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DEVSON CATALYST LIMITED

DEVSON BSE Specialty Chemicals Basic Materials

Devson Catalyst Limited manufactures and sells catalysts, adsorbents, and ceramic bed supports in global markets. The company offers products, such as chloride guards, catalyst carriers, molecular sieves, claus catalyst…

ISIN INE2KRP01017
Listed β€”
Quarters tracked β€”
Filings 5 docs

About

Devson Catalyst Limited manufactures and sells catalysts, adsorbents, and ceramic bed supports in global markets. The company offers products, such as chloride guards, catalyst carriers, molecular sieves, claus catalysts, sulphur guards, ceramic and alumina balls, ceramic tower packing, hydrotreating catalysts, reforming catalysts, and activated alumina. It serves the oil and gas, refining, petrochemicals, steel, fertilizers, chemicals, and environmental sectors. Devson Catalyst Limited was incorporated in 2004 and is based in Surendranagar, India.

Quarterly Results

No quarterly results synced yet for this stock.

Data is backfilled from screener.in β€” check back soon.

Profit & Loss

Annual Β· Rs. Crores
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Sales 56.0053.0043.0033.00
Expenses 39.0042.0037.0029.00
Operating Profit 17.0011.007.004.00
OPM % 30.0021.0015.0011.00
Other Income 1.000.000.000.00
Interest 0.000.001.000.00
Depreciation 1.001.000.000.00
Profit before tax 17.0010.006.003.00
Tax % 26.0026.0028.0026.00
Net Profit 13.008.004.002.00
EPS in Rs 12.21306.80163.2093.60
Dividend Payout % 0.000.000.000.00

Balance Sheet

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Equity Capital 10.000.250.250.25
Reserves 23.0021.0013.009.00
Borrowings 2.003.004.001.00
Other Liabilities 6.004.004.005.00
Total Liabilities 42.0027.0021.0016.00
Fixed Assets 12.007.007.005.00
CWIP 0.000.000.000.00
Investments 0.002.000.000.00
Other Assets 30.0018.0014.0011.00
Total Assets 42.0027.0021.0016.00

Cash Flows

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Cash from Operating Activity 5.004.000.002.00
Cash from Investing Activity -3.00-2.00-3.00-1.00
Cash from Financing Activity -1.00-2.003.000.00
Net Cash Flow 1.000.000.001.00
Free Cash Flow -1.004.00-2.001.00
CFO/OP % 47.0074.0019.0065.00

Ratios

Annual Β· Days / % β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Debtor Days 110.0087.0067.0057.00
Inventory Days 104.0031.0027.0061.00
Days Payable 44.0024.0021.0066.00
Cash Conversion Cycle 170.0094.0073.0052.00
Working Capital Days 128.0070.0041.0036.00
ROCE % 57.0052.0047.00β€”

Shareholding Pattern

% holding β€” latest first
Holder Jul 2026
Promoters 73.59
FIIs 3.87
DIIs 8.37
Public 14.16
No. of Shareholders 731

Corporate Actions

No corporate actions recorded.

Announcements

5 filings