KDDL Ltd.

4,005.41.59%

2026-08-21

kddl.comBSE: 532054NSE: KDDL
Market Cap₹ 4,867 Cr.
Current Price₹ 3,943
High / Low₹ 4,156 / 1,990
Stock P/E50.2
Book Value₹ 915
Price to Book4.40
Dividend Yield0.58 %
ROCE24.4 %
ROE17.3 %
Face Value₹ 10

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ABOUT

KEY POINTS

Revenue Breakup Mar 2025 • Watches and its Components: 76.1% • Precision and Watch Components: 22.8% • Others: 1.1%

PROS

  • Company has a healthy return on capital (ROCE) of 27.7%
  • Company has a good return on equity (ROE) track record: 3 Years ROE 20.7%
  • Latest quarter profit grew 50.7% YoY, showing strong momentum
  • Company has consistently been profitable over the last 5 years
  • Company has delivered good sales growth of 20.4% CAGR over last 5 years

CONS

  • Operating cash flow has been negative in recent years
  • Poor cash conversion - profits are not backed by operating cash flow (CFO/PAT 0.39x)
  • Though reporting repeated profits, the company pays out little dividend (6.5%)

* The pros and cons are machine generated based on quantitative rules.

Peer comparison

EDIT COLUMNS
S.No.NameCMP Rs.P/EMar Cap Rs.Cr.Div Yld %NP Qtr Rs.Cr.Qtr Profit Var %Sales Qtr Rs.Cr.Qtr Sales Var %ROCE %OPM %
1.TIMEX565.300.005706.700.0025.0270.55218.9029.5783.1816.09
2.KDDL3957.0550.154866.890.5844.7550.67633.8036.3024.3815.03
3.SONAMLTD67.190.00268.980.003.00127.4266.5776.1116.487.70
Detailed Comparison with:

Quarterly Results

Consolidated Figures in Rs. Crores / View Standalone

Jun 2023
332
272
Operating Profit
OPM %
Other Income
6
Interest
7
Depreciation
15
44
Tax %
25.35%
Net Profit
0
21
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Sep 2023
340
277
Operating Profit
OPM %
Other Income
6
Interest
7
Depreciation
17
45
Tax %
27.44%
Net Profit
0
20
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Dec 2023
372
306
Operating Profit
OPM %
Other Income
7
Interest
6
Depreciation
17
50
Tax %
26.42%
Net Profit
0
21
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Mar 2024
348
287
Operating Profit
OPM %
Other Income
9
Interest
6
Depreciation
17
47
Tax %
25.98%
Net Profit
0
20
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Jun 2024
360
305
Operating Profit
OPM %
Other Income
10
Interest
7
Depreciation
19
39
Tax %
29.01%
Net Profit
28
14
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
13
Reserves
0
Promoter Pledge %
0.00%
Sep 2024
396
333
Operating Profit
OPM %
Other Income
14
Interest
7
Depreciation
20
50
Tax %
27.85%
Net Profit
36
20
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Dec 2024
472
394
Operating Profit
OPM %
Other Income
11
Interest
9
Depreciation
24
56
Tax %
16.97%
Net Profit
47
26
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Mar 2025
420
355
Operating Profit
OPM %
Other Income
11
Interest
8
Depreciation
24
44
Tax %
28.17%
Net Profit
32
16
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Jun 2025
465
396
Operating Profit
OPM %
Other Income
12
Interest
9
Depreciation
27
44
Tax %
32.32%
Net Profit
30
17
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Sep 2025
517
445
Operating Profit
OPM %
Other Income
14
Interest
10
Depreciation
29
47
Tax %
30.43%
Net Profit
33
16
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Dec 2025
597
514
Operating Profit
OPM %
Other Income
18
Interest
11
Depreciation
33
54
Tax %
29.60%
Net Profit
38
19
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Mar 2026
575
490
Operating Profit
OPM %
Other Income
10
Interest
12
Depreciation
33
51
Tax %
31.41%
Net Profit
35
21
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Jun 2026
634
585
Operating Profit
OPM %
Other Income
13
Interest
12
Depreciation
35
62
Tax %
27.79%
Net Profit
45
2
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
12
Reserves
0
Promoter Pledge %
0.00%

Profit & Loss

Consolidated Figures in Rs. Crores / View Standalone

Mar 2016
450
417
Operating Profit
37
OPM %
8
Other Income
5
Interest
18
Depreciation
11
8
Tax %
47
Net Profit
4
EPS
6
Dividend Payout %
52
Minority Interest
1
Share of Associates
0
Adjusted EPS
3
Minority Interest
1
Share of Associates
0
Adjusted EPS
3
Mar 2017
453
425
Operating Profit
32
OPM %
7
Other Income
5
Interest
17
Depreciation
12
4
Tax %
48
Net Profit
2
EPS
2
Dividend Payout %
77
Minority Interest
0
Share of Associates
0
Adjusted EPS
2
Minority Interest
0
Share of Associates
0
Adjusted EPS
2
Mar 2018
502
455
Operating Profit
52
OPM %
10
Other Income
5
Interest
15
Depreciation
12
25
Tax %
28
Net Profit
18
EPS
17
Dividend Payout %
16
Minority Interest
-1
Share of Associates
0
Adjusted EPS
15
Minority Interest
-1
Share of Associates
0
Adjusted EPS
15
Mar 2019
625
563
Operating Profit
72
OPM %
11
Other Income
10
Interest
18
Depreciation
13
40
Tax %
38
Net Profit
25
EPS
19
Dividend Payout %
13
Minority Interest
-3
Share of Associates
0
Adjusted EPS
19
Minority Interest
-3
Share of Associates
0
Adjusted EPS
19
Mar 2020
652
572
Operating Profit
87
OPM %
13
Other Income
6
Interest
33
Depreciation
48
5
Tax %
138
Net Profit
-2
EPS
-1
Dividend Payout %
-393
Minority Interest
1
Share of Associates
0
Adjusted EPS
-1
Minority Interest
1
Share of Associates
0
Adjusted EPS
-1
Mar 2021
549
481
Operating Profit
87
OPM %
16
Other Income
18
Interest
30
Depreciation
46
11
Tax %
34
Net Profit
7
EPS
5
Dividend Payout %
31
Minority Interest
-1
Share of Associates
0
Adjusted EPS
5
Minority Interest
-1
Share of Associates
0
Adjusted EPS
5
Mar 2022
816
704
Operating Profit
128
OPM %
16
Other Income
15
Interest
30
Depreciation
45
52
Tax %
29
Net Profit
37
EPS
25
Dividend Payout %
12
Minority Interest
-5
Share of Associates
0
Adjusted EPS
25
Minority Interest
-5
Share of Associates
0
Adjusted EPS
25
Mar 2023
1,119
952
Operating Profit
187
OPM %
17
Other Income
19
Interest
31
Depreciation
49
108
Tax %
28
Net Profit
77
EPS
42
Dividend Payout %
9
Minority Interest
-23
Share of Associates
0
Adjusted EPS
43
Minority Interest
-23
Share of Associates
0
Adjusted EPS
43
Mar 2024
1,391
1,137
Operating Profit
283
OPM %
20
Other Income
29
Interest
33
Depreciation
65
186
Tax %
26
Net Profit
137
EPS
82
Dividend Payout %
76
Minority Interest
-35
Share of Associates
0
Adjusted EPS
82
Minority Interest
-35
Share of Associates
0
Adjusted EPS
82
Mar 2025
1,648
1,379
Operating Profit
315
OPM %
19
Other Income
47
Interest
40
Depreciation
86
190
Tax %
25
Net Profit
142
EPS
77
Dividend Payout %
7
Minority Interest
-48
Share of Associates
0
Adjusted EPS
77
Minority Interest
-48
Share of Associates
0
Adjusted EPS
77
TTM
2,322
2,033
Operating Profit
OPM %
Other Income
56
Interest
45
Depreciation
130
214
Tax %
30
Net Profit
150
EPS
Dividend Payout %
Minority Interest
15
Share of Associates
-0
Adjusted EPS
Minority Interest
15
Share of Associates
-0
Adjusted EPS

COMPOUNDED SALES GROWTH

10 Years:
15%
5 Years:
20%
3 Years:
26%

COMPOUNDED PROFIT GROWTH

10 Years:
27%
5 Years:
3 Years:
44%

STOCK PRICE CAGR

10 Years:
32%
5 Years:
61%
3 Years:
27%
1 Year:
55%

RETURN ON EQUITY

10 Years:
12%
5 Years:
17%
3 Years:
21%
Last Year:
17%

Balance Sheet

Consolidated Figures in Rs. Crores / View Standalone

Corporate actions

2024

Aug 27

₹ 3700.00

Buy Back of Shares

Mar 2016
Equity Capital
10
72
77
Trade Payables
78
120
Total Liabilities
357
79
Capital Work in Progress
3
1
185
0
Cash & Bank
12
77
Total Assets
357
Total Debt
118
Net Working Capital
54
Contingent Liabilities
18
Book Value per Share
79.92
Face Value
10.00
Total Debt
118
Net Working Capital
54
Contingent Liabilities
18
Book Value per Share
79.92
Face Value
10.00
Mar 2017
Equity Capital
11
93
59
Trade Payables
72
138
Total Liabilities
373
79
Capital Work in Progress
5
1
190
0
Cash & Bank
20
78
Total Assets
373
Total Debt
114
Net Working Capital
73
Contingent Liabilities
74
Book Value per Share
95.84
Face Value
10.00
Total Debt
114
Net Working Capital
73
Contingent Liabilities
74
Book Value per Share
95.84
Face Value
10.00
Mar 2018
Equity Capital
11
118
92
Trade Payables
86
139
Total Liabilities
446
84
Capital Work in Progress
24
1
201
0
Cash & Bank
18
118
Total Assets
446
Total Debt
138
Net Working Capital
74
Contingent Liabilities
70
Book Value per Share
117.87
Face Value
10.00
Total Debt
138
Net Working Capital
74
Contingent Liabilities
70
Book Value per Share
117.87
Face Value
10.00
Mar 2019
Equity Capital
12
178
62
Trade Payables
85
176
Total Liabilities
513
144
Capital Work in Progress
7
1
240
0
Cash & Bank
22
99
Total Assets
513
Total Debt
154
Net Working Capital
125
Contingent Liabilities
15
Book Value per Share
163.17
Face Value
10.00
Total Debt
154
Net Working Capital
125
Contingent Liabilities
15
Book Value per Share
163.17
Face Value
10.00
Mar 2020
Equity Capital
12
174
74
Trade Payables
87
303
Total Liabilities
650
269
Capital Work in Progress
3
1
253
0
Cash & Bank
28
95
Total Assets
650
Total Debt
183
Net Working Capital
103
Contingent Liabilities
7
Book Value per Share
158.96
Face Value
10.00
Total Debt
183
Net Working Capital
103
Contingent Liabilities
7
Book Value per Share
158.96
Face Value
10.00
Mar 2021
Equity Capital
12
174
78
Trade Payables
87
258
Total Liabilities
609
246
Capital Work in Progress
5
1
225
0
Cash & Bank
36
95
Total Assets
609
Total Debt
156
Net Working Capital
110
Contingent Liabilities
41
Book Value per Share
159.65
Face Value
10.00
Total Debt
156
Net Working Capital
110
Contingent Liabilities
41
Book Value per Share
159.65
Face Value
10.00
Mar 2022
Equity Capital
13
240
36
Trade Payables
106
337
Total Liabilities
730
265
Capital Work in Progress
2
2
280
0
Cash & Bank
57
124
Total Assets
730
Total Debt
155
Net Working Capital
179
Contingent Liabilities
42
Book Value per Share
198.17
Face Value
10.00
Total Debt
155
Net Working Capital
179
Contingent Liabilities
42
Book Value per Share
198.17
Face Value
10.00
Mar 2023
Equity Capital
13
444
54
Trade Payables
128
504
Total Liabilities
1,143
303
Capital Work in Progress
13
3
381
0
Cash & Bank
266
177
Total Assets
1,143
Total Debt
128
Net Working Capital
489
Contingent Liabilities
10
Book Value per Share
363.88
Face Value
10.00
Total Debt
128
Net Working Capital
489
Contingent Liabilities
10
Book Value per Share
363.88
Face Value
10.00
Mar 2024
Equity Capital
13
721
33
Trade Payables
124
732
Total Liabilities
1,623
350
Capital Work in Progress
42
6
490
71
Cash & Bank
530
136
Total Assets
1,623
Total Debt
105
Net Working Capital
847
Contingent Liabilities
10
Book Value per Share
585.36
Face Value
10.00
Total Debt
105
Net Working Capital
847
Contingent Liabilities
10
Book Value per Share
585.36
Face Value
10.00
Mar 2025
Equity Capital
12
903
34
Trade Payables
115
1,008
Total Liabilities
2,071
601
Capital Work in Progress
47
6
658
88
Cash & Bank
517
154
Total Assets
2,071
Total Debt
129
Net Working Capital
1,032
Contingent Liabilities
25
Book Value per Share
743.88
Face Value
10.00
Total Debt
129
Net Working Capital
1,032
Contingent Liabilities
25
Book Value per Share
743.88
Face Value
10.00

Cash Flows

Consolidated Figures in Rs. Crores / View Standalone

Mar 2016
6
Cash from Investing
-18
Cash from Financing
10
-2
Free Cash Flow
-7
OCF / Net Profit
1.41
Cumulative 5-Year FCF
0
OCF / Net Profit
1.41
Cumulative 5-Year FCF
0
Mar 2017
21
Cash from Investing
-19
Cash from Financing
13
15
Free Cash Flow
21
OCF / Net Profit
11.27
Cumulative 5-Year FCF
0
OCF / Net Profit
11.27
Cumulative 5-Year FCF
0
Mar 2018
15
Cash from Investing
-29
Cash from Financing
15
0
Free Cash Flow
-21
OCF / Net Profit
0.83
Cumulative 5-Year FCF
0
OCF / Net Profit
0.83
Cumulative 5-Year FCF
0
Mar 2019
8
Cash from Investing
-27
Cash from Financing
24
5
Free Cash Flow
-47
OCF / Net Profit
0.32
Cumulative 5-Year FCF
0
OCF / Net Profit
0.32
Cumulative 5-Year FCF
0
Mar 2020
64
Cash from Investing
-31
Cash from Financing
-26
7
Free Cash Flow
-74
OCF / Net Profit
-32.59
Cumulative 5-Year FCF
-128
OCF / Net Profit
-32.59
Cumulative 5-Year FCF
-128
Mar 2021
90
Cash from Investing
-22
Cash from Financing
-60
8
Free Cash Flow
90
OCF / Net Profit
12.94
Cumulative 5-Year FCF
-31
OCF / Net Profit
12.94
Cumulative 5-Year FCF
-31
Mar 2022
42
Cash from Investing
-36
Cash from Financing
14
21
Free Cash Flow
10
OCF / Net Profit
1.14
Cumulative 5-Year FCF
-41
OCF / Net Profit
1.14
Cumulative 5-Year FCF
-41
Mar 2023
46
Cash from Investing
-267
Cash from Financing
227
6
Free Cash Flow
-19
OCF / Net Profit
0.60
Cumulative 5-Year FCF
-39
OCF / Net Profit
0.60
Cumulative 5-Year FCF
-39
Mar 2024
98
Cash from Investing
66
Cash from Financing
17
181
Free Cash Flow
-39
OCF / Net Profit
0.71
Cumulative 5-Year FCF
-31
OCF / Net Profit
0.71
Cumulative 5-Year FCF
-31
Mar 2025
-4
Cash from Investing
109
Cash from Financing
-149
-44
Free Cash Flow
-345
OCF / Net Profit
-0.03
Cumulative 5-Year FCF
-302
OCF / Net Profit
-0.03
Cumulative 5-Year FCF
-302

Ratios

Consolidated Figures in Rs. Crores / View Standalone

Mar 2016
EPS (₹)
2.86
Book Value (₹)
79.92
Dividend per Share (₹)
1.50
Cash EPS (₹)
15.09
Operating Margin %
8.15%
Net Margin %
0.92%
ROE %
6.42%
ROCE %
13.89%
1.22%
Debtor Days
20
Inventory Days
142
Payable Days
107
55
Debt to Equity (x)
1.47x
Interest Coverage (x)
1.44x
1.29x
Revenue Growth %
9.30%
Operating Profit Growth %
-14.79%
Net Profit Growth %
-52.36%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2017
EPS (₹)
1.94
Book Value (₹)
95.84
Dividend per Share (₹)
1.50
Cash EPS (₹)
12.26
Operating Margin %
7.07%
Net Margin %
0.40%
ROE %
2.01%
ROCE %
9.94%
0.51%
Debtor Days
21
Inventory Days
149
Payable Days
97
73
Debt to Equity (x)
1.09x
Interest Coverage (x)
1.21x
1.40x
Revenue Growth %
0.77%
Operating Profit Growth %
-12.37%
Net Profit Growth %
-55.74%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2018
EPS (₹)
15.63
Book Value (₹)
117.87
Dividend per Share (₹)
2.50
Cash EPS (₹)
27.30
Operating Margin %
10.41%
Net Margin %
3.61%
ROE %
15.60%
ROCE %
16.38%
4.44%
Debtor Days
21
Inventory Days
142
Payable Days
95
68
Debt to Equity (x)
1.07x
Interest Coverage (x)
2.69x
1.33x
Revenue Growth %
10.70%
Operating Profit Growth %
61.43%
Net Profit Growth %
879.65%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2019
EPS (₹)
19.03
Book Value (₹)
163.17
Dividend per Share (₹)
2.50
Cash EPS (₹)
32.49
Operating Margin %
11.49%
Net Margin %
4.03%
ROE %
15.79%
ROCE %
19.08%
5.25%
Debtor Days
19
Inventory Days
129
Payable Days
86
61
Debt to Equity (x)
0.81x
Interest Coverage (x)
3.21x
1.59x
Revenue Growth %
24.57%
Operating Profit Growth %
37.16%
Net Profit Growth %
38.55%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2020
EPS (₹)
-0.51
Book Value (₹)
158.96
Dividend per Share (₹)
2.00
Cash EPS (₹)
39.05
Operating Margin %
13.29%
Net Margin %
-0.30%
ROE %
-1.05%
ROCE %
10.71%
-0.34%
Debtor Days
17
Inventory Days
138
Payable Days
83
71
Debt to Equity (x)
0.99x
Interest Coverage (x)
1.15x
1.41x
Revenue Growth %
4.36%
Operating Profit Growth %
20.67%
Net Profit Growth %
-107.81%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2021
EPS (₹)
4.86
Book Value (₹)
159.65
Dividend per Share (₹)
1.50
Cash EPS (₹)
45.50
Operating Margin %
15.79%
Net Margin %
1.27%
ROE %
3.75%
ROCE %
11.45%
1.11%
Debtor Days
23
Inventory Days
159
Payable Days
98
84
Debt to Equity (x)
0.84x
Interest Coverage (x)
1.35x
1.48x
Revenue Growth %
-15.86%
Operating Profit Growth %
-0.00%
Net Profit Growth %
454.35%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2022
EPS (₹)
25.09
Book Value (₹)
198.17
Dividend per Share (₹)
3.00
Cash EPS (₹)
64.83
Operating Margin %
15.66%
Net Margin %
4.56%
ROE %
16.97%
ROCE %
21.97%
5.55%
Debtor Days
19
Inventory Days
113
Payable Days
75
58
Debt to Equity (x)
0.61x
Interest Coverage (x)
2.74x
1.69x
Revenue Growth %
48.73%
Operating Profit Growth %
47.49%
Net Profit Growth %
434.05%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2023
EPS (₹)
42.74
Book Value (₹)
363.88
Dividend per Share (₹)
4.00
Cash EPS (₹)
100.80
Operating Margin %
16.71%
Net Margin %
6.88%
ROE %
21.73%
ROCE %
27.88%
8.22%
Debtor Days
18
Inventory Days
108
Payable Days
68
57
Debt to Equity (x)
0.28x
Interest Coverage (x)
4.52x
2.73x
Revenue Growth %
37.15%
Operating Profit Growth %
46.40%
Net Profit Growth %
106.94%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2024
EPS (₹)
81.90
Book Value (₹)
585.36
Dividend per Share (₹)
62.00
Cash EPS (₹)
161.42
Operating Margin %
18.30%
Net Margin %
9.88%
ROE %
23.10%
ROCE %
30.80%
9.94%
Debtor Days
17
Inventory Days
114
Payable Days
58
74
Debt to Equity (x)
0.14x
Interest Coverage (x)
6.67x
3.59x
Revenue Growth %
24.26%
Operating Profit Growth %
51.39%
Net Profit Growth %
78.56%
91.60%
P/E (x)
30.03x
P/B (x)
4.20x
Dividend Yield %
2.52%
9.39x
Mar 2025
EPS (₹)
76.92
Book Value (₹)
743.88
Dividend per Share (₹)
5.00
Cash EPS (₹)
185.70
Operating Margin %
16.31%
Net Margin %
8.63%
ROE %
17.26%
ROCE %
24.38%
7.70%
Debtor Days
18
Inventory Days
127
Payable Days
45
100
Debt to Equity (x)
0.14x
Interest Coverage (x)
5.75x
4.16x
Revenue Growth %
18.46%
Operating Profit Growth %
11.38%
Net Profit Growth %
3.51%
-6.08%
P/E (x)
42.58x
P/B (x)
4.40x
Dividend Yield %
0.15%
11.54x

Shareholding Pattern

Numbers in percentages

TRADES
Jun 2024
50.21
11.69
1.63
0.12
36.34
Sep 2024
50.43
9.68
1.46
0.11
38.31
Dec 2024
50.43
9.33
1.71
0.12
38.42
Mar 2025
50.43
8.75
2.10
0.11
38.60
Jun 2025
50.43
8.40
2.04
0.13
39.01
Sep 2025
50.43
8.30
1.71
0.13
39.44
Dec 2025
50.43
8.38
1.83
0.13
39.23
Mar 2026
50.43
8.16
1.88
0.13
39.40
Jun 2026
50.14
7.98
2.16
0.13
39.58

Documents

Announcements

  • Investor Presentation

    2026-08-04 - KDDL Limited has informed the Exchange about Investor Presentation

  • Outcome of Board Meeting

    2026-08-04 - KDDL Limited has submitted to the Exchange, the financial results for the period ended Jun 30, 2026.

Credit Ratings

Nothing filed yet.

Concalls

  • Aug 2026

    TranscriptPPTREC
  • May 2026

    TranscriptPPTREC
  • Feb 2026

    TranscriptPPTREC