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CARYSIL LIMITED

Consumer Durables · Consumer Durables

NSE: CARYSIL BSE: 524091
₹1031.00
Oct. 5, 2026 · NSE · nse_bhavcopy

Peers in Consumer Durables

The largest companies in the same industry by market cap. This company ranks #60 of 214. PE, ROE, 1Y return and scores come from the daily/weekly precomputed snapshot.

CompanyMarket cap (₹ Cr)PE (TTM)ROE1Y returnDiv. yieldQualityValuationMomentum
Titan Company Limited 406,606 76.3 32.3% 33.7% — 72 26 27
Asian Paints Limited 226,946 49.1 20.0% 0.5% — 87 0 62
LG Electronics India Limited 120,204 65.9 — — — 85 0 87
Dixon Technologies (India) Limited 77,872 62.2 30.5% -25.2% — 92 33 30
Havells India Limited 65,687 39.8 17.8% -30.1% — 74 13 8
Kalyan Jewellers India Limited 57,508 42.6 21.4% 14.7% 0.45% 66 33 29
Berger Paints (I) Limited 53,450 45.7 16.3% -13.9% — 80 0 63
Voltas Limited 35,117 84.0 5.8% -22.3% 0.38% 62 5 11
CARYSIL LIMITED (this stock) 2,932 43.6 16.1% 18.5% — 76 41 29

Quarterly Financials

Period endRevenue (₹ Cr)PBT (₹ Cr)Net profit (₹ Cr)Basic EPS
June 30, 2026 262 42 32 ₹
March 31, 2026 234 34 27 ₹
Dec. 31, 2025 223 29 21 ₹
Sept. 30, 2025 241 36 27 ₹
June 30, 2025 227 30 23 ₹
March 31, 2025 204 24 19 ₹
Dec. 31, 2024 203 18 13 ₹
Sept. 30, 2024 207 24 17 ₹
June 30, 2024 201 23 16 ₹
March 31, 2024 191 21 16 ₹
Dec. 31, 2023 188 22 15 ₹
Sept. 30, 2023 164 22 16 ₹
June 30, 2023 142 16 12 ₹

The detailed income statement is standalone-only: the consolidated feed carries just revenue, PBT and net profit.

Annual Financials

Year endedRevenue (₹ Cr)PBT (₹ Cr)Net profit (₹ Cr)
March 31, 2026 924 130 99
March 31, 2025 816 88 64
March 31, 2024 684 81 58
March 31, 2023 594 68 53

Revenue Mix

Data unavailable.

Cash Flow

Year endedOperating (₹ Cr)Investing (₹ Cr)Financing (₹ Cr)Capex (₹ Cr)Free Cash Flow (₹ Cr)
March 31, 2026 109 -89 -25 111 -3
March 31, 2024 58 -102 48 93 -35
March 31, 2023 71 -136 64 58 13
March 31, 2022 52 -73 18 77 -26

Balance Sheet (consolidated)

Year endedTotal Assets (₹ Cr)Total Equity (₹ Cr)Reserves (₹ Cr)Borrowings, Current (₹ Cr)Borrowings, Non-current (₹ Cr)Current Assets (₹ Cr)Current Liabilities (₹ Cr)Cash & Equivalents (₹ Cr)Net Block (₹ Cr)Inventory (₹ Cr)
March 31, 2026 1,042 614 603 222 47 521 362 8 311 259
March 31, 2025 985 531 521 176 89 526 350 13 249 221
March 31, 2024 — — — — — — — — — —
March 31, 2023 — — — — — — — — — —
March 31, 2022 — — — — — — — — — —