Lorenzini Appar. Share Price & Earnings Call Analysis

Financials of Lorenzini Appar.

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

Financials of Lorenzini Appar.

Quarterly Results

Quarter-by-quarter operating performance

Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025
Sales +12.1610.3414.2017.9112.689.9715.1813.0521.2713.929.1917.0720.73
Expenses +10.798.5211.8914.4610.427.9813.7911.2617.0313.578.7316.3118.85
Operating Profit1.371.822.313.452.261.991.391.794.240.350.460.761.88
OPM %11.27%17.60%16.27%19.26%17.82%19.96%9.16%13.72%19.93%2.51%5.01%4.45%9.07%
Other Income +0.050.100.050.581.72-0.482.0814.94-8.29-5.312.151.76-0.19
Interest0.370.360.310.310.380.410.410.250.250.230.190.280.27
Depreciation0.760.810.800.780.790.840.780.520.490.520.420.380.35
Profit before tax0.290.751.252.942.810.262.2815.96-4.79-5.712.001.861.07
Tax %37.93%29.33%40.00%36.39%15.30%-19.23%18.42%23.81%-65.97%15.06%51.50%23.66%-3.74%
Net Profit +0.170.540.741.872.370.321.8612.17-1.62-6.570.961.421.10
EPS in Rs0.010.030.050.120.150.020.120.70-0.09-0.380.060.080.06

Financials of Lorenzini Appar.

Profit & Loss

Annual income statement trend

Mar 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales +13.1614.1212.0816.4323.3125.4734.9725.4924.4343.7654.7663.4260.91
Expenses +12.7213.6211.6015.5722.1724.3033.5724.3921.2436.0244.3852.8257.46
Operating Profit0.440.500.480.861.141.171.401.103.197.7410.3810.603.45
OPM %3.34%3.54%3.97%5.23%4.89%4.59%4.00%4.32%13.06%17.69%18.96%16.71%5.66%
Other Income +0.000.040.030.010.000.000.110.230.170.191.861.22-1.59
Interest0.190.200.330.390.340.240.470.590.941.271.781.760.97
Depreciation0.210.300.230.150.220.230.360.481.862.893.212.311.67
Profit before tax0.040.04-0.050.330.580.700.680.260.563.777.257.75-0.78
Tax %175.00%-50.00%-20.00%36.36%24.14%8.57%47.06%69.23%80.36%33.16%26.90%24.77%
Net Profit +-0.050.06-0.030.210.440.640.370.080.122.525.305.84-3.09
EPS in Rs0.060.030.040.020.010.010.160.340.34-0.18
Dividend Payout %0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%

Financials of Lorenzini Appar.

Balance Sheet

Capital structure and asset base

Mar 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Sep 2025
Equity Capital0.010.010.012.2810.1410.1410.1410.1410.1410.1415.6717.2717.27
Reserves0.300.450.410.860.591.221.591.672.735.2710.2930.3232.74
Borrowings +1.102.301.962.230.933.265.988.9414.5415.8816.219.5713.14
Other Liabilities +5.012.812.754.736.317.008.966.758.1410.2320.0015.4921.72
Total Liabilities6.425.575.1310.1017.9721.6226.6727.5035.5541.5262.1772.6584.87
Fixed Assets +0.711.901.821.881.721.702.222.308.518.235.984.062.97
CWIP0.000.000.000.000.000.000.000.000.000.000.000.000.00
Investments0.000.000.000.000.000.300.320.320.330.409.9013.5118.75
Other Assets +5.713.673.318.2216.2519.6224.1324.8826.7132.8946.2955.0863.15
Total Assets6.425.575.1310.1017.9721.6226.6727.5035.5541.5262.1772.6584.87

Financials of Lorenzini Appar.

Cash Flows

Operating, investing and financing cash movement

Mar 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity +0.651.19-2.43-6.250.410.090.343.111.962.27-4.95
Cash from Investing Activity +-1.37-0.63-0.13-0.22-0.51-0.90-0.55-0.78-1.31-8.83-2.89
Cash from Financing Activity +1.00-0.512.157.26-0.481.16-0.03-1.84-1.286.967.96
Net Cash Flow0.280.04-0.410.79-0.580.35-0.250.49-0.630.400.12
Free Cash Flow-0.921.04-2.56-6.470.20-0.79-0.222.420.711.30-5.34
CFO/OP142%254%-267%-535%50%24%42%102%33%31%-29%

Financials of Lorenzini Appar.

Ratios

Working capital efficiency and return ratios

Mar 2013Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Debtor Days8.8817.8410.5861.3138.3667.5069.7278.0476.2071.9877.7965.90
Inventory Days225.7254.0488.84182.32271.94270.53216.87336.62644.20353.36350.31361.16
Days Payable188.41103.34110.35126.2295.33124.73108.43122.43214.51120.32109.3766.20
Cash Conversion Cycle46.18-31.46-10.93117.41214.98213.29178.16292.23505.89305.02318.72360.86
Working Capital Days12.20-18.87-29.0159.32151.89144.45116.48169.68141.94115.0290.32181.41
ROCE %16.67%10.89%18.58%10.80%7.15%7.11%4.42%6.23%17.10%20.64%17.01%

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