KSB Ltd - Technical chart

consolidated in Rs/Cr.

Industry

Industry name

Capital Goods-Non Electrical Equipment
Variance

Full Year Net Profit Variance

17
Equity

Latest Equity

34.81
Face Value

Latest Face Value

2
Reserves

Total Reserve

1643.93
Dividend

Full Year Dividend %

220
Sales Turnover

Full Year Net Sales

2695.73
Net Profit

Full Year Net Profit

290.93
Full Year CPS

Full Year Cash Per Share

20.1
Earning Per Share

Full Year Earning Per Share

16.7
Quarter CPS

Latest quarter Cash Per Share

0
Latest Quarter Date

Latest Quarter Yrc

Mar 1, 2026
Latest Quarter Sales

Latest Quarter Net Sales

601.3
Previous EPS

Previous earnings per share

0
Book Value

Book value

96.5
Networth

Full Year Return on Networth

17.1
Price/Book Value

Price to Book value

9.595855
Yearly PE ratio

Full Year Price to Earning per share

55.4
Yearly PC ratio

Full Year Price to Cash Per Share

46.1
Bse value

BSE Value in lakhs

81.79
Nse value

NSE Value in lakhs

1899.19
High

52 week high

1028
Low

52 week low

669
Price

NSE Current market price

928
CPM

Current market price

926
Market cap

BSE / NSE Market Cap

16109.07
Net profit

Latest Quarter Net Profit

39.8
Net profit variance

Latest Quarter Net Profit variance

-23
Result year

Trailing latest month

Mar 1, 2026
TTM Sales

Trailing Twelve 12 month Net Sales

2409.3
TTM OP

Trailing Twelve 12 month Operating Profit

345.5
TTM OPM

Trailing Twelve 12 month Operating Profit Margin

14.34
TTM GP

Trailing Twelve 12 month Gross Profit

403.7
TTM GPM

Trailing Twelve 12 month Gross Profit Margin

14.94
TTM NP

Trailing Twelve 12 month Net Profit

229.3
TTM NPV

Trailing Twelve 12 month Net Profit Variane

8.15
TTM EPS

Trailing Twelve 12 month EPS

15.82
TTM PE

Trailing Twelve 12 month PE

58.51
TTM CPS

Trailing Twelve 12 month CPS

0
Month CPS

Month Cash Per Share

0
TTM Depreciation

Trailing Twelve 12 month Depreciation

53.6
Equity

Latest Equity

34.81
LTP

Latest Price (BSE/NSE)

926
Gross block

Latest Gross Block

1056.63
Loans

Total loans

5.2
Advances

Latest Advances for Banks

0
Net profit asset

Latest Assets

0
Year OPM

Full Year Operating Profit Margin

14
Year GPM

Full Year Gross Profit Margin

16.6
Quarter OPM

Latest quater Operation Profit Margin

8.4

Quarterly Results (consolidated, figures in Rs Cr.)

Jun 2024 Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026
+ Sales 646 617 726 595 667 650 784 601
YOY Sales Growth % 9% 9% 21% 9% 3% 5% 8% 1%
Gross Sales 646 617 726 595 667 650 784 601
+ Expenses 555 529 628 528 575 565 680 551
Material Cost % 44% 53% 47% 58% 55% 48% 44% 76%
Raw Material Cost 289 295 341 306 325 295 349 358
Change in Inventory -5 31 1 39 41 16 -3 100
Manufacturing Cost % 18% 19% 18% 19% 18% 20% 21% 21%
Employee Cost % 12% 13% 11% 16% 13% 14% 12% 16%
Other Cost % 12% 1% 10% -4% 0% 5% 10% -22%
Raw Materials % 45% 48% 47% 51% 49% 45% 44% 60%
Purchase of Finished Goods % 11% 11% 10% 10% 13% 9% 9% 11%
Stock Adjustments % 1% -5% -0% -7% -6% -2% 0% -17%
Other Manufacturing Expenses % 18% 19% 18% 19% 18% 20% 21% 21%
Operating Profit 91 88 98 68 91 85 104 51
OPM % 14% 14% 14% 11% 14% 13% 13% 8%
+ Other Income 13 10 14 16 16 22 21 18
Miscellaneous Income 13 10 14 16 16 22 21 18
Interest 1 1 0 1 1 1 1 1
Depreciation 13 14 14 14 14 15 16 15
Profit before tax 90 83 98 69 92 91 108 53
+ Tax % 24% 26% 25% 25% 24% 26% 25% 25%
Current Tax 23 20 25 15 23 24 38 11
Deferred Tax -1 1 0 2 -2 0 -11 2
+ Net Profit 68 62 73 52 70 68 81 40
Extraordinary Income / Expense 0 0 0 0 0 0 -26 0
Exceptional Item 0 0 0 0 0 0 -26 0
Net Profit After Minority Interest 68 62 73 52 70 68 81 40
EPS in Rs 3.91 3.55 4.20 2.97 4.04 3.88 4.65 2.28

Profit & Loss (consolidated, figures in Rs Cr.)

Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2022 Dec 2023 Dec 2024 Dec 2025
+ Sales 880 969 1,093 1,294 1,208 1,497 1,822 2,247 2,533 2,696
Sales Growth % 10% 13% 18% -7% 24% 22% 23% 13% 6%
Gross Sales 770 919 1,093 1,294 1,208 1,497 1,822 2,247 2,533 2,696
Excise Duty 54 23 0 0 0 0 0 0 0 0
+ Expenses 777 865 965 1,142 1,040 1,288 1,575 1,954 2,196 2,348
Material Cost % 44% 48% 52% 54% 51% 53% 54% 57% 56% 54%
Raw Material Cost 399 494 599 708 648 857 1,063 1,260 1,460 1,549
Change in Inventory -12 -27 -34 -10 -28 -64 -75 18 -38 -93
Manufacturing Cost % 12% 12% 12% 11% 9% 10% 10% 10% 10% 10%
Employee Cost % 15% 15% 14% 14% 15% 14% 13% 12% 12% 14%
Other Cost % 17% 14% 10% 10% 10% 8% 9% 8% 8% 10%
Raw Materials % 45% 51% 55% 55% 54% 57% 58% 56% 58% 57%
Purchase of Finished Goods % 4% 7% 7% 8% 8% 9% 9% 8% 10% 10%
Stock Adjustments % 1% 3% 3% 1% 2% 4% 4% -1% 1% 3%
Power & Fuel % 2% 2% 2% 2% 1% 1% 1% 1% 1% 1%
Other Manufacturing Expenses % 9% 10% 10% 9% 8% 9% 8% 9% 9% 9%
Selling & Administration % 6% 6% 6% 6% 6% 5% 6% 5% 5% 5%
Miscellaneous Expenses % 4% 5% 4% 4% 4% 3% 3% 3% 3% 4%
Operating Profit 103 104 128 152 168 209 247 294 338 348
OPM % 12% 11% 12% 12% 14% 14% 14% 13% 13% 13%
+ Other Income 29 35 24 40 34 40 50 42 50 74
Miscellaneous Income 26 32 24 41 34 40 50 42 50 74
Exceptional Income 0 0 0 13 0 0 0 0 0 0
Interest 3 4 4 5 3 5 6 5 3 3
Depreciation 29 31 40 46 42 44 45 50 54 58
Profit before tax 99 105 109 141 157 201 245 280 331 361
+ Tax % 34% 35% 34% 28% 40% 26% 25% 26% 25% 25%
Current Tax 35 41 37 34 61 56 54 72 82 101
Deferred Tax -1 -4 1 6 2 -4 9 -1 2 -11
+ Net Profit 65 68 72 101 94 149 183 209 248 271
Profit Growth % 3% 6% 41% -7% 59% 22% 14% 19% 9%
Extraordinary Income / Expense 0 0 0 13 0 0 0 0 0 -26
Exceptional Item 0 0 0 13 0 0 0 0 0 -26
Net Profit After Minority Interest 69 71 72 101 94 149 183 209 247 270
EPS in Rs 19.69 20.36 20.57 28.94 26.94 42.92 52.50 59.97 14.22 15.54

Balance Sheet (consolidated, figures in Rs Cr.)

Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2022 Dec 2023 Dec 2024 Dec 2025
Equity Capital 35 35 35 35 35 35 35 35 35 35
Reserves 625 676 723 794 856 976 1,108 1,267 1,451 1,644
+ Borrowings 7 13 43 60 62 3 3 3 3 5
Secured Borrowings 5 12 10 0 0 0 0 0 0 0
Unsecured Borrowings 2 1 33 60 62 3 3 3 3 5
+ Other Liabilities 321 354 449 547 588 596 679 761 859 1,109
Current Liabilities 304 339 435 526 568 569 636 743 832 1,058
Provisions 40 51 43 48 68 56 50 54 67 88
Other liability items 37 37 37 42 45 52 43 44 57 86
Total Liabilities 988 1,077 1,250 1,436 1,540 1,609 1,825 2,066 2,348 2,793
+ Fixed Assets 219 308 321 307 318 311 350 419 438 462
Gross Block 498 611 657 684 723 741 822 924 987 1,057
Accumulated Depreciation 280 303 336 377 405 431 471 505 549 595
CWIP 17 4 4 34 25 39 25 32 55 92
Investments 54 58 60 64 66 70 74 80 88 97
+ Other Assets 699 707 865 1,030 1,130 1,190 1,375 1,535 1,767 2,143
Inventories 212 248 303 325 361 423 561 643 643 786
Trade receivables 163 255 291 296 267 278 404 492 650 869
Cash Equivalents 202 91 139 290 403 355 261 275 323 283
Loans n Advances 72 72 103 99 87 95 48 83 117 182
Other asset items 50 41 29 20 13 39 102 43 34 22
Total Assets 988 1,077 1,250 1,436 1,540 1,609 1,825 2,066 2,348 2,793

Cash Flow (consolidated, figures in Rs Cr.)

Dec 2016 Dec 2017 Dec 2018 Dec 2019 Dec 2020 Dec 2021 Dec 2022 Dec 2023 Dec 2024 Dec 2025
+ Cash from Operating Activity 58 -25 77 202 171 62 38 142 187 93
Profit from Operations 110 119 132 157 185 226 261 304 358 368
Working Capital Changes -12 -99 -13 80 28 -87 -162 -93 -104 -169
Profit Before Tax & Extraordinary Items 103 108 109 140 157 201 245 280 331 360
Depreciation 29 31 40 46 42 44 45 50 54 58
Interest (Net) -14 -8 -6 -8 -16 -15 -13 -11 -21 -17
Profit / Loss on Sale of Assets 0 0 0 -13 1 0 -1 0 -1 0
Provisions & Write-offs (Net) -6 -11 -7 -2 7 3 -6 -6 7 0
Profit / Loss in Forex 1 -1 1 -2 0 -1 -2 1 0 -9
Receivables -3 -102 -39 -6 18 -10 -114 -79 -164 -212
Inventories -24 -36 -55 -22 -36 -62 -138 -82 0 -143
Trade Payables 18 40 46 26 22 18 35 30 32 69
Loans & Advances 8 -2 0 -2 0 -5 -2 3 -3 0
Direct Taxes Paid -40 -45 -41 -35 -41 -76 -60 -70 -67 -106
+ Cash from Investing Activity -61 39 -86 -152 -101 2 -12 5 -146 50
Purchase of Fixed Assets -80 -82 -43 -59 -50 -38 -107 -93 -101 -94
Sale of Fixed Assets 0 0 1 13 0 1 2 1 1 1
Purchase of Investments 0 0 0 0 0 0 0 0 0 -1
Interest Received 16 15 7 6 20 19 20 19 21 25
Dividend Received 0 0 0 0 0 0 0 0 5 7
Others 2 106 -51 -113 -72 21 73 78 -72 112
+ Cash from Financing Activity -23 -21 2 -4 -32 -95 -51 -59 -65 -72
Proceeds from Other Long-Term Borrowings 0 0 31 0 0 0 0 0 0 0
Proceeds from Short-Term Borrowings 0 0 0 127 120 80 58 40 50 0
Repayment of Short-Term Borrowings 0 0 0 -100 -120 -140 -58 -40 -50 0
Repayment of Financial Liabilities 0 0 0 0 -1 -1 -1 -1 -2 -1
Dividend Paid -19 -19 -21 -21 -28 -30 -44 -52 -61 -70
Interest Paid -3 -4 -4 -5 -3 -5 -6 -5 -2 -1
Others -1 2 -4 -4 0 0 0 0 0 0
Net Cash Flow -26 -7 -6 46 39 -31 -25 88 -24 71