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KC

KVS Castings Limited

KVSCASTING BSE Auto Parts Consumer Cyclical

KVS Castings Limited engages in the manufacturing and selling of cast iron and ductile iron castings in India. It offers suspension brackets, brake drums, gear box housings, pump body products, and oil filters. The compโ€ฆ

ISIN INE163701019
Listed โ€”
Quarters tracked โ€”
Filings 6 docs

About

KVS Castings Limited engages in the manufacturing and selling of cast iron and ductile iron castings in India. It offers suspension brackets, brake drums, gear box housings, pump body products, and oil filters. The company also provides TMT bars and structural steel products; construction steel products; and SG iron, alloy steel, and stainless-steel casting solutions. It serves automobiles, railways, heavy machinery and equipment, industrial machinery, energy and power generation, infrastructure and construction, locomotive and engineering and agricultural machinery. KVS Castings Limited was founded in 2007 and is based in Kashipur, India.

Quarterly Results

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Profit & Loss

Annual ยท Rs. Crores
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Sales 51.4050.1154.0857.1846.21
Expenses 40.3140.6345.6350.0243.41
Operating Profit 11.099.488.457.162.80
OPM % 21.5818.9215.6212.526.06
Other Income 0.030.320.550.350.19
Interest 0.450.090.320.390.73
Depreciation 1.020.780.720.680.61
Profit before tax 9.658.937.966.441.65
Tax % 26.8426.0925.2525.0026.67
Net Profit 7.056.595.954.841.21
EPS in Rs 3.764.78183.30149.1137.28
Dividend Payout % 0.000.000.000.000.00

Balance Sheet

Annual ยท Rs. Crores โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Equity Capital 18.7513.780.320.320.32
Reserves 46.4520.6325.4619.5114.67
Borrowings 24.623.720.584.983.79
Other Liabilities 11.619.624.997.206.95
Total Liabilities 101.4347.7531.3532.0125.73
Fixed Assets 61.988.788.388.167.49
CWIP 0.785.460.030.000.00
Investments 0.180.341.781.760.18
Other Assets 38.4933.1721.1622.0918.06
Total Assets 101.4347.7531.3532.0125.73

Cash Flows

Annual ยท Rs. Crores โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Cash from Operating Activity 4.7510.625.113.242.87
Cash from Investing Activity -46.60-18.63-0.51-3.280.03
Cash from Financing Activity 44.195.05-4.720.80-1.75
Net Cash Flow 2.33-2.96-0.110.751.14
Free Cash Flow -44.793.994.231.892.81
CFO/OP % 58.00136.0084.0067.00118.00

Ratios

Annual ยท Days / % โ€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023Mar 2022
Debtor Days 92.0385.9546.1666.5871.01
Inventory Days 52.2344.9075.6262.7670.77
Days Payable 51.1661.3130.5157.6584.02
Cash Conversion Cycle 93.1069.5491.2771.7057.76
Working Capital Days 50.9927.0270.3346.9241.86
ROCE % 15.7927.9732.0531.34โ€”

Shareholding Pattern

% holding โ€” latest first
Holder Mar 2026 Oct 2025
Promoters 70.96 70.96
FIIs 4.64 5.59
DIIs 6.07 6.95
Public 18.33 16.49
No. of Shareholders 310 562

Corporate Actions

No corporate actions recorded.

Announcements

5 filings

Shareholding Pattern

Open on BSE

Financial Results โ€” Filings

Open on BSE

Board Filings

Open on BSE

Annual Reports

Credit Ratings

Conference Calls