Lakshmi Engg. Share Price & Earnings Call Analysis

Financials of Lakshmi Engg.

Quarterly Results, Profit & Loss, Balance Sheet, Cash Flows, and Ratios are shown below as separate sections.

Financials of Lakshmi Engg.

Quarterly Results

Quarter-by-quarter operating performance

Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales +3.403.393.873.584.083.273.243.293.093.183.033.913.45
Expenses +2.562.632.732.753.442.682.622.633.182.752.452.772.52
Operating Profit0.840.761.140.830.640.590.620.66-0.090.430.581.140.93
OPM %24.71%22.42%29.46%23.18%15.69%18.04%19.14%20.06%-2.91%13.52%19.14%29.16%26.96%
Other Income +0.290.470.320.520.580.350.300.260.300.370.400.300.28
Interest0.180.310.200.200.190.180.190.190.210.260.260.380.34
Depreciation0.260.250.280.290.300.300.300.300.310.280.310.400.40
Profit before tax0.690.670.980.860.730.460.430.43-0.310.260.410.660.47
Tax %33.33%25.37%28.57%31.40%23.29%4.35%34.88%-23.26%-38.71%15.38%41.46%12.12%27.66%
Net Profit +0.460.500.710.590.560.450.290.53-0.190.220.240.580.34
EPS in Rs6.887.4810.628.828.376.734.347.92-2.843.293.598.675.08

Financials of Lakshmi Engg.

Profit & Loss

Annual income statement trend

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales +3.123.632.687.177.458.1712.7010.2011.8212.7114.7912.8013.57
Expenses +4.755.275.135.645.516.487.666.298.029.6211.5611.1210.49
Operating Profit-1.63-1.64-2.451.531.941.695.043.913.803.093.231.683.08
OPM %-52.24%-45.18%-91.42%21.34%26.04%20.69%39.69%38.33%32.15%24.31%21.84%13.12%22.70%
Other Income +5.245.384.801.580.840.780.581.151.391.541.771.191.35
Interest0.030.020.060.060.060.220.630.790.730.910.790.881.24
Depreciation0.350.390.300.300.360.470.620.890.940.981.161.191.39
Profit before tax3.233.331.992.752.361.784.373.383.522.743.050.801.80
Tax %3.72%21.62%50.75%83.27%26.69%29.21%23.34%25.15%26.14%22.26%24.26%-5.00%
Net Profit +3.112.610.980.461.731.263.352.542.602.132.310.841.38
EPS in Rs51.8343.5016.337.6728.8321.0047.8636.2938.8831.8534.5412.5620.63
Dividend Payout %0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%25.73%31.41%34.75%79.64%

Financials of Lakshmi Engg.

Balance Sheet

Capital structure and asset base

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Sep 2025
Equity Capital6.106.106.106.106.106.406.696.696.696.696.696.696.69
Reserves-6.73-4.29-3.31-2.85-1.111.886.879.3811.9013.3514.9815.0615.22
Borrowings +8.608.608.606.586.663.614.924.944.435.925.0710.0511.67
Other Liabilities +4.794.724.733.033.444.815.955.875.755.886.116.589.49
Total Liabilities12.7615.1316.1212.8615.0916.7024.4326.8828.7731.8432.8538.3843.07
Fixed Assets +4.483.863.623.678.288.1415.0314.4715.0717.9918.9619.5329.47
CWIP0.100.100.110.350.010.610.000.010.060.400.655.190.01
Investments0.000.000.000.000.000.000.000.000.000.000.000.000.00
Other Assets +8.1811.1712.398.846.807.959.4012.4013.6413.4513.2413.6613.59
Total Assets12.7615.1316.1212.8615.0916.7024.4326.8828.7731.8432.8538.3843.07

Financials of Lakshmi Engg.

Cash Flows

Operating, investing and financing cash movement

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity +3.060.551.49-0.671.742.955.23-3.220.148.502.405.03
Cash from Investing Activity +0.151.730.732.54-1.57-1.71-6.983.620.92-8.59-0.06-7.29
Cash from Financing Activity +-1.69-0.230.06-2.070.03-1.251.90-0.61-1.190.10-2.382.26
Net Cash Flow1.522.042.28-0.200.20-0.010.16-0.21-0.120.01-0.050.00
Free Cash Flow2.861.791.52-1.71-1.931.21-0.41-3.51-1.344.310.43-0.17
CFO/OP-207%-12%-102%41%126%204%125%-61%28%293%93%332%

Financials of Lakshmi Engg.

Ratios

Working capital efficiency and return ratios

Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Debtor Days58.4997.5392.6156.0049.9755.8434.7865.1356.8243.0833.3241.92
Inventory Days289.37208.11296.56273.75292.96291.18138.11266.02188.52246.71225.81303.53
Days Payable26.3125.6191.2568.4467.2457.4242.7580.4272.2081.1164.9649.95
Cash Conversion Cycle321.56280.03297.92261.31275.70289.61130.14250.72173.14208.68194.16295.50
Working Capital Days84.23251.38215.19-3.56-56.34-4.02-83.06-25.7611.43-96.20-87.12-115.20
ROCE %45.57%24.92%17.80%18.47%21.69%16.48%32.93%20.41%19.26%14.90%13.13%5.84%

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