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Partap Industries Ltd

1272556

Insights

Beta

AI-extracted from concalls & annual reports · figures as reported, with sources

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28 extracted metrics + investor summaries across FY23–FY26.

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Tapetide Score

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Technical Indicators

Key Insights

Strengths

1
  • Company is almost debt free.

Weaknesses

1
  • Company has a low return on equity of 1.28% over last 3 years.

Growth Rate

Revenue Growth
1.00%
Net Income Growth
391.00%
Cash Flow Change
-
ROE
14.00%
ROCE
-
EBITDA Margin (Avg.)
-

Quarterly Results

  Mar 2023Jun 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales
88.46
96.4
101
79.59
123
144
158
137
126
131
168
142
Expenses
112
89.57
100
76.92
117
138
146
138
118
118
157
135
Operating Profit
-23.23
6.83
0.82
2.67
6.05
6.37
12.5
-1.14
8.17
12.52
10.53
6.87
OPM %
-26.26%
7.09%
0.81%
3.35%
4.91%
4.41%
7.91%
-0.83%
6.49%
9.57%
6.27%
4.83%
Other Income
2.62
0
0
0
0
0
0
0.34
0
0
0
1.41
Interest
0.68
0.94
1.48
-0.78
1.16
2.18
1.83
2.47
0
1.26
1.02
1.39
Depreciation
0.87
3.11
3.11
2.39
3.03
3.03
8.22
7.72
0
5.44
5.44
3.76
PBT
-22.16
2.78
-3.77
1.06
1.86
1.16
2.45
-10.99
8.17
5.82
4.07
3.13
Tax %
-7.08%
64.75%
47.75%
-264.15%
24.19%
38.79%
18.37%
7.92%
18.36%
25.77%
36.86%
2.88%
Net Profit
-20.59
0.98
-5.57
3.86
1.41
0.71
2
-11.86
6.67
4.32
2.58
3.03
Figures in ₹ Crores

Profit & Loss

  Mar 2023Mar 2024Mar 2025Mar 2026
Sales
442
380
563
567
Expenses
408
372
539
522
Operating Profit
34
8
24
45
OPM %
8%
2%
4%
8%
Other Income
3
0
0
9
Interest
2
2
8
5
Depreciation
14
12
22
20
PBT
21
-6
-6
29
Tax %
30%
41%
40%
16%
Net Profit
15
-9
-8
24
Div. Payout %
0%
0%
0%
0%
Figures in ₹ Crores

Balance Sheet

  Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital
3
3
3
3
Reserves
166
157
149
174
Borrowings
0
0
0
0
Other Liabilities
86
172
103
81
Total Liabilities
255
332
255
257
Fixed Assets
79
80
140
145
CWIP
4
86
14
1
Investments
6
5
6
14
Other Assets
166
161
94
98
Total Assets
255
332
255
257
Figures in ₹ Crores

Cash Flow

  Mar 2023Mar 2024Mar 2025Mar 2026
Operating
11
23
45
Investing
0
-17
-8
Financing
-11
-8
-37
Net Cash Flow
0
-1
0
Free Cash Flow
22
12
35
CFO/OP
71
90
109
Figures in ₹ Crores

Ratios

  Mar 2023Mar 2024Mar 2025Mar 2026
Debtor Days
39
22
17
20
Inventory Days
35
51
34
43
Days Payable
7
23
15
29
Cash Conversion Cycle
68
51
36
34
Working Capital Days
56
22
11
15
ROCE %
-2%
1%
19%

Documents

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Frequently Asked Questions about Partap Industries Ltd

Where is Partap Industries Ltd (1272556) listed?
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Company Information

Face Value ₹ 10

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