Tamboli Industri Share Price & Earnings Call Analysis

Financials of Tamboli Industri

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

Financials of Tamboli Industri

Quarterly Results

Quarter-by-quarter operating performance

Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales +14.9819.2919.1419.6616.9314.1016.7918.2119.8016.7119.1821.7822.75
Expenses +12.0715.6015.7215.8213.9310.7613.9714.0215.6514.5115.8617.1016.86
Operating Profit2.913.693.423.843.003.342.824.194.152.203.324.685.89
OPM %19.43%19.13%17.87%19.53%17.72%23.69%16.80%23.01%20.96%13.17%17.31%21.49%25.89%
Other Income +0.030.400.190.630.020.030.660.170.530.760.70-0.230.93
Interest0.280.050.050.060.040.160.120.130.190.120.120.090.10
Depreciation1.141.081.121.121.061.271.091.191.211.141.061.041.15
Profit before tax1.522.962.443.291.921.942.273.043.281.702.843.325.57
Tax %35.53%27.03%30.74%31.91%26.56%28.35%30.84%26.32%23.78%25.29%32.04%25.00%26.57%
Net Profit +0.982.151.712.251.421.391.572.242.511.271.942.504.10
EPS in Rs0.992.171.722.271.431.401.582.262.531.281.962.524.13

Financials of Tamboli Industri

Profit & Loss

Annual income statement trend

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales +52.4561.2355.2055.8354.1352.1666.9080.4983.0874.8768.7480.43
Expenses +41.4146.8540.3940.9640.9844.8151.3458.5965.1560.6354.2564.33
Operating Profit11.0414.3814.8114.8713.157.3515.5621.9017.9314.2414.4916.10
OPM %21.05%23.49%26.83%26.63%24.29%14.09%23.26%27.21%21.58%19.02%21.08%20.02%
Other Income +0.010.030.05-0.010.461.430.640.852.450.951.402.15
Interest1.310.890.900.880.600.390.200.681.060.200.600.43
Depreciation3.213.363.353.433.342.973.304.144.354.374.754.38
Profit before tax6.5310.1610.6110.559.675.4212.7017.9314.9710.6210.5413.44
Tax %32.62%33.46%33.65%33.74%28.02%25.28%26.14%27.50%29.46%29.19%26.76%27.08%
Net Profit +4.406.777.047.006.964.059.3813.0010.557.537.719.81
EPS in Rs4.446.827.107.067.024.089.4613.1010.647.597.779.89
Dividend Payout %13.53%8.79%9.86%9.92%9.98%12.25%9.52%7.63%9.40%13.17%12.87%12.13%

Financials of Tamboli Industri

Balance Sheet

Capital structure and asset base

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital9.929.929.929.929.929.929.929.929.929.929.929.92
Reserves34.8840.8847.9354.0459.7662.8571.8683.8793.4699.98103.68112.53
Borrowings +6.232.825.655.574.703.030.0013.701.372.926.352.43
Other Liabilities +5.136.864.656.0718.7617.2914.5619.0314.3412.8911.649.81
Total Liabilities56.1660.4868.1575.6093.1493.0996.34126.52119.09125.71131.59134.69
Fixed Assets +19.6120.2120.7922.3320.2020.4723.4856.8357.3059.9153.7663.43
CWIP0.370.370.420.790.502.390.830.380.810.760.891.46
Investments0.010.010.010.010.010.010.010.010.010.010.010.01
Other Assets +36.1739.8946.9352.4772.4370.2272.0269.3060.9765.0376.9369.79
Total Assets56.1660.4868.1575.6093.1493.0996.34126.52119.09125.71131.59134.69

Financials of Tamboli Industri

Cash Flows

Operating, investing and financing cash movement

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Cash from Operating Activity +2.6012.5111.479.139.471.683.5024.0820.964.983.4816.80
Cash from Investing Activity +-2.10-3.95-3.99-5.36-0.92-5.13-4.74-37.04-5.14-6.98-3.65-14.81
Cash from Financing Activity +-3.32-3.331.93-2.14-2.14-2.66-1.7712.13-14.390.351.84-5.36
Net Cash Flow-2.825.239.421.646.40-6.12-3.02-0.831.44-1.651.67-3.37
Free Cash Flow0.508.567.483.788.55-3.46-1.2421.2315.82-2.00-0.171.99
CFO/OP46%111%102%83%93%51%45%128%143%55%43%125%

Financials of Tamboli Industri

Ratios

Working capital efficiency and return ratios

Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debtor Days69.7353.5349.5375.1275.9355.7788.1785.2146.2689.8086.60100.56
Inventory Days459.33408.25651.15487.431,093.261,707.49433.79664.47381.30381.16645.18213.94
Days Payable103.34143.15108.10183.92251.15186.14132.31149.7377.86103.92168.2076.40
Cash Conversion Cycle425.72318.63592.58378.62918.031,577.12389.64599.94349.70367.03563.58238.11
Working Capital Days136.26112.61119.09130.56119.69128.69154.35152.77101.44133.14150.91136.10
ROCE %15.43%21.12%19.66%17.21%14.27%7.74%16.35%19.67%15.00%10.17%9.54%11.82%

Others in Finance this season

  • Muthoot Finance Ltd (Q1 FY27)

    Despite competitive intensity, Muthoot Finance has demonstrated growth; Q1 saw about 6% growth (~INR 9,000 crores). Key concall takeaways from Muthoot Finance…

  • Mahindra & Mahindra Financial Services Ltd (Q1 FY27)

    The company has already seen wheels AUM growth at 11%-12% and non-wheels at 28%-30% in recent quarters. Key concall takeaways from Mahindra & Mahindra…

  • Akiko Global Services Ltd (Q1 FY27)

    Personal loans are growing fastest, with 5%-10% month-on-month growth. Key concall takeaways from Akiko Global Services Ltd's Q1 FY27 earnings call — and how…

  • Max India Ltd (Q1 FY27)

    Care Homes occupancy is improving steadily (e.g., Bannerghatta from 37% to 41%), with potential expansion plans in late FY27. Key concall takeaways from Max…

Compare:vs Bajaj Finance Ltdvs Bajaj Finserv Ltdvs Shriram Finance Ltd