Jain Irrigation Systems Limited

Capital Goods

NSE: JISLDVREQS
₹19.14
Sept. 30, 2026 · NSE · nse_bhavcopy

Quarterly Financials

Period endRevenue (₹ Cr)PBT (₹ Cr)Net profit (₹ Cr)Basic EPS
June 30, 2026 699 -17 -14 ₹
Dec. 31, 2025 920 5 4 ₹
Sept. 30, 2025 691 3 2 ₹
June 30, 2025 919 10 7 ₹
March 31, 2025 1,027 41 28 ₹
Dec. 31, 2024 800 19 11 ₹
Sept. 30, 2024 575 -29 -21 ₹
June 30, 2024 857 7 6 ₹
March 31, 2024 1,065 31 25 ₹
Dec. 31, 2023 805 3 2 ₹
Sept. 30, 2023 805 5 2 ₹
June 30, 2023 1,146 41 26 ₹
March 31, 2023 1,166 20 35 ₹

Annual Financials

Year endedRevenue (₹ Cr)PBT (₹ Cr)Net profit (₹ Cr)
March 31, 2025 3,259 38 25
March 31, 2024 3,821 79 56
March 31, 2023 3,613 35 39

Annual income statement (standalone, ₹ Cr; CAGR to the latest year)

IndicatorCAGR 3YCAGR 5YMar 25Mar 24Mar 23
Total income (before exceptional items) — — ———
Operating revenue — — 3,2593,8213,613
Other income — — ———
Operating expenses — — ———
Operating profit — — ———
Operating profit margin — — ———
Depreciation — — ———
Interest — — ———
Exceptional items, gain / (loss) — — ———
Profit before tax — — 387935
Tax — — ———
Net profit — — 255639
EPS — — ———

† Derived: the sum of that fiscal year's four quarterly filings (a real annual filing is used wherever one exists). Checked against filed annual figures, the sum lands within 0.5% for about 94% of company-years.

Annual ratios (standalone)

RatioMar 25Mar 24Mar 23
Operating margin———
EBIT margin———
PBT margin1.2%2.1%1.0%
Net margin0.8%1.5%1.1%
Interest coverage———
Dividend payout———
Earnings retention———
Current ratio———
Quick ratio———
Debt to equity———
Return on equity———
Return on assets———
Return on capital employed———
Asset turnover———

Margins and asset turnover use operating revenue (interest earned for banks, excluding other income), not total income. Liquidity, leverage and return ratios need a filed standalone balance sheet, which exists only for recent years; returns use year-end equity/assets. Dividend payout is shown only for companies with a dividend record. † = built from a summed fiscal year.

Revenue Mix

Data unavailable.

Cash Flow

Year endedOperating (₹ Cr)Investing (₹ Cr)Financing (₹ Cr)Capex (₹ Cr)Free Cash Flow (₹ Cr)
March 31, 2025 483 -128 -367 149 334
March 31, 2024 542 -133 -422 140 402
March 31, 2023 393 -40 -411 120 274
March 31, 2022 368 -83 -401 59 309

Balance Sheet (standalone)

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, 2025 — — — — — — — — — —
March 31, 2024 — — — — — — — — — —
March 31, 2023 — — — — — — — — — —
March 31, 2022 — — — — — — — — — —

Financial charts

Trend charts drawn from the standalone income-statement and ratio tables above (oldest year on the left); a gap means that period has no figure. Annual years marked † in the tables are derived from four quarters.