED
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 9538.24 | 11001.7 | 12016 |
| Total Income | 9702.64 | 11179.9 | 12498 |
| Total Expenditure | 8211.92 | 9487.81 | 10238.8 |
| Other Income | 164.4 | 178.15 | 482.09 |
| Operating Profit | 1490.72 | 1692.05 | 2259.24 |
| Interest | 396.04 | 446.58 | 499.93 |
| PBDT | 1094.68 | 1245.47 | 1759.31 |
| Depreciation | 388.67 | 446.5 | 540.19 |
| Profit Before Tax | 706.01 | 798.97 | 1219.12 |
| Tax | 187.06 | 210.69 | 317.15 |
| Profit After Tax | 518.95 | 588.28 | 901.97 |
| Net Profit | 518.95 | 588.28 | 901.97 |
| Equity Capital | 160.29 | 160.29 | 160.29 |
| Face Value (IN RS) | 5 | 5 | 5 |
| Reserves | 2679.4 | 3180.57 | 4002.53 |
| Calculated EPS | 16.19 | 18.35 | 28.14 |
| Diluted Eps After Extraordinary Items | 16.19 | 18.36 | 28.14 |
| Diluted Eps Before Extraordinary Items | 16.19 | 18.36 | 28.14 |
CONSOLIDATED PROFIT / LOSS FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 576.36 Cr | 1077.87 Cr | 1245.93 Cr | 1355.71 Cr |
| Sales | 511.46 Cr | 937.41 Cr | 1232.84 Cr | 1335.14 Cr |
| Job Work/ Contract Receipts | 6.34 Cr | 5.48 Cr | 7.68 Cr | 10.72 Cr |
| Less: Excise Duty | 54.81 Cr | 116.72 Cr | 131.14 Cr | 137.06 Cr |
| Net Sales | 518.17 Cr | 953.82 Cr | 1100.17 Cr | 1201.6 Cr |
| Increase/Decrease in Stock | -11.66 Cr | -16.11 Cr | 87.57 Lk | 5.5 Cr |
| Raw Material Consumed | 346.93 Cr | 694.26 Cr | 781.43 Cr | 800.41 Cr |
| Opening Raw Materials | 59.65 Cr | 74.63 Cr | 169.01 Cr | 136.92 Cr |
| Purchases Raw Materials | 361.64 Cr | 788.64 Cr | 746.45 Cr | 824.3 Cr |
| Closing Raw Materials | 74.36 Cr | 169.01 Cr | 134.03 Cr | 160.8 Cr |
| Power & Fuel Cost | 6.2 Cr | 7.93 Cr | 10.56 Cr | 14.02 Cr |
| Electricity & Power | 6.2 Cr | 7.93 Cr | 10.56 Cr | 14.02 Cr |
| Employee Cost | 54.17 Cr | 76.54 Cr | 84.7 Cr | 106.24 Cr |
| Salaries, Wages & Bonus | 48.78 Cr | 69.51 Cr | 77.62 Cr | 94.39 Cr |
| Contributions to EPF & Pension Funds | 2.59 Cr | 3.47 Cr | 3.59 Cr | 3.71 Cr |
| Workmen and Staff Welfare Expenses | 2.13 Cr | 2.82 Cr | 2.89 Cr | 6.46 Cr |
| Other Manufacturing Expenses | 12.82 Cr | 19.62 Cr | 21.22 Cr | 36.23 Cr |
| Repairs and Maintenance | 1.42 Cr | 2.09 Cr | 3.43 Cr | 5.89 Cr |
| General and Administration Expenses | 19.31 Cr | 24.01 Cr | 29.15 Cr | 36.54 Cr |
| Rent , Rates & Taxes | 98.04 Lk | 92.15 Lk | 1.28 Cr | 1.52 Cr |
| Insurance | 1.41 Cr | 2.35 Cr | 2.64 Cr | 4.22 Cr |
| Professional and legal fees | 3.87 Cr | 4.59 Cr | 5.34 Cr | 7.83 Cr |
| Traveling and conveyance | 2.82 Cr | 3.04 Cr | 4.2 Cr | 4.32 Cr |
| Selling and Distribution Expenses | 7.24 Cr | 9.7 Cr | 11.13 Cr | 13.93 Cr |
| Freight and Forwarding | 3.28 Cr | 5.09 Cr | 5.38 Cr | 6.6 Cr |
| Miscellaneous Expenses | 5.11 Cr | 5.86 Cr | 9.72 Cr | 11.01 Cr |
| Provision for doubtful debts | 6.58 Lk | 70.6 Lk | 43.54 Lk | 25 Lk |
| Loss on disposal of fixed assets(net) | 1.6 Cr | 0 | 92.09 Lk | 1.13 Cr |
| Loss on foreign exchange fluctuations | 0 | 58.22 Lk | 4.12 Cr | 1.12 Cr |
| Total Expenditure | 440.12 Cr | 821.81 Cr | 948.79 Cr | 1023.89 Cr |
| Other Income | 20.49 Cr | 17.04 Cr | 17.83 Cr | 48.21 Cr |
| Interest Received | 80.43 Lk | 96.39 Lk | 1.78 Cr | 2.68 Cr |
| Profit on sale of Fixed Assets | 0 | 30.14 Lk | 21.7 Lk | 12.9 Lk |
| Foreign Exchange Gains | 2.18 Cr | 0 | 0 | 0 |
| Operating Profit | 98.54 Cr | 149.05 Cr | 169.21 Cr | 225.92 Cr |
| Interest | 29.61 Cr | 39.6 Cr | 44.65 Cr | 49.99 Cr |
| Interest on Term Loan | 5.2 Cr | 12.68 Cr | 13.16 Cr | 13.42 Cr |
| Intereston Fixed deposits | 1,000 | 0 | 0 | 0 |
| Bank Charges etc | 4.26 Cr | 9.01 Cr | 10.95 Cr | 9.21 Cr |
| PBDT | 68.93 Cr | 109.44 Cr | 124.56 Cr | 175.93 Cr |
| Depreciation | 30.39 Cr | 38.88 Cr | 44.65 Cr | 54.02 Cr |
| Profit Before Taxation & Exceptional Items | 38.54 Cr | 70.57 Cr | 79.9 Cr | 121.91 Cr |
| Profit Before Tax | 38.54 Cr | 70.57 Cr | 79.9 Cr | 121.91 Cr |
| Provision for Tax | 9.79 Cr | 18.7 Cr | 21.07 Cr | 31.72 Cr |
| Current Income Tax | 10.98 Cr | 19.55 Cr | 21.3 Cr | 35.24 Cr |
| Deferred Tax | -99.54 Lk | -95.04 Lk | -21.49 Lk | -3.46 Cr |
| Profit After Tax | 28.76 Cr | 51.86 Cr | 58.83 Cr | 90.19 Cr |
| Consolidated Net Profit | 28.76 Cr | 51.86 Cr | 58.83 Cr | 90.19 Cr |
| Profit Balance B/F | 101.76 Cr | 130.52 Cr | 178.62 Cr | 229.92 Cr |
| Appropriations | 130.52 Cr | 182.38 Cr | 237.45 Cr | 320.12 Cr |
| Other Appropriation | 0 | 0 | 2.72 Cr | 3.85 Cr |
| Equity Dividend % | 0 | 40.5 | 54 | 30 |
| Earnings Per Share | 8.97 | 16.18 | 18.36 | 28.14 |
| Adjusted EPS | 8.97 | 16.18 | 18.36 | 28.14 |
STANDALONE PROFIT / LOSS FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 576.36 Cr | 1077.87 Cr | 1245.93 Cr | 1355.71 Cr |
| Sales | 511.46 Cr | 937.41 Cr | 1232.84 Cr | 1335.14 Cr |
| Job Work/ Contract Receipts | 6.34 Cr | 5.48 Cr | 7.68 Cr | 10.72 Cr |
| Less: Excise Duty | 54.81 Cr | 116.72 Cr | 131.14 Cr | 137.06 Cr |
| Net Sales | 518.17 Cr | 953.82 Cr | 1100.17 Cr | 1201.6 Cr |
| Increase/Decrease in Stock | -11.66 Cr | -16.11 Cr | 87.57 Lk | 5.5 Cr |
| Raw Material Consumed | 346.93 Cr | 694.26 Cr | 781.43 Cr | 800.41 Cr |
| Opening Raw Materials | 59.65 Cr | 74.63 Cr | 169.01 Cr | 136.92 Cr |
| Purchases Raw Materials | 361.64 Cr | 788.64 Cr | 746.45 Cr | 824.3 Cr |
| Closing Raw Materials | 74.36 Cr | 169.01 Cr | 134.03 Cr | 160.8 Cr |
| Power & Fuel Cost | 6.2 Cr | 7.93 Cr | 10.56 Cr | 14.02 Cr |
| Electricity & Power | 6.2 Cr | 7.93 Cr | 10.56 Cr | 14.02 Cr |
| Employee Cost | 54.17 Cr | 76.54 Cr | 84.7 Cr | 106.24 Cr |
| Salaries, Wages & Bonus | 48.78 Cr | 69.51 Cr | 77.62 Cr | 94.39 Cr |
| Contributions to EPF & Pension Funds | 2.59 Cr | 3.47 Cr | 3.59 Cr | 3.71 Cr |
| Workmen and Staff Welfare Expenses | 2.13 Cr | 2.82 Cr | 2.89 Cr | 6.46 Cr |
| Other Manufacturing Expenses | 12.82 Cr | 19.62 Cr | 21.22 Cr | 36.23 Cr |
| Repairs and Maintenance | 1.42 Cr | 2.09 Cr | 3.43 Cr | 5.89 Cr |
| General and Administration Expenses | 19.31 Cr | 24 Cr | 29.15 Cr | 36.53 Cr |
| Rent , Rates & Taxes | 98.42 Lk | 91.81 Lk | 1.28 Cr | 1.52 Cr |
| Insurance | 1.41 Cr | 2.35 Cr | 2.64 Cr | 4.22 Cr |
| Professional and legal fees | 3.87 Cr | 4.59 Cr | 5.33 Cr | 7.83 Cr |
| Traveling and conveyance | 2.82 Cr | 3.04 Cr | 4.2 Cr | 4.32 Cr |
| Selling and Distribution Expenses | 7.24 Cr | 9.7 Cr | 11.13 Cr | 13.93 Cr |
| Freight and Forwarding | 3.28 Cr | 5.09 Cr | 5.38 Cr | 6.6 Cr |
| Miscellaneous Expenses | 5.11 Cr | 5.86 Cr | 9.72 Cr | 11.01 Cr |
| Provision for doubtful debts | 6.58 Lk | 70.6 Lk | 43.54 Lk | 25 Lk |
| Loss on disposal of fixed assets(net) | 1.6 Cr | 0 | 92.09 Lk | 1.13 Cr |
| Loss on foreign exchange fluctuations | 0 | 58.22 Lk | 4.12 Cr | 1.12 Cr |
| Total Expenditure | 440.12 Cr | 821.8 Cr | 948.78 Cr | 1023.88 Cr |
| Other Income | 20.5 Cr | 17.05 Cr | 17.82 Cr | 48.21 Cr |
| Interest Received | 80.43 Lk | 96.38 Lk | 1.76 Cr | 2.68 Cr |
| Profit on sale of Fixed Assets | 0 | 30.14 Lk | 21.7 Lk | 12.9 Lk |
| Foreign Exchange Gains | 2.18 Cr | 0 | 0 | 0 |
| Operating Profit | 98.55 Cr | 149.07 Cr | 169.21 Cr | 225.92 Cr |
| Interest | 29.6 Cr | 39.6 Cr | 44.66 Cr | 49.99 Cr |
| Interest on Term Loan | 5.2 Cr | 12.68 Cr | 13.16 Cr | 13.42 Cr |
| Bank Charges etc | 4.26 Cr | 9.01 Cr | 10.95 Cr | 9.21 Cr |
| PBDT | 68.95 Cr | 109.47 Cr | 124.55 Cr | 175.93 Cr |
| Depreciation | 30.38 Cr | 38.87 Cr | 44.65 Cr | 54.02 Cr |
| Profit Before Taxation & Exceptional Items | 38.57 Cr | 70.6 Cr | 79.9 Cr | 121.91 Cr |
| Profit Before Tax | 38.57 Cr | 70.6 Cr | 79.9 Cr | 121.91 Cr |
| Provision for Tax | 9.79 Cr | 18.71 Cr | 21.07 Cr | 31.72 Cr |
| Current Income Tax | 10.98 Cr | 19.55 Cr | 21.3 Cr | 35.24 Cr |
| Deferred Tax | -99.39 Lk | -94.76 Lk | -21.92 Lk | -3.46 Cr |
| Profit After Tax | 28.78 Cr | 51.89 Cr | 58.83 Cr | 90.2 Cr |
| Consolidated Net Profit | 28.78 Cr | 51.89 Cr | 58.83 Cr | 90.2 Cr |
| Profit Balance B/F | 101.76 Cr | 130.54 Cr | 178.68 Cr | 229.98 Cr |
| Appropriations | 130.54 Cr | 182.44 Cr | 237.51 Cr | 320.17 Cr |
| Other Appropriation | 0 | 0 | 2.72 Cr | 3.85 Cr |
| Equity Dividend % | 0 | 40.5 | 54 | 30 |
| Earnings Per Share | 8.98 | 16.19 | 18.36 | 28.14 |
| Adjusted EPS | 8.98 | 16.19 | 18.36 | 28.14 |
CONSOLIDATED CASH FLOW FOR PITTI ENGINEERING LIMITED
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 38.54 Cr | 70.57 Cr | 79.9 Cr | 121.91 Cr |
| Adjustment | 54.7 Cr | 76.05 Cr | 88.18 Cr | 96.84 Cr |
| Changes In working Capital | -55.78 Cr | -40.78 Cr | 88.6 Cr | -134.68 Cr |
| Cash Flow after changes in Working Capital | 37.46 Cr | 105.84 Cr | 256.69 Cr | 84.06 Cr |
| Cash Flow from Operating Activities | 31.71 Cr | 87.91 Cr | 222.16 Cr | 73.58 Cr |
| Cash Flow from Investing Activities | -66.45 Cr | -92.78 Cr | -103.53 Cr | -235.74 Cr |
| Cash Flow from Financing Activitie | 28.4 Cr | 12.21 Cr | -86.57 Cr | 198.39 Cr |
| Net Cash Inflow / Outflow | -6.34 Cr | 7.34 Cr | 32.06 Cr | 36.23 Cr |
| Opening Cash & Cash Equivalents | 6.7 Cr | 36.78 Lk | 7.64 Cr | 39.7 Cr |
| Closing Cash & Cash Equivalent | 36.78 Lk | 7.71 Cr | 39.7 Cr | 75.93 Cr |
STANDALONE CASH FLOW FOR PITTI ENGINEERING LIMITED
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 38.57 Cr | 70.6 Cr | 79.9 Cr | 121.91 Cr |
| Adjustment | 54.69 Cr | 76.04 Cr | 88.2 Cr | 96.84 Cr |
| Changes In working Capital | -53.2 Cr | -40.78 Cr | 88.6 Cr | -134.68 Cr |
| Cash Flow after changes in Working Capital | 40.05 Cr | 105.86 Cr | 256.7 Cr | 84.07 Cr |
| Cash Flow from Operating Activities | 34.3 Cr | 87.93 Cr | 222.17 Cr | 73.59 Cr |
| Cash Flow from Investing Activities | -66.32 Cr | -92.78 Cr | -103.71 Cr | -235.79 Cr |
| Cash Flow from Financing Activitie | 28.24 Cr | 12.21 Cr | -86.39 Cr | 198.39 Cr |
| Net Cash Inflow / Outflow | -3.78 Cr | 7.36 Cr | 32.07 Cr | 36.19 Cr |
| Opening Cash & Cash Equivalents | 4.12 Cr | 33.67 Lk | 7.63 Cr | 39.7 Cr |
| Closing Cash & Cash Equivalent | 33.67 Lk | 7.7 Cr | 39.7 Cr | 75.89 Cr |
CONSOLIDATED BALANCE SHEET FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 16.03 Cr | 16.03 Cr | 16.03 Cr | 16.03 Cr |
| Equity - Authorised | 30 Cr | 30 Cr | 30 Cr | 30 Cr |
| Equity - Issued | 16.02 Cr | 16.02 Cr | 16.02 Cr | 16.02 Cr |
| Equity Paid Up | 16.02 Cr | 16.02 Cr | 16.02 Cr | 16.02 Cr |
| Equity Shares Forfeited | 42,000 | 42,000 | 42,000 | 42,000 |
| Face Value | 5 | 5 | 5 | 5 |
| Total Reserves | 219.76 Cr | 267.89 Cr | 318.01 Cr | 400.2 Cr |
| Securities Premium | 81.06 Cr | 81.06 Cr | 81.06 Cr | 81.06 Cr |
| Profit & Loss Account Balance | 130.52 Cr | 178.62 Cr | 229.92 Cr | 316.27 Cr |
| General Reserves | 7.5 Cr | 7.5 Cr | 7.5 Cr | 7.5 Cr |
| Reserve excluding Revaluation Reserve | 219.76 Cr | 267.89 Cr | 318.01 Cr | 400.2 Cr |
| Shareholder's Funds | 235.79 Cr | 283.92 Cr | 334.04 Cr | 416.22 Cr |
| Secured Loans | 25.47 Cr | 85.09 Cr | 96.78 Cr | 237.84 Cr |
| Term Loans - Banks | 17.85 Cr | 64.49 Cr | 72.6 Cr | 289.72 Cr |
| Term Loans - Institutions | 12.86 Cr | 0 | 2.34 Cr | 1.84 Cr |
| Unsecured Loans | 25.1 Cr | 25.1 Cr | 25.1 Cr | 25.1 Cr |
| Loans - Others | 25.1 Cr | 25.1 Cr | 25.1 Cr | 25.1 Cr |
| Deferred Tax Assets / Liabilities | 10.07 Cr | 9.12 Cr | 8.51 Cr | 3.66 Cr |
| Deferred Tax Assets | 9.47 Cr | 10.46 Cr | 10.73 Cr | 19.1 Cr |
| Deferred Tax Liability | 19.55 Cr | 19.59 Cr | 19.24 Cr | 22.76 Cr |
| Other Long Term Liabilities | 3.85 Cr | 52.91 Cr | 54.04 Cr | 62.59 Cr |
| Long Term Provisions | 58.52 Cr | 7.8 Cr | 8.17 Cr | 17.29 Cr |
| Total Non-Current Liabilities | 123.02 Cr | 180.03 Cr | 192.6 Cr | 346.48 Cr |
| Trade Payables | 105.29 Cr | 220.22 Cr | 251.3 Cr | 227.55 Cr |
| Sundry Creditors | 105.29 Cr | 220.22 Cr | 251.3 Cr | 227.55 Cr |
| Other Current Liabilities | 26.84 Cr | 69.19 Cr | 50.58 Cr | 103.39 Cr |
| Advances received from customers | 1.9 Cr | 13.16 Cr | 2.98 Cr | 77.68 Lk |
| Interest Accrued But Not Due | 68 Lk | 1.06 Cr | 26.98 Lk | 78.96 Lk |
| Short Term Borrowings | 184.79 Cr | 183.82 Cr | 142.79 Cr | 203.08 Cr |
| Secured ST Loans repayable on Demands | 170.04 Cr | 169.57 Cr | 136.29 Cr | 193.38 Cr |
| Working Capital Loans- Sec | 170.04 Cr | 169.57 Cr | 136.29 Cr | 193.38 Cr |
| Short Term Provisions | 25.5 Cr | 19.4 Cr | 6.64 Cr | 33.26 Cr |
| Provision for Tax | 10.04 Cr | 15.63 Cr | 2.39 Cr | 27.09 Cr |
| Provision for post retirement benefits | 2.17 Cr | 0 | 0 | 0 |
| Total Current Liabilities | 342.42 Cr | 492.62 Cr | 451.32 Cr | 567.28 Cr |
| Total Liabilities | 701.23 Cr | 956.57 Cr | 977.96 Cr | 1329.99 Cr |
| Gross Block | 460.85 Cr | 538.43 Cr | 615.64 Cr | 722.47 Cr |
| Less: Accumulated Depreciation | 175.82 Cr | 213.76 Cr | 253.28 Cr | 300.29 Cr |
| Net Block | 285.03 Cr | 324.68 Cr | 362.36 Cr | 422.18 Cr |
| Capital Work in Progress | 1.14 Cr | 61.23 Lk | 24.06 Cr | 118.08 Cr |
| Non Current Investments | 16.41 Cr | 16.41 Cr | 15.15 Cr | 15.2 Cr |
| Long Term Investment | 16.41 Cr | 16.41 Cr | 15.15 Cr | 15.2 Cr |
| Unquoted | 16.41 Cr | 16.41 Cr | 15.15 Cr | 15.2 Cr |
| Long Term Loans & Advances | 7.47 Cr | 23.09 Cr | 23.75 Cr | 64.09 Cr |
| Other Non Current Assets | 5.27 Cr | 2 Cr | 8.52 Cr | 3.71 Cr |
| Total Non-Current Assets | 315.31 Cr | 368.82 Cr | 435.74 Cr | 623.25 Cr |
| Currents Investments | 1.07 Lk | 73,000 | 1.11 Lk | 1.23 Lk |
| Quoted | 1.03 Lk | 69,000 | 1.07 Lk | 1.19 Lk |
| Unquoted | 16.41 Cr | 16.41 Cr | 15.15 Cr | 15.2 Cr |
| Inventories | 157.22 Cr | 272.29 Cr | 239.31 Cr | 270.2 Cr |
| Raw Materials | 74.36 Cr | 169.01 Cr | 136.92 Cr | 169.38 Cr |
| Work-in Progress | 20.73 Cr | 45.98 Cr | 36.69 Cr | 51.74 Cr |
| Finished Goods | 42.37 Cr | 36.09 Cr | 44.89 Cr | 23.34 Cr |
| Stores and Spare | 16.01 Cr | 20.59 Cr | 20.58 Cr | 24.51 Cr |
| Sundry Debtors | 171.77 Cr | 204.26 Cr | 181.45 Cr | 210.39 Cr |
| Debtors more than Six months | 1.7 Cr | 89.55 Lk | 14.13 Lk | 13.84 Lk |
| Debtors Others | 170.94 Cr | 204.08 Cr | 181.3 Cr | 210.5 Cr |
| Cash and Bank | 8.94 Cr | 35.04 Cr | 65.17 Cr | 109.45 Cr |
| Cash in hand | 18.27 Lk | 9.69 Lk | 3.31 Lk | 2.37 Lk |
| Balances at Bank | 8.76 Cr | 34.95 Cr | 65.13 Cr | 109.42 Cr |
| Other Current Assets | 26.53 Cr | 34.77 Cr | 22.18 Cr | 67.88 Cr |
| Interest accrued on Investments | 38.08 Lk | 65.18 Lk | 86.25 Lk | 1.25 Cr |
| Prepaid Expenses | 3.23 Cr | 3.6 Cr | 6.85 Cr | 6.59 Cr |
| Short Term Loans and Advances | 21.44 Cr | 41.38 Cr | 34.1 Cr | 48.8 Cr |
| Advances recoverable in cash or in kind | 5.86 Cr | 7.81 Cr | 11.87 Cr | 2.99 Cr |
| Advance income tax and TDS | 47.37 Lk | 2.33 Cr | 2.41 Cr | 1.99 Cr |
| Total Current Assets | 385.92 Cr | 587.75 Cr | 542.21 Cr | 706.73 Cr |
| Net Current Assets (Including Current Investments) | 43.5 Cr | 95.13 Cr | 90.89 Cr | 139.45 Cr |
| Total Assets | 701.23 Cr | 956.57 Cr | 977.96 Cr | 1329.99 Cr |
| Contingent Liabilities | 9.97 Cr | 9.97 Cr | 10.4 Cr | 10.56 Cr |
| Total Debt | 253.64 Cr | 324.43 Cr | 289.91 Cr | 536.69 Cr |
| Book Value | 73.57 | 88.58 | 104.22 | 129.87 |
| Adjusted Book Value | 73.57 | 88.58 | 104.22 | 129.87 |
STANDALONE BALANCE SHEET FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 16.03 Cr | 16.03 Cr | 16.03 Cr | 16.03 Cr |
| Equity - Authorised | 30 Cr | 30 Cr | 30 Cr | 30 Cr |
| Equity - Issued | 16.02 Cr | 16.02 Cr | 16.02 Cr | 16.02 Cr |
| Equity Paid Up | 16.02 Cr | 16.02 Cr | 16.02 Cr | 16.02 Cr |
| Equity Shares Forfeited | 42,000 | 42,000 | 42,000 | 42,000 |
| Face Value | 5 | 5 | 5 | 5 |
| Total Reserves | 219.79 Cr | 267.94 Cr | 318.06 Cr | 400.25 Cr |
| Securities Premium | 81.06 Cr | 81.06 Cr | 81.06 Cr | 81.06 Cr |
| Profit & Loss Account Balance | 130.54 Cr | 178.67 Cr | 229.97 Cr | 316.33 Cr |
| General Reserves | 7.5 Cr | 7.5 Cr | 7.5 Cr | 7.5 Cr |
| Reserve excluding Revaluation Reserve | 219.79 Cr | 267.94 Cr | 318.06 Cr | 400.25 Cr |
| Shareholder's Funds | 235.82 Cr | 283.97 Cr | 334.09 Cr | 416.28 Cr |
| Secured Loans | 25.47 Cr | 85.09 Cr | 96.78 Cr | 237.84 Cr |
| Term Loans - Banks | 17.85 Cr | 64.49 Cr | 72.6 Cr | 289.72 Cr |
| Term Loans - Institutions | 12.86 Cr | 0 | 2.34 Cr | 1.84 Cr |
| Unsecured Loans | 25.1 Cr | 25.1 Cr | 25.1 Cr | 25.1 Cr |
| Loans - Others | 25.1 Cr | 25.1 Cr | 25.1 Cr | 25.1 Cr |
| Deferred Tax Assets / Liabilities | 10.07 Cr | 9.13 Cr | 8.51 Cr | 3.66 Cr |
| Deferred Tax Assets | 9.73 Cr | 10.5 Cr | 10.73 Cr | 19.1 Cr |
| Deferred Tax Liability | 19.8 Cr | 19.63 Cr | 19.24 Cr | 22.76 Cr |
| Other Long Term Liabilities | 3.86 Cr | 52.75 Cr | 54.04 Cr | 62.59 Cr |
| Long Term Provisions | 58.34 Cr | 7.8 Cr | 8.17 Cr | 17.29 Cr |
| Total Non-Current Liabilities | 122.84 Cr | 179.87 Cr | 192.6 Cr | 346.48 Cr |
| Trade Payables | 105.29 Cr | 220.22 Cr | 251.3 Cr | 227.55 Cr |
| Sundry Creditors | 105.29 Cr | 220.22 Cr | 251.3 Cr | 227.55 Cr |
| Other Current Liabilities | 26.84 Cr | 69.17 Cr | 50.58 Cr | 103.39 Cr |
| Advances received from customers | 1.9 Cr | 13.16 Cr | 2.98 Cr | 77.68 Lk |
| Interest Accrued But Not Due | 68 Lk | 1.06 Cr | 26.98 Lk | 78.96 Lk |
| Short Term Borrowings | 184.79 Cr | 183.82 Cr | 142.79 Cr | 203.08 Cr |
| Secured ST Loans repayable on Demands | 170.04 Cr | 169.57 Cr | 136.29 Cr | 193.38 Cr |
| Working Capital Loans- Sec | 170.04 Cr | 169.57 Cr | 136.29 Cr | 193.38 Cr |
| Short Term Provisions | 25.5 Cr | 19.4 Cr | 6.64 Cr | 33.26 Cr |
| Provision for Tax | 10.04 Cr | 15.63 Cr | 2.39 Cr | 27.09 Cr |
| Provision for post retirement benefits | 2.17 Cr | 0 | 0 | 0 |
| Total Current Liabilities | 342.42 Cr | 492.61 Cr | 451.32 Cr | 567.28 Cr |
| Total Liabilities | 701.08 Cr | 956.45 Cr | 978 Cr | 1330.04 Cr |
| Gross Block | 460.67 Cr | 538.25 Cr | 615.64 Cr | 722.47 Cr |
| Less: Accumulated Depreciation | 175.81 Cr | 213.74 Cr | 253.28 Cr | 300.29 Cr |
| Net Block | 284.86 Cr | 324.51 Cr | 362.36 Cr | 422.18 Cr |
| Capital Work in Progress | 1.14 Cr | 61.23 Lk | 24.06 Cr | 118.08 Cr |
| Non Current Investments | 16.46 Cr | 16.46 Cr | 15.2 Cr | 15.3 Cr |
| Long Term Investment | 16.46 Cr | 16.46 Cr | 15.2 Cr | 15.3 Cr |
| Unquoted | 16.46 Cr | 16.46 Cr | 15.2 Cr | 15.3 Cr |
| Long Term Loans & Advances | 7.47 Cr | 23.09 Cr | 23.75 Cr | 64.09 Cr |
| Other Non Current Assets | 5.26 Cr | 1.99 Cr | 8.52 Cr | 3.71 Cr |
| Total Non-Current Assets | 315.19 Cr | 368.71 Cr | 435.79 Cr | 623.35 Cr |
| Currents Investments | 1.07 Lk | 73,000 | 1.11 Lk | 1.23 Lk |
| Quoted | 1.03 Lk | 69,000 | 1.07 Lk | 1.19 Lk |
| Unquoted | 16.46 Cr | 16.46 Cr | 15.2 Cr | 15.3 Cr |
| Inventories | 157.22 Cr | 272.29 Cr | 239.31 Cr | 270.2 Cr |
| Raw Materials | 74.36 Cr | 169.01 Cr | 136.92 Cr | 169.38 Cr |
| Work-in Progress | 20.73 Cr | 45.98 Cr | 36.69 Cr | 51.74 Cr |
| Finished Goods | 42.37 Cr | 36.09 Cr | 44.89 Cr | 23.34 Cr |
| Stores and Spare | 16.01 Cr | 20.59 Cr | 20.58 Cr | 24.51 Cr |
| Sundry Debtors | 171.77 Cr | 204.26 Cr | 181.45 Cr | 210.39 Cr |
| Debtors more than Six months | 1.7 Cr | 89.55 Lk | 57.67 Lk | 13.84 Lk |
| Debtors Others | 170.94 Cr | 204.08 Cr | 181.3 Cr | 210.5 Cr |
| Cash and Bank | 8.91 Cr | 35.03 Cr | 65.16 Cr | 109.4 Cr |
| Cash in hand | 18.22 Lk | 9.65 Lk | 3.31 Lk | 2.31 Lk |
| Balances at Bank | 8.73 Cr | 34.94 Cr | 65.13 Cr | 109.38 Cr |
| Other Current Assets | 26.53 Cr | 34.77 Cr | 22.18 Cr | 67.88 Cr |
| Interest accrued on Investments | 38.08 Lk | 65.18 Lk | 86.25 Lk | 1.25 Cr |
| Prepaid Expenses | 3.23 Cr | 3.6 Cr | 6.85 Cr | 6.59 Cr |
| Short Term Loans and Advances | 21.44 Cr | 41.38 Cr | 34.1 Cr | 48.8 Cr |
| Advances recoverable in cash or in kind | 5.86 Cr | 7.81 Cr | 11.87 Cr | 2.99 Cr |
| Advance income tax and TDS | 47.37 Lk | 2.33 Cr | 2.41 Cr | 1.99 Cr |
| Total Current Assets | 385.89 Cr | 587.74 Cr | 542.21 Cr | 706.69 Cr |
| Net Current Assets (Including Current Investments) | 43.47 Cr | 95.13 Cr | 90.89 Cr | 139.41 Cr |
| Total Assets | 701.08 Cr | 956.45 Cr | 978 Cr | 1330.04 Cr |
| Contingent Liabilities | 9.97 Cr | 9.97 Cr | 10.4 Cr | 10.56 Cr |
| Total Debt | 253.64 Cr | 324.43 Cr | 289.91 Cr | 536.69 Cr |
| Book Value | 73.58 | 88.6 | 104.24 | 129.88 |
| Adjusted Book Value | 73.58 | 88.6 | 104.24 | 129.88 |
FINANCIAL RATIOS (CONSOLIDATED) FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 8.97 | 16.18 | 18.36 | 28.14 |
| CEPS(Rs) | 18.45 | 28.31 | 32.29 | 45 |
| DPS(Rs) | 0 | 2.03 | 2.7 | 1.5 |
| Book NAV/Share(Rs) | 73.57 | 88.58 | 104.22 | 129.87 |
| Tax Rate(%) | 25.39 | 26.5 | 26.37 | 26.02 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 13.54 | 12.25 | 12.15 | 13.11 |
| EBIT Margin(%) | 11.82 | 10.22 | 10 | 12.68 |
| Pre Tax Margin(%) | 6.69 | 6.55 | 6.41 | 8.99 |
| PAT Margin (%) | 4.99 | 4.81 | 4.72 | 6.65 |
| Cash Profit Margin (%) | 10.26 | 8.42 | 8.31 | 10.64 |
| Performance Ratios | ||||
| ROA(%) | 4.1 | 6.26 | 6.08 | 7.82 |
| ROE(%) | 12.2 | 19.96 | 19.04 | 24.04 |
| ROCE(%) | 13.92 | 20.07 | 20.22 | 21.8 |
| Asset Turnover(x) | 0.82 | 1.3 | 1.29 | 1.17 |
| Sales/Fixed Asset(x) | 1.25 | 2.16 | 2.16 | 2.03 |
| Working Capital/Sales(x) | 13.25 | 11.33 | 13.71 | 9.72 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.8 | 0.46 | 0.46 | 0.49 |
| Receivable days | 108.78 | 63.67 | 56.5 | 52.75 |
| Inventory Days | 99.57 | 72.72 | 74.94 | 68.59 |
| Payable days | 83.37 | 87.6 | 110 | 108.44 |
| Valuation Parameters | ||||
| PER(x) | 7.43 | 19.95 | 14.71 | 27.14 |
| PCE(x) | 3.61 | 11.4 | 8.37 | 16.98 |
| Price/Book(x) | 0.91 | 3.64 | 2.59 | 5.88 |
| Yield(%) | 0 | 0.63 | 1 | 0.2 |
| EV/Net Sales(x) | 0.88 | 1.39 | 0.99 | 2.39 |
| EV/Core EBITDA(x) | 4.65 | 8.88 | 6.44 | 12.73 |
| EV/EBIT(x) | 6.72 | 12.02 | 8.75 | 16.73 |
| EV/CE(x) | 0.65 | 1.38 | 1.11 | 3.02 |
| M Cap / Sales | 0.41 | 1.08 | 0.79 | 2.04 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 0 | 84.08 | 15.34 | 9.22 |
| Core EBITDA Growth(%) | 0 | 51.26 | 13.53 | 33.51 |
| EBIT Growth(%) | 0 | 61.66 | 13.06 | 38 |
| PAT Growth(%) | 0 | 80.36 | 13.42 | 53.3 |
| EPS Growth(%) | 0 | 80.35 | 13.44 | 53.3 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 1.08 | 1.14 | 0.87 | 1.29 |
| Current Ratio(x) | 1.13 | 1.19 | 1.2 | 1.25 |
| Quick Ratio(x) | 0.67 | 0.64 | 0.67 | 0.77 |
| Interest Cover(x) | 2.3 | 2.78 | 2.79 | 3.44 |
| Total Debt/Mcap(x) | 1.19 | 0.31 | 0.33 | 0.22 |
FINANCIAL RATIOS (STANDALONE) FOR PITTI ENGINEERING LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 8.98 | 16.19 | 18.36 | 28.14 |
| CEPS(Rs) | 18.46 | 28.32 | 32.29 | 45 |
| DPS(Rs) | 0 | 2.03 | 2.7 | 1.5 |
| Book NAV/Share(Rs) | 73.58 | 88.6 | 104.24 | 129.88 |
| Tax Rate(%) | 25.38 | 26.5 | 26.37 | 26.01 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 13.54 | 12.25 | 12.15 | 13.11 |
| EBIT Margin(%) | 11.83 | 10.22 | 10 | 12.68 |
| Pre Tax Margin(%) | 6.69 | 6.55 | 6.41 | 8.99 |
| PAT Margin (%) | 4.99 | 4.81 | 4.72 | 6.65 |
| Cash Profit Margin (%) | 10.26 | 8.42 | 8.31 | 10.64 |
| Performance Ratios | ||||
| ROA(%) | 4.44 | 6.26 | 6.08 | 7.82 |
| ROE(%) | 12.97 | 19.97 | 19.04 | 24.04 |
| ROCE(%) | 14.89 | 20.08 | 20.21 | 21.8 |
| Asset Turnover(x) | 0.89 | 1.3 | 1.29 | 1.17 |
| Sales/Fixed Asset(x) | 1.34 | 2.16 | 2.16 | 2.03 |
| Working Capital/Sales(x) | 13.26 | 11.33 | 13.71 | 9.72 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.75 | 0.46 | 0.46 | 0.49 |
| Receivable days | 98.52 | 63.67 | 56.5 | 52.75 |
| Inventory Days | 89.84 | 72.72 | 74.94 | 68.59 |
| Payable days | 79.98 | 87.6 | 110 | 108.44 |
| Valuation Parameters | ||||
| PER(x) | 7.42 | 19.94 | 14.71 | 27.14 |
| PCE(x) | 3.61 | 11.4 | 8.37 | 16.97 |
| Price/Book(x) | 0.91 | 3.64 | 2.59 | 5.88 |
| Yield(%) | 0 | 0.63 | 1 | 0.2 |
| EV/Net Sales(x) | 0.88 | 1.39 | 0.99 | 2.39 |
| EV/Core EBITDA(x) | 4.65 | 8.88 | 6.44 | 12.73 |
| EV/EBIT(x) | 6.72 | 12.02 | 8.75 | 16.73 |
| EV/CE(x) | 0.65 | 1.38 | 1.11 | 3.02 |
| M Cap / Sales | 0.41 | 1.08 | 0.79 | 2.04 |
| Growth Ratio | ||||
| Net Sales Growth(%) | -1.31 | 84.08 | 15.34 | 9.22 |
| Core EBITDA Growth(%) | 21.08 | 51.27 | 13.51 | 33.52 |
| EBIT Growth(%) | 26.3 | 61.67 | 13.02 | 38.01 |
| PAT Growth(%) | 68.34 | 80.32 | 13.35 | 53.31 |
| EPS Growth(%) | 68.34 | 80.33 | 13.35 | 53.31 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 1.08 | 1.14 | 0.87 | 1.29 |
| Current Ratio(x) | 1.13 | 1.19 | 1.2 | 1.25 |
| Quick Ratio(x) | 0.67 | 0.64 | 0.67 | 0.77 |
| Interest Cover(x) | 2.3 | 2.78 | 2.79 | 3.44 |
| Total Debt/Mcap(x) | 1.19 | 0.31 | 0.33 | 0.22 |
SHARE HOLDING PATTERN FOR PITTI ENGINEERING LIMITED
| Date | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| Promoters % | 59.28 | 59.28 | 59.29 | 59.29 | 59.29 | 59.29 | 59.29 | 59.29 | 59.29 | 53.58 |
| FII % | 0.03 | 0.05 | 0.00 | 0.00 | 0.19 | 0.13 | 0.22 | 0.50 | 0.79 | 1.29 |
| DII % | 0.88 | 0.91 | 0.80 | 0.97 | 1.31 | 1.27 | 1.24 | 1.25 | 1.35 | 1.18 |
| Public % | 39.80 | 37.76 | 35.08 | 34.80 | 34.33 | 35.06 | 33.93 | 34.33 | 34.04 | 27.61 |
PEER COMPARISON FOR PITTI ENGINEERING LIMITED
CORPORATE ACTIONS FOR PITTI ENGINEERING
| Exchange Date | Purpose | Book Closure Dates |
|---|---|---|
| BSE 26-Aug-2024 | Book Closure - Rs.1.5000 per share(30%)Final Dividend & A.G.M. | 14-Sep-2024 20-Sep-2024 |
| BSE 26-Aug-2024 | AGM - Rs.1.5000 per share(30%)Final Dividend & A.G.M. | 20-Sep-2024 20-Sep-2024 |
| BSE 02-Aug-2024 | Board Meeting - Quarterly Results | 14-Aug-2024 |
| BSE 15-May-2024 | Dividend - Rs.1.5000 per share(30%)Final Dividend | |
| BSE 09-May-2024 | Board Meeting - Final Dividend & Audited Results | 15-May-2024 |
| BSE 18-Jan-2024 | Board Meeting - Quarterly Results | 09-Feb-2024 |
| BSE 27-Oct-2023 | Board Meeting - Quarterly Results | 09-Nov-2023 |
| BSE 01-Aug-2023 | Board Meeting - Quarterly Results | 14-Aug-2023 |
| BSE 18-Jul-2023 | Book Closure - Rs.1.2000 per share(24%)Final Dividend & A.G.M. | 12-Aug-2023 18-Aug-2023 |
| BSE 18-Jul-2023 | AGM - Rs.1.2000 per share(24%)Final Dividend & A.G.M. | 18-Aug-2023 18-Aug-2023 |
| BSE 08-Jun-2023 | SAST - Further investments in its Wholly Owned Subsidiary Company | |
| BSE 29-May-2023 | Dividend - Rs.1.2000 per share(24%)Final Dividend | |
| BSE 11-May-2023 | Board Meeting - Audited Results & Final Dividend | 29-May-2023 |
| BSE 24-Feb-2023 | Dividend - Rs.1.5000 per share(30%)Interim Dividend | |
| BSE 31-Jan-2023 | Board Meeting - Interim Dividend & Quarterly Results | 14-Feb-2023 |
| BSE 31-Oct-2022 | Board Meeting - Quarterly Results | 11-Nov-2022 |
| BSE 23-Aug-2022 | Book Closure - Rs.0.8500 per share(17%)Final Dividend & A.G.M. | 17-Sep-2022 23-Sep-2022 |
| BSE 23-Aug-2022 | AGM - Rs.0.8500 per share(17%)Final Dividend & A.G.M. | 23-Sep-2022 23-Sep-2022 |
| BSE 27-Jul-2022 | Board Meeting - Quarterly Results | 10-Aug-2022 |
| BSE 23-May-2022 | Dividend - Rs.0.8500 per share(17%)Final Dividend | |
| BSE 11-May-2022 | Board Meeting - Final Dividend & Audited Results | 23-May-2022 |
| BSE 18-Feb-2022 | Dividend - Third Interim Dividend | |
| BSE 31-Jan-2022 | Board Meeting - Third Interim Dividend & Quarterly Results | 11-Feb-2022 |
| BSE 17-Nov-2021 | Dividend - Re.0.4000 per share (8%) Second Interim Dividend | |
| BSE 27-Oct-2021 | Board Meeting - Quarterly Results & Interim Dividend | 08-Nov-2021 |
CORPORATE ANNOUNCEMENTS FOR PITTI ENGINEERING
| Exchange Date | Category File | Description |
|---|---|---|
| BSE 29-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication - loss of share certificate |
| BSE 29-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication - Information regarding postal ballot |
| BSE 28-Oct-2024 | General Announcements FILE | Compliances-Reg. 39 (3) - Details of Loss of Certificate / Duplicate Certificate Intimation regarding loss of share certificate |
| BSE 28-Oct-2024 | General Announcements FILE | Postal Ballot And Cut-Off Date For E-Voting Postal Ballot and cut-off date for e-voting |
| BSE 24-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Monitoring Agency Report Monitoring Agency Report on utilization of proceeds raised through QIP for quarter ended 30th September 2024 |
| BSE 24-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Scheme of Arrangement Date of effectiveness of the Scheme |
| BSE 24-Oct-2024 | Outcome FILE | Board Meeting Outcome for Outcome Of Board Meeting Outcome of Board Meeting |
| BSE 16-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication of loss of share certificate |
| BSE 10-Oct-2024 | General Announcements FILE | Compliances-Reg. 39 (3) - Details of Loss of Certificate / Duplicate Certificate Intimation regarding loss of share certificate |
| BSE 04-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Scheme of Arrangement Scheme of Amalgamation approved by the Honble NCLT |
| BSE 01-Oct-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 Certificate under Regulation 74(5) of SEBI (Depositories and Participants) Regulations 2018 |
| BSE 30-Sep-2024 | General FILE | Disclosures under Reg. 29(2) of SEBI (SAST) Regulations 2011 The Exchange has received the disclosure under Regulation 29(2) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 for SBICAP Trustee Company Ltd |
| BSE 30-Sep-2024 | General FILE | Disclosures under Reg. 31(1) and 31(2) of SEBI (SAST) Regulations 2011. The Exchange has received Disclosure under Regulation 31(1) and 31(2) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 on September 28 2024 for Shri Akshay S Pitti |
| BSE 30-Sep-2024 | General FILE | Disclosures under Reg. 31(1) and 31(2) of SEBI (SAST) Regulations 2011. The Exchange has received Disclosure under Regulation 31(1) and 31(2) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 on September 28 2024 for Shri Sharad B Pitti |
| BSE 26-Sep-2024 | Intimation FILE | Closure of Trading Window Intimation regarding closure of trading window |
| BSE 21-Sep-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Change in Directorate Cessation of Directors upon completion of tenure |
| BSE 20-Sep-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Scrutinizer''s Report Scrutinizer report and voting results of 40th AGM held on 20th September 2024 |
| BSE 20-Sep-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Outcome of AGM Proceedings of the 40th Annual General Meeting held on 20th September 2024 |
| BSE 06-Sep-2024 | General Announcements FILE | Submission Of Pitti Engineering Limited - ESOP Trust Deed Under Regulation 3(3) Of SEBI (Share Based Employee Benefits And Sweat Equity) Regulations 2021 Submission of Pitti Engineering Limited - ESOP Trust Deed under Regulation 3(3) of SEBI (Share Based Employee Benefits and Sweat Equity) Regulations 2021 |
| BSE 29-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication of 40th AGM E-voting and book closure |
| BSE 28-Aug-2024 | General Announcements FILE | Business Responsibility and Sustainability Reporting (BRSR) Business Responsibility and Sustainability Report for financial year 2023-24 |
| BSE 28-Aug-2024 | Intimation FILE | Notice Of 40Th Annual General Meeting Notice of 40th Annual General Meeting under Regulation 30(2) of SEBI (Listing Obligation and Disclosure Requirement) Regualtions 2015 |
| BSE 28-Aug-2024 | General Announcements FILE | Reg. 34 (1) Annual Report. Submission of Annual Report for the financial year 2023-24 along with Notice of the 40th Annual General Meeting |
| BSE 23-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication - Information of the 40th Annual General Meeting E-Voting and Book closure details |
| BSE 23-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Outcome Transcript of the Audio Conference call for investors on 19th August 2024 |
| BSE 22-Aug-2024 | Intimation FILE | Corporate Action - Fixes Book Closure For Dividend And AGM Corporate Action - Fixes Book Closure for Dividend and AGM |
| BSE 22-Aug-2024 | Intimation FILE | Intimation Of 40Th Annual General Meeting Book Closure And Cut-Off Date For E-Voting Intimation of 40th Annual General Meeting Book Closure and Cut-off date for e-voting |
| BSE 19-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Outcome Audio recording of conference call on un-audited financial results for the quarter ended 30th June 2024 |
| BSE 15-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Copies of newspaper publication of financial results |
| BSE 14-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Investor Presentation Investor presentation on the financial results of the Company for the quarter ended June 30 2024 |
INSIDER TRADING FOR PITTI ENGINEERING
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 27-Sep-2024 27-Sep-2024 | Sell Pledge Released | 1,944,530 @ 0.00 (5.48 %) | SBICAP Trustee Company Ltd |
BULK BLOCK DEALS FOR PITTI ENGINEERING LIMITED
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| No Bulk Block details found | |||
DIVIDEND BY PITTI ENGINEERING LIMITED
| Ex Dividend Date | Dividend Type | Dividend |
|---|---|---|
| 13-Sep-2024 | DIVIDEND | 1.5 |
| 11-Aug-2023 | DIVIDEND | 1.2 |
| 24-Feb-2023 | INTERIM DIVIDEND | 1.5 |
| 15-Sep-2022 | DIVIDEND | 0.85 |
| 18-Feb-2022 | INTERIM DIVIDEND | 0.4 |
| 17-Nov-2021 | INTERIM DIVIDEND | 0.4 |
| 13-Aug-2021 | INTERIM DIVIDEND | 0.375 |
SPLIT / BONUS BY PITTI ENGINEERING LIMITED
No Split / Bonus details found
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