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RECODE STUDIOS LIMITED

RECODE BSE Household & Personal Products Consumer Defensive

Recode Studios Limited engages in the designing, producing, managing, and sale of beauty and cosmetics products in India. The company offers everyday makeup, face, lipsticks, foundations and concealers, palettes, powder…

ISIN INE2B6701015
Listed β€”
Quarters tracked β€”
Filings 5 docs

About

Recode Studios Limited engages in the designing, producing, managing, and sale of beauty and cosmetics products in India. The company offers everyday makeup, face, lipsticks, foundations and concealers, palettes, powders, eyelashes and glitters, brushes, eyes, lip tint balm blusher, face washes and body care, and saver combo products. It sells its products under the Recode brand through stores and online channels. Recode Studios Limited was founded in 2018 and is based in Ludhiana, 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 80.0048.0037.0022.00
Expenses 63.0042.0035.0021.00
Operating Profit 17.006.002.001.00
OPM % 21.0013.004.607.00
Other Income 0.000.000.000.00
Interest 1.001.001.000.00
Depreciation 1.001.001.000.00
Profit before tax 15.004.000.001.00
Tax % 25.0026.0026.0026.00
Net Profit 11.003.000.001.00
EPS in Rs 13.783,173.08259.62663.46
Dividend Payout % 2.000.000.000.00

Balance Sheet

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Equity Capital 8.000.010.010.01
Reserves 12.009.005.005.00
Borrowings 6.008.008.004.00
Other Liabilities 9.007.003.004.00
Total Liabilities 35.0023.0017.0013.00
Fixed Assets 3.002.002.001.00
CWIP 0.000.000.000.00
Investments 0.000.000.000.00
Other Assets 32.0021.0015.0012.00
Total Assets 35.0023.0017.0013.00

Cash Flows

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Cash from Operating Activity 4.003.00-2.00-5.00
Cash from Investing Activity -2.00-1.00-2.00-1.00
Cash from Financing Activity -2.00-1.003.006.00
Net Cash Flow 0.001.000.000.00
Free Cash Flow 3.002.00-3.00-6.00
CFO/OP % 73.0063.00-90.00-342.00

Ratios

Annual Β· Days / % β€” latest first
Metric Mar 2026Mar 2025Mar 2024Mar 2023
Debtor Days 70.0062.0059.0054.00
Inventory Days 128.00171.00134.00177.00
Days Payable 56.0077.0030.0089.00
Cash Conversion Cycle 142.00155.00163.00142.00
Working Capital Days 75.0060.0059.0094.00
ROCE % 74.0038.0012.00β€”

Shareholding Pattern

% holding β€” latest first
Holder May 2026
Promoters 65.02
FIIs 3.41
DIIs 12.26
Public 19.32
No. of Shareholders 856

Corporate Actions

No corporate actions recorded.

Announcements

5 filings