How has been the historical performance of Kirloskar Indus.?

Nov 03 2025 10:46 PM IST
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Kirloskar Indus. has shown significant growth in net sales, reaching 6,608.06 Cr in March 2025, despite a decline in profit after tax to 307.57 Cr. Total assets increased to 11,650.83 Cr, but total liabilities also rose, indicating a tightening liquidity position.
Answer:
The historical performance of Kirloskar Indus. shows significant growth in net sales and profits over the years, with net sales reaching 6,608.06 Cr in March 2025, up from 6,368.39 Cr in March 2024 and 6,462.68 Cr in March 2023. The total operating income also reflects this upward trend, increasing from 3,782.57 Cr in March 2022 to 6,608.06 Cr in March 2025. Operating profit, excluding other income, was 768.57 Cr in March 2025, a decrease from 940.39 Cr in March 2024, but still higher than previous years. Profit before tax was 446.23 Cr in March 2025, down from 556.06 Cr in March 2024, while profit after tax was 307.57 Cr, a decline from 360.73 Cr in the previous year. The company's total assets grew to 11,650.83 Cr in March 2025, compared to 9,761.47 Cr in March 2024, indicating a strong asset base. However, total liabilities also increased to 11,650.83 Cr, reflecting a rise in short-term borrowings to 1,275.86 Cr. Cash flow from operating activities was 575.00 Cr in March 2024, down from 760.00 Cr in March 2023, while the closing cash and cash equivalents decreased to 60.00 Cr in March 2024 from 88.00 Cr in March 2023.

Breakdown:
Kirloskar Indus. has demonstrated a robust growth trajectory in its financial performance, with net sales climbing from 3,782.57 Cr in March 2022 to 6,608.06 Cr in March 2025. This growth in revenue is mirrored by an increase in total operating income, which reached 6,608.06 Cr in March 2025. Despite a slight decline in operating profit to 768.57 Cr in March 2025 from 940.39 Cr in March 2024, the company has maintained a solid profit before tax of 446.23 Cr. However, profit after tax saw a decrease to 307.57 Cr in March 2025. The total assets of the company rose significantly to 11,650.83 Cr, indicating a strong financial position, although total liabilities also increased correspondingly. The cash flow from operating activities showed a decline to 575.00 Cr in March 2024, and the closing cash and cash equivalents fell to 60.00 Cr, suggesting a tightening liquidity position despite the overall growth in sales and assets.
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