AnandRathi

Capacite Infraproj. Financial Results

BSE Code: 540710NSE Symbol:CAPACITEISIN: INE264T01014

267.2 4.79(1.83)

Open (Rs) 265.1

Close (Rs) 262.41

High (Rs) 287

Low (Rs) 265

Face Value10

Market Capital (Cr.)2260.62

Daily Volume3440729

Life Time High465

Life Time Low70.2

52 Week High339.65

52 Week Low180

Results

Consolidated
IN CRMAR 2026MAR 2025MAR 2024MAR 2023MAR 2022MAR 2021
Net Sales2,622.722,349.511,931.641,798.591,334.79879.72
Total Expenditure2,195.491,970.161,600.281,447.231,121.29743.24
PBIDT (Excl OI)427.23379.35331.36351.36213.49136.49
Other Income20.9157.6032.029.5213.1428.80
Operating Profit448.14436.95363.37360.88226.63165.28
Interest96.4193.3595.6389.4366.9870.30
Exceptional Items0.000.000.000.000.000.00
PBDT351.73343.60267.74271.46159.6594.98
Depreciation99.1295.08101.36136.0098.8190.16
Profit Before Tax252.62248.52166.38135.4660.844.82
Tax65.6161.3547.0540.6616.113.05
Provisions and contingencies0.000.000.000.000.000.00
Profit After Tax187.01187.17119.3394.8044.731.78
Extraordinary Items0.000.000.000.000.000.00
Prior Period Expenses0.000.000.000.000.000.00
Other Adjustments0.000.000.000.000.000.00
Net Profit187.01187.17119.3394.8044.731.78
Equity Capital84.6084.6084.6067.8967.8967.89
Face Value (IN RS)10.0010.0010.0010.0010.0010.00
Reserves1,824.241,634.061,432.360.00905.03860.93
Basic Eps After Extraordinary Items22.6423.9414.2214.046.480.23
Basic Eps Before Extraordinary Items22.6423.9414.2214.046.480.23
No of Public Share Holdings0.000.000.000.000.000.00
% of Public Share Holdings0.000.000.000.000.000.00
PBIDTM% (Excl OI)16.2916.1517.1519.5415.9915.51
PBIDTM%17.0918.6018.8120.0616.9818.79
PBDTM%13.4114.6213.8615.0911.9610.80
PBTM%9.6310.588.617.534.560.55
PATM%7.137.976.185.273.350.20

FAQs

What are the Net Sales of Capacite Infraproj in the financial year 2026?

For FY 2026, Capacite Infraproj recorded Net Sales of 2622.72 crores.This figure helps in determining the company’s true revenue after deducting discounts, returns, and allowances from Gross sales.

What is the Operating Profit of Capacite Infraproj in 2026?

The Operating Profit of Capacite Infraproj for FY 2026 is 448.14 crores. With this amount, one can assess the profits derived from the company’s core (or primary) operations, excluding interest and taxes.

What is the Profit Before Tax (PBT) of Capacite Infraproj in 2026?

In FY 2026, Capacite Infraproj posted a Profit Before Tax of 252.62 croresIt helps to understand whether a company is efficient enough to manage its costs and generate income before eliminating taxes.

What is the Net Profit of Capacite Infraproj for 2026?

Capacite Infraproj recorded a Net Profit of 187.01 crores in FY 2026. It is a key indicator of profitability as it gives a more accurate picture of a company’s financial health by considering all costs associated with the business.

What is the Face Value of Capacite Infraproj?

The Face Value of Capacite Infraproj shares is 10.It indicates the initial capital raised by the company by issuing shares. Face value can determine a stocks current market value at the time of dividends, bonuses, or stock splits.

What is the PAT Margin (PATM%) of Capacite Infraproj in 2026?

In FY 2026, the PAT Margin of Capacite Infraproj is 7.13 %. This metric provides insights into the company's efficiency in generating profits after paying taxes.

How to open a Demat Account with Anand Rathi to invest in Capacite Infraproj?

Open a Demat Account with Anand Rathi using the following steps:

1. Enter your basic details in the form.
2. Upload ID proof, PAN card, and bank details.
3. Complete eKYC online.
4. Start investing in Capacite Infraproj using our TradeMobi App or Web Trading Platform.