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GOEL CONSTRUCTION COMPANY LIMITED

GOELCONS BSE Engineering & Construction Industrials

Goel Construction Company Limited engages in the business of civil construction in India. The company offers cement plants, power plants, dairy plants, steel plants, residential, and institutional work. Goel Constructio…

ISIN INE0ZOM01013
Listed β€”
Quarters tracked β€”
Filings 6 docs

About

Goel Construction Company Limited engages in the business of civil construction in India. The company offers cement plants, power plants, dairy plants, steel plants, residential, and institutional work. Goel Construction Company Limited was incorporated in 1997 and is based in Jaipur, India.

Quarterly Results

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Profit & Loss

Annual Β· Rs. Crores
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Sales 657.00590.00386.00271.00206.00159.00
Expenses 584.00532.00350.00247.00187.00145.00
Operating Profit 73.0058.0036.0024.0019.0015.00
OPM % 11.0010.009.009.009.009.00
Other Income 8.004.003.002.002.001.00
Interest 10.003.003.002.002.002.00
Depreciation 9.008.006.004.004.003.00
Profit before tax 62.0051.0030.0019.0014.0010.00
Tax % 25.0026.0025.0024.0024.0026.00
Net Profit 46.0038.0023.0014.0011.007.00
EPS in Rs 32.0133.72219.13138.40105.4070.56
Dividend Payout % 0.000.000.000.000.000.00

Balance Sheet

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Equity Capital 14.0011.001.001.001.001.00
Reserves 240.00120.0092.0070.0056.0045.00
Borrowings 8.0029.0031.0029.0035.0036.00
Other Liabilities 193.00105.0096.00106.0031.0031.00
Total Liabilities 455.00265.00220.00205.00123.00113.00
Fixed Assets 100.0077.0065.0055.0037.0035.00
CWIP 3.004.001.000.000.000.00
Investments 64.0023.007.009.002.000.00
Other Assets 288.00162.00147.00141.0084.0078.00
Total Assets 455.00265.00220.00205.00123.00113.00

Cash Flows

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Cash from Operating Activity 63.0038.0048.0024.0021.0013.00
Cash from Investing Activity -101.00-33.00-36.00-37.00-13.00-7.00
Cash from Financing Activity 45.00-5.00-1.007.00-3.00-4.00
Net Cash Flow 6.000.0011.00-7.004.002.00
Free Cash Flow 32.0016.0032.002.0014.008.00
CFO/OP % 107.0088.00154.00121.00123.0092.00

Ratios

Annual Β· Days / % β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Debtor Days 39.0017.0022.0031.0028.0036.00
Inventory Days 94.0024.0069.00β€”β€”1,180.00
Days Payable 94.0074.00267.00β€”β€”726.00
Cash Conversion Cycle 39.00-33.00-175.0031.0028.00491.00
Working Capital Days 1.00-10.00-11.00-7.00-13.001.00
ROCE % 34.0039.0030.0022.0019.00β€”

Shareholding Pattern

% holding β€” latest first
Holder Mar 2026 Sep 2025
Promoters 71.83 71.83
FIIs 2.28 2.91
DIIs 6.47 6.09
Public 19.41 19.16
No. of Shareholders 1,095 1,216

Corporate Actions

No corporate actions recorded.

Announcements

5 filings