Mtar Technologies Limited

Capital Goods · Electrical Equipment

NSE: MTARTECH BSE: 543270
₹7654.00
Oct. 5, 2026 · NSE · nse_bhavcopy

Peers in Electrical Equipment

The largest companies in the same industry by market cap. This company ranks #14 of 95. PE, ROE, 1Y return and scores come from the daily/weekly precomputed snapshot.

CompanyMarket cap (₹ Cr)PE (TTM)ROE1Y returnDiv. yieldQualityValuationMomentum
Bharat Heavy Electricals Limited 149,381 61.8 6.1% 74.9% — 54 36 32
ABB India Limited 146,111 93.9 13.6% 32.1% 1.73% 73 0 28
Hitachi Energy India Limited 140,403 122.1 19.1% 73.0% 0.03% 81 33 31
CG Power and Industrial Solutions Limited 138,960 99.7 14.5% 18.4% 0.15% 81 0 30
Siemens Limited 131,804 106.4 11.2% 13.8% 0.49% 72 0 29
Siemens Energy India Limited 118,104 79.4 — 2.5% 0.12% 94 0 66
GE Vernova T&D India Limited 108,756 83.3 45.8% 35.0% 0.24% 94 31 31
Apar Industries Limited 75,797 62.2 18.1% 113.6% 0.33% 62 25 50
Mtar Technologies Limited (this stock) 23,543 174.9 11.4% 292.0% — 65 27 87

Quarterly Financials

Period endRevenue (₹ Cr)PBT (₹ Cr)Net profit (₹ Cr)Basic EPS
June 30, 2026 361 67 50 ₹
March 31, 2026 306 60 44 ₹
Dec. 31, 2025 278 46 35 ₹
Sept. 30, 2025 136 6 4 ₹
June 30, 2025 157 15 11 ₹
March 31, 2025 183 19 14 ₹
Dec. 31, 2024 174 21 16 ₹
Sept. 30, 2024 190 25 19 ₹
June 30, 2024 128 6 4 ₹
March 31, 2024 143 7 5 ₹
Dec. 31, 2023 118 13 10 ₹
Sept. 30, 2023 167 26 20 ₹
June 30, 2023 153 27 20 ₹

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 876 126 94
March 31, 2025 676 72 53
March 31, 2024 581 73 56
March 31, 2023 574 140 103

Revenue Mix

Data unavailable.

Cash Flow

Year endedOperating (₹ Cr)Investing (₹ Cr)Financing (₹ Cr)Capex (₹ Cr)Free Cash Flow (₹ Cr)
March 31, 2026 197 -353 155 134 63
March 31, 2025 101 -103 -36 100 1
March 31, 2024 57 -56 25 94 -37
March 31, 2023 7 -87 32 108 -101
March 31, 2022 -30 -145 54 91 -121

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 1,743 823 792 222 148 1,128 727 1 497 501
March 31, 2025 1,130 729 698 96 81 618 290 2 436 346
March 31, 2024 — — — — — — — — — —
March 31, 2023 — — — — — — — — — —
March 31, 2022 — — — — — — — — — —