Ajax Engineering Limited
NSE: AJAXENGGINE274Y01021·Capital Goods·www.ajax-engg.com ↗·Mcap ₹6,517 Cr·Listed 2025
₹607.75▲ ₹32.55  (5.66%)
52W: ₹395 – ₹698 · Vol: 7.0L shares · Close 25 Sept
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Quarterly results

standalone · as filed with NSE · Q1 FY27 back to Q3 FY25
₹ croreQ1 FY27Q4 FY26Q3 FY26Q2 FY26Q1 FY26Q4 FY25Q3 FY25
Revenue from operations475758434445467756548
Other income18.213.213.310.112.611.76.9
Total expenses418645392402408645464
EBITDA59.111544.545.361.411188.1
EBITDA margin12.5%15.1%10.3%10.2%13.2%14.7%16.1%
Finance costs0.200.10.10.1−2.40.6
Depreciation2.81.92.92.732.82.8
Profit before tax74.312651.752.670.912291.6
Tax18.73113.513.618.131.223.4
Net profit55.69538.239.152.990.968.1
Net margin11.7%12.5%8.8%8.8%11.3%12.0%12.4%
EPS (₹)4.868.303.343.414.627.955.95
Net profit YoY+5.2%+4.4%−43.9%––––

Annual results

financial years ending March · from the fourth-quarter filings
₹ croreFY26FY25
Revenue from operations2,1032,074
Other income49.242.8
Total expenses1,8471,766
EBITDA266318
EBITDA margin12.6%15.3%
Finance costs0.3−0.9
Depreciation10.410.9
Profit before tax301351
Tax76.190.8
Net profit225260
Net margin10.7%12.5%
EPS (₹)19.6822.73
Net profit YoY−13.4%–
EPS is as filed for each period and is not restated for later bonus issues or splits.

Cash flow

annual · ₹ crore
₹ croreFY26FY25
Operating cash flow37742.7
Investing cash flow−257−34.7
Financing cash flow−0.4−25.5
Capital expenditure27.723.5
Free cash flow (CFO − capex)35019.3

Net profit trend

annual, ₹ crore
FY25
₹260
FY26
₹225−13%

Result filings

as filed with NSE · PDF and XBRL
PeriodBasisFiledDocuments
Q1 FY27Standalone5 Aug 2026PDF on NSE XBRL
Q4 FY26Standalone · audited18 May 2026PDF on NSE XBRL
Q3 FY26Standalone12 Feb 2026 PDF XBRL
Q2 FY26Standalone13 Nov 2025 PDF XBRL
Q1 FY26Standalone2 Aug 2025 PDF XBRL
Q4 FY25Standalone · audited27 May 2025 PDF XBRL
Q3 FY25Standalone10 Mar 2025PDF on NSE XBRL

Annual reports

NSE archive
Key ratios
P/E (TTM)5Y avg 23.3×30.5×
P/B5Y avg 5.05×4.99×
ROEFY26, on average equity17.7%
Net margin10.7%
Debt / equity0.00×
Revenue CAGR (3Y)–
Profit CAGR (3Y)–
EPS (TTM)₹19.92
Market cap₹6,953 Cr
Computed from the filings and the last close. Market cap uses the latest share count from the balance sheet.
P/B vs history
4.99×
vs 3-point avg 5.05× (−1%)
3.32× low5.05× avg5.96× high
History points are balance-sheet dates (2025 → 2026), priced at the adjusted close on each date.
Balance sheet 31 Mar 2026
Total assets₹1,752 Cr+18%
Net worth₹1,392 Cr+20%
Total borrowings₹0 Cr
Cash & bank balances₹166 Cr+261%
Investments₹952 Cr+45%
Inventories₹165 Cr−36%
Trade receivables₹179 Cr+9%
Trade payables₹245 Cr+10%
Change vs the same date a year earlier.
Shareholding 30 Jun 2026
%Jun 26Mar 26Dec 25Sept 25Jun 25Mar 25Feb 25
Promoter80.0080.0080.0080.0080.0080.0080.00
FII4.675.656.156.516.465.955.02
DII11.1710.159.719.428.957.926.13
of which MF7.446.506.466.746.45––
Retail3.703.673.633.504.104.908.81
Other public0.460.530.510.570.491.230.04
69,540 shareholders · NSE shareholding pattern filings.