PVR Inox Ltd.

1,216.8-0.22%

2026-08-21

pvrcinemas.comBSE: 532689NSE: PVRINOX
Market Cap₹ 11,796 Cr.
Current Price₹ 1,220
High / Low₹ 1,250 / 907
Stock P/E26.5
Book Value₹ 757
Price to Book1.23
Dividend Yield0.00 %
ROCE11.5 %
ROE2.4 %
Face Value₹ 10

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ABOUT

KEY POINTS

Revenue Breakup Mar 2026 • Movie Exhibition: 96.7% • Movie production & Distribution: 3.3%

PROS

  • Latest quarter profit grew 203.7% YoY, showing strong momentum
  • Company has delivered good sales growth of 88.4% CAGR over last 5 years
  • Company generates healthy free cash flow
  • Company maintains a comfortable, low leverage position

CONS

  • A large part of profit comes from other income (86.4% of PBT)
  • Poor cash conversion - profits are not backed by operating cash flow (CFO/PAT -50.30x)
  • Company has a low return on equity of -0.6% over last 3 years
  • Company has a low return on capital employed of 8.3%
  • Interest coverage is weak at 1.3x - earnings barely cover interest

* 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.PVRINOX1201.2026.5311795.780.0056.50203.671622.2010.4211.5132.59
2.SAREGAMA508.3544.269801.470.89518.801320.982636.001174.8519.9035.40
3.TIPSMUSIC652.300.008338.451.9943.70-4.67106.5120.94124.4250.27
4.PANORAMA45.9549.581197.160.00127.153529.751830.701242.6528.1710.94
5.BALAJITELE91.610.001116.750.0022.39476.59240.29229.94-1.1610.71
6.AQYLON23.910.00606.670.00-1.85-3535.190.04-96.33-45.28-1750.00
7.CINELINE85.720.00326.701.46-12.47-91.9555.0148.56-3.12-78.71
8.UFO64.8510.48251.780.005.64-13.50110.693.8112.7716.36
9.TIPSFILMS352.850.00152.530.00-29.41-720.4947.96-49.71-26.64-61.48
10.BAGFILMS4.4120.4796.100.003.5758.9038.5922.627.6818.58
11.CINEVISTA14.5313.6783.460.001.000.707.4961.7714.4531.09
12.PNC17.700.0025.610.00-0.77-224.761.57-92.57-1.72-51.56
Detailed Comparison with:

Quarterly Results

Consolidated Figures in Rs. Crores / View Standalone

Jun 2023
1,305
952
Operating Profit
OPM %
Other Income
25
Interest
194
Depreciation
291
-108
Tax %
24.00%
Net Profit
0
-8
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Sep 2023
2,000
1,293
Operating Profit
OPM %
Other Income
24
Interest
200
Depreciation
309
222
Tax %
25.03%
Net Profit
0
17
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Dec 2023
1,546
1,074
Operating Profit
OPM %
Other Income
59
Interest
197
Depreciation
317
18
Tax %
26.86%
Net Profit
0
1
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Mar 2024
1,256
978
Operating Profit
OPM %
Other Income
49
Interest
200
Depreciation
303
-175
Tax %
25.97%
Net Profit
0
-13
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Jun 2024
1,191
939
Operating Profit
OPM %
Other Income
29
Interest
204
Depreciation
314
-238
Tax %
24.82%
Net Profit
-179
-18
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Sep 2024
1,622
1,143
Operating Profit
OPM %
Other Income
42
Interest
206
Depreciation
329
-15
Tax %
17.69%
Net Profit
-12
-1
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Dec 2024
1,717
1,190
Operating Profit
OPM %
Other Income
42
Interest
203
Depreciation
320
46
Tax %
23.11%
Net Profit
36
4
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Mar 2025
1,230
940
Operating Profit
OPM %
Other Income
59
Interest
196
Depreciation
316
-163
Tax %
26.01%
Net Profit
-125
-13
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Jun 2025
1,469
1,072
Operating Profit
OPM %
Other Income
32
Interest
191
Depreciation
308
-70
Tax %
22.51%
Net Profit
-54
-6
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Sep 2025
1,823
1,211
Operating Profit
OPM %
Other Income
36
Interest
188
Depreciation
317
143
Tax %
25.88%
Net Profit
106
11
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Dec 2025
1,880
1,258
Operating Profit
OPM %
Other Income
40
Interest
181
Depreciation
317
119
Tax %
20.03%
Net Profit
95
10
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Mar 2026
1,547
1,096
Operating Profit
OPM %
Other Income
77
Interest
173
Depreciation
330
21
Tax %
27.75%
Net Profit
1,864
19
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Jun 2026
1,622
1,573
Operating Profit
OPM %
Other Income
26
Interest
164
Depreciation
314
76
Tax %
25.36%
Net Profit
56
1
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%
Equity Capital
98
Reserves
0
Promoter Pledge %
0.00%

Profit & Loss

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
2,119
1,815
Operating Profit
376
OPM %
18
Other Income
71
Interest
81
Depreciation
138
153
Tax %
37
Net Profit
96
EPS
20
Dividend Payout %
10
Minority Interest
-0
Share of Associates
0
Adjusted EPS
20
Minority Interest
-0
Share of Associates
0
Adjusted EPS
20
Mar 2018
2,334
1,935
Operating Profit
433
OPM %
19
Other Income
34
Interest
84
Depreciation
154
194
Tax %
36
Net Profit
124
EPS
27
Dividend Payout %
7
Minority Interest
1
Share of Associates
0
Adjusted EPS
26
Minority Interest
1
Share of Associates
0
Adjusted EPS
26
Mar 2019
3,086
2,501
Operating Profit
619
OPM %
20
Other Income
35
Interest
128
Depreciation
191
299
Tax %
37
Net Profit
189
EPS
40
Dividend Payout %
5
Minority Interest
0
Share of Associates
0
Adjusted EPS
40
Minority Interest
0
Share of Associates
0
Adjusted EPS
40
Mar 2020
3,414
2,340
Operating Profit
1,114
OPM %
33
Other Income
40
Interest
482
Depreciation
542
90
Tax %
70
Net Profit
27
EPS
5
Dividend Payout %
75
Minority Interest
0
Share of Associates
0
Adjusted EPS
5
Minority Interest
0
Share of Associates
0
Adjusted EPS
5
Mar 2021
280
621
Operating Profit
134
OPM %
48
Other Income
475
Interest
498
Depreciation
575
-939
Tax %
20
Net Profit
-748
EPS
-136
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
-123
Minority Interest
0
Share of Associates
0
Adjusted EPS
-123
Mar 2022
1,329
1,226
Operating Profit
432
OPM %
32
Other Income
329
Interest
498
Depreciation
614
-681
Tax %
28
Net Profit
-489
EPS
-80
Dividend Payout %
0
Minority Interest
0
Share of Associates
0
Adjusted EPS
-80
Minority Interest
0
Share of Associates
0
Adjusted EPS
-80
Mar 2023
3,751
2,703
Operating Profit
1,127
OPM %
30
Other Income
79
Interest
572
Depreciation
753
-209
Tax %
-61
Net Profit
-336
EPS
-52
Dividend Payout %
0
Minority Interest
1
Share of Associates
0
Adjusted EPS
-34
Minority Interest
1
Share of Associates
0
Adjusted EPS
-34
Mar 2024
6,107
4,309
Operating Profit
1,967
OPM %
32
Other Income
168
Interest
791
Depreciation
1,219
-44
Tax %
26
Net Profit
-33
EPS
-3
Dividend Payout %
0
Minority Interest
1
Share of Associates
0
Adjusted EPS
-3
Minority Interest
1
Share of Associates
0
Adjusted EPS
-3
Mar 2025
5,700
4,146
Operating Profit
1,728
OPM %
30
Other Income
175
Interest
809
Depreciation
1,277
-358
Tax %
26
Net Profit
-265
EPS
-28
Dividend Payout %
0
Minority Interest
1
Share of Associates
0
Adjusted EPS
-28
Minority Interest
1
Share of Associates
0
Adjusted EPS
-28
Mar 2026
6,646
4,563
Operating Profit
2,279
OPM %
34
Other Income
196
Interest
733
Depreciation
1,270
227
Tax %
22
Net Profit
176
EPS
34
Dividend Payout %
0
Minority Interest
1
Share of Associates
0
Adjusted EPS
34
Minority Interest
1
Share of Associates
0
Adjusted EPS
34
TTM
6,872
5,137
Operating Profit
OPM %
Other Income
178
Interest
707
Depreciation
1,279
358
Tax %
24
Net Profit
273
EPS
Dividend Payout %
Minority Interest
0
Share of Associates
-0
Adjusted EPS
Minority Interest
0
Share of Associates
-0
Adjusted EPS

COMPOUNDED SALES GROWTH

10 Years:
14%
5 Years:
88%
3 Years:
21%

COMPOUNDED PROFIT GROWTH

10 Years:
13%
5 Years:
3 Years:

STOCK PRICE CAGR

10 Years:
0%
5 Years:
-2%
3 Years:
-11%
1 Year:
12%

RETURN ON EQUITY

10 Years:
-5%
5 Years:
-8%
3 Years:
-1%
Last Year:
2%

Balance Sheet

Consolidated Figures in Rs. Crores / View Standalone

Corporate actions

2020

Mar 5

Interim Dividend

2018

Sep 18

₹ 0.20

Rs.2.0000 per share(20%)Final Dividend

2017

Jul 17

₹ 0.20

Rs.2.0000 per share(20%)Final Dividend

2016

Sep 20

₹ 0.20

Rs.2.0000 per share(20%)Dividend

Mar 2017
Equity Capital
47
918
215
Trade Payables
198
805
Total Liabilities
2,182
1,509
Capital Work in Progress
106
2
19
0
Cash & Bank
30
517
Total Assets
2,182
Total Debt
820
Net Working Capital
-327
Contingent Liabilities
215
Book Value per Share
206.46
Face Value
10.00
Total Debt
820
Net Working Capital
-327
Contingent Liabilities
215
Book Value per Share
206.46
Face Value
10.00
Mar 2018
Equity Capital
47
1,026
269
Trade Payables
251
741
Total Liabilities
2,333
1,590
Capital Work in Progress
102
21
20
0
Cash & Bank
33
568
Total Assets
2,333
Total Debt
831
Net Working Capital
-403
Contingent Liabilities
149
Book Value per Share
229.42
Face Value
10.00
Total Debt
831
Net Working Capital
-403
Contingent Liabilities
149
Book Value per Share
229.42
Face Value
10.00
Mar 2019
Equity Capital
47
1,443
264
Trade Payables
368
1,719
Total Liabilities
3,840
2,742
Capital Work in Progress
221
11
30
0
Cash & Bank
34
801
Total Assets
3,840
Total Debt
1,282
Net Working Capital
-660
Contingent Liabilities
202
Book Value per Share
318.69
Face Value
10.00
Total Debt
1,282
Net Working Capital
-660
Contingent Liabilities
202
Book Value per Share
318.69
Face Value
10.00
Mar 2020
Equity Capital
51
1,424
381
Trade Payables
312
5,054
Total Liabilities
7,223
5,886
Capital Work in Progress
155
2
31
0
Cash & Bank
322
827
Total Assets
7,223
Total Debt
1,295
Net Working Capital
-537
Contingent Liabilities
229
Book Value per Share
287.22
Face Value
10.00
Total Debt
1,295
Net Working Capital
-537
Contingent Liabilities
229
Book Value per Share
287.22
Face Value
10.00
Mar 2021
Equity Capital
61
1,764
372
Trade Payables
203
4,703
Total Liabilities
7,103
5,475
Capital Work in Progress
217
1
25
0
Cash & Bank
731
653
Total Assets
7,103
Total Debt
1,352
Net Working Capital
-128
Contingent Liabilities
210
Book Value per Share
300.38
Face Value
10.00
Total Debt
1,352
Net Working Capital
-128
Contingent Liabilities
210
Book Value per Share
300.38
Face Value
10.00
Mar 2022
Equity Capital
61
1,298
472
Trade Payables
300
4,600
Total Liabilities
6,731
5,407
Capital Work in Progress
64
0
34
0
Cash & Bank
578
646
Total Assets
6,731
Total Debt
1,505
Net Working Capital
-568
Contingent Liabilities
166
Book Value per Share
222.73
Face Value
10.00
Total Debt
1,505
Net Working Capital
-568
Contingent Liabilities
166
Book Value per Share
222.73
Face Value
10.00
Mar 2023
Equity Capital
98
7,209
520
Trade Payables
514
7,658
Total Liabilities
16,000
14,209
Capital Work in Progress
247
0
66
0
Cash & Bank
362
1,116
Total Assets
16,000
Total Debt
1,793
Net Working Capital
-1,202
Contingent Liabilities
320
Book Value per Share
745.60
Face Value
10.00
Total Debt
1,793
Net Working Capital
-1,202
Contingent Liabilities
320
Book Value per Share
745.60
Face Value
10.00
Mar 2024
Equity Capital
98
7,201
207
Trade Payables
651
8,173
Total Liabilities
16,330
14,478
Capital Work in Progress
246
16
72
235
Cash & Bank
404
878
Total Assets
16,330
Total Debt
1,718
Net Working Capital
-1,356
Contingent Liabilities
335
Book Value per Share
744.05
Face Value
10.00
Total Debt
1,718
Net Working Capital
-1,356
Contingent Liabilities
335
Book Value per Share
744.05
Face Value
10.00
Mar 2025
Equity Capital
98
6,926
149
Trade Payables
606
7,893
Total Liabilities
15,673
13,892
Capital Work in Progress
96
1
80
243
Cash & Bank
529
832
Total Assets
15,673
Total Debt
1,491
Net Working Capital
-1,417
Contingent Liabilities
246
Book Value per Share
715.35
Face Value
10.00
Total Debt
1,491
Net Working Capital
-1,417
Contingent Liabilities
246
Book Value per Share
715.35
Face Value
10.00
Mar 2026
Equity Capital
98
7,255
0
Trade Payables
595
7,146
Total Liabilities
15,094
13,359
Capital Work in Progress
32
2
73
267
Cash & Bank
592
769
Total Assets
15,094
Total Debt
759
Net Working Capital
-1,240
Contingent Liabilities
256
Book Value per Share
0.00
Face Value
10.00
Total Debt
759
Net Working Capital
-1,240
Contingent Liabilities
256
Book Value per Share
0.00
Face Value
10.00

Cash Flows

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
320
Cash from Investing
-632
Cash from Financing
60
-252
Free Cash Flow
-410
OCF / Net Profit
3.33
Cumulative 5-Year FCF
0
OCF / Net Profit
3.33
Cumulative 5-Year FCF
0
Mar 2018
446
Cash from Investing
-405
Cash from Financing
-66
-25
Free Cash Flow
240
OCF / Net Profit
3.60
Cumulative 5-Year FCF
0
OCF / Net Profit
3.60
Cumulative 5-Year FCF
0
Mar 2019
830
Cash from Investing
-1,015
Cash from Financing
142
-43
Free Cash Flow
-606
OCF / Net Profit
4.38
Cumulative 5-Year FCF
0
OCF / Net Profit
4.38
Cumulative 5-Year FCF
0
Mar 2020
787
Cash from Investing
-390
Cash from Financing
-211
186
Free Cash Flow
-2,782
OCF / Net Profit
29.31
Cumulative 5-Year FCF
0
OCF / Net Profit
29.31
Cumulative 5-Year FCF
0
Mar 2021
-413
Cash from Investing
-289
Cash from Financing
1,075
374
Free Cash Flow
-625
OCF / Net Profit
0.55
Cumulative 5-Year FCF
-4,182
OCF / Net Profit
0.55
Cumulative 5-Year FCF
-4,182
Mar 2022
167
Cash from Investing
-3
Cash from Financing
-217
-53
Free Cash Flow
-200
OCF / Net Profit
-0.34
Cumulative 5-Year FCF
-3,972
OCF / Net Profit
-0.34
Cumulative 5-Year FCF
-3,972
Mar 2023
864
Cash from Investing
-576
Cash from Financing
-694
-406
Free Cash Flow
-8,835
OCF / Net Profit
-2.57
Cumulative 5-Year FCF
-13,048
OCF / Net Profit
-2.57
Cumulative 5-Year FCF
-13,048
Mar 2024
1,979
Cash from Investing
-627
Cash from Financing
-1,292
60
Free Cash Flow
760
OCF / Net Profit
-60.52
Cumulative 5-Year FCF
-11,682
OCF / Net Profit
-60.52
Cumulative 5-Year FCF
-11,682
Mar 2025
1,968
Cash from Investing
-303
Cash from Financing
-1,535
130
Free Cash Flow
1,764
OCF / Net Profit
-7.43
Cumulative 5-Year FCF
-7,136
OCF / Net Profit
-7.43
Cumulative 5-Year FCF
-7,136
Mar 2026
2,160
Cash from Investing
-29
Cash from Financing
-2,065
66
Free Cash Flow
1,680
OCF / Net Profit
12.27
Cumulative 5-Year FCF
-4,831
OCF / Net Profit
12.27
Cumulative 5-Year FCF
-4,831

Ratios

Consolidated Figures in Rs. Crores / View Standalone

Mar 2017
EPS (₹)
20.49
Book Value (₹)
206.46
Dividend per Share (₹)
2.00
Cash EPS (₹)
49.21
Operating Margin %
17.73%
Net Margin %
4.52%
ROE %
10.39%
ROCE %
14.04%
4.77%
Debtor Days
17
Inventory Days
3
Payable Days
481
-461
Debt to Equity (x)
0.85x
Interest Coverage (x)
2.90x
0.46x
Revenue Growth %
14.59%
Operating Profit Growth %
5.61%
Net Profit Growth %
-2.82%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2018
EPS (₹)
26.68
Book Value (₹)
229.42
Dividend per Share (₹)
2.00
Cash EPS (₹)
58.34
Operating Margin %
18.56%
Net Margin %
5.31%
ROE %
12.17%
ROCE %
15.08%
5.49%
Debtor Days
20
Inventory Days
3
Payable Days
515
-492
Debt to Equity (x)
0.77x
Interest Coverage (x)
3.32x
0.43x
Revenue Growth %
10.13%
Operating Profit Growth %
15.25%
Net Profit Growth %
29.40%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2019
EPS (₹)
40.61
Book Value (₹)
318.69
Dividend per Share (₹)
2.00
Cash EPS (₹)
79.98
Operating Margin %
20.08%
Net Margin %
6.14%
ROE %
14.79%
ROCE %
18.23%
6.14%
Debtor Days
20
Inventory Days
3
Payable Days
473
-450
Debt to Equity (x)
0.86x
Interest Coverage (x)
3.34x
0.37x
Revenue Growth %
32.19%
Operating Profit Growth %
43.01%
Net Profit Growth %
52.72%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2020
EPS (₹)
5.31
Book Value (₹)
287.22
Dividend per Share (₹)
4.00
Cash EPS (₹)
108.87
Operating Margin %
32.64%
Net Margin %
0.79%
ROE %
1.81%
ROCE %
20.58%
0.49%
Debtor Days
20
Inventory Days
3
Payable Days
471
-448
Debt to Equity (x)
0.88x
Interest Coverage (x)
1.19x
0.58x
Revenue Growth %
10.66%
Operating Profit Growth %
79.89%
Net Profit Growth %
-85.91%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2021
EPS (₹)
-123.07
Book Value (₹)
300.38
Dividend per Share (₹)
0.00
Cash EPS (₹)
-28.54
Operating Margin %
48.00%
Net Margin %
-267.21%
ROE %
-45.35%
ROCE %
-14.80%
-10.45%
Debtor Days
143
Inventory Days
36
Payable Days
3653
-3473
Debt to Equity (x)
0.74x
Interest Coverage (x)
-0.89x
0.89x
Revenue Growth %
-91.80%
Operating Profit Growth %
-87.94%
Net Profit Growth %
-2886.63%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2022
EPS (₹)
-80.04
Book Value (₹)
222.73
Dividend per Share (₹)
0.00
Cash EPS (₹)
20.64
Operating Margin %
32.46%
Net Margin %
-36.75%
ROE %
-30.69%
ROCE %
-6.03%
-7.06%
Debtor Days
15
Inventory Days
8
Payable Days
824
-800
Debt to Equity (x)
1.11x
Interest Coverage (x)
-0.37x
0.60x
Revenue Growth %
374.77%
Operating Profit Growth %
221.05%
Net Profit Growth %
34.71%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2023
EPS (₹)
-34.19
Book Value (₹)
745.60
Dividend per Share (₹)
0.00
Cash EPS (₹)
42.54
Operating Margin %
30.04%
Net Margin %
-8.97%
ROE %
-7.76%
ROCE %
6.04%
-2.96%
Debtor Days
13
Inventory Days
5
Payable Days
479
-461
Debt to Equity (x)
0.25x
Interest Coverage (x)
0.63x
0.41x
Revenue Growth %
182.13%
Operating Profit Growth %
161.09%
Net Profit Growth %
31.14%
0.00%
P/E (x)
0.00x
P/B (x)
0.00x
Dividend Yield %
0.00%
0.00x
Mar 2024
EPS (₹)
-3.26
Book Value (₹)
744.05
Dividend per Share (₹)
0.00
Cash EPS (₹)
120.96
Operating Margin %
29.45%
Net Margin %
-0.54%
ROE %
-0.45%
ROCE %
8.23%
-0.20%
Debtor Days
12
Inventory Days
4
Payable Days
426
-409
Debt to Equity (x)
0.24x
Interest Coverage (x)
0.94x
0.42x
Revenue Growth %
62.83%
Operating Profit Growth %
74.55%
Net Profit Growth %
90.28%
90.46%
P/E (x)
0.00x
P/B (x)
1.78x
Dividend Yield %
0.00%
7.28x
Mar 2025
EPS (₹)
-28.47
Book Value (₹)
715.35
Dividend per Share (₹)
0.00
Cash EPS (₹)
103.12
Operating Margin %
27.25%
Net Margin %
-4.65%
ROE %
-3.70%
ROCE %
5.12%
-1.65%
Debtor Days
15
Inventory Days
5
Payable Days
528
-507
Debt to Equity (x)
0.21x
Interest Coverage (x)
0.56x
0.43x
Revenue Growth %
-6.67%
Operating Profit Growth %
-12.13%
Net Profit Growth %
-709.79%
-772.85%
P/E (x)
0.00x
P/B (x)
1.28x
Dividend Yield %
0.00%
5.75x
Mar 2026
EPS (₹)
34.02
Book Value (₹)
748.84
Dividend per Share (₹)
0.00
Cash EPS (₹)
147.30
Operating Margin %
31.34%
Net Margin %
2.65%
ROE %
2.45%
ROCE %
11.51%
1.14%
Debtor Days
14
Inventory Days
4
Payable Days
467
-449
Debt to Equity (x)
0.10x
Interest Coverage (x)
1.31x
0.47x
Revenue Growth %
16.60%
Operating Profit Growth %
31.87%
Net Profit Growth %
166.50%
219.49%
P/E (x)
27.00x
P/B (x)
1.23x
Dividend Yield %
0.00%
4.03x

Shareholding Pattern

Numbers in percentages

TRADES
Jun 2024
27.84
18.07
38.78
Government
0.00
15.31
Sep 2024
27.49
20.69
39.85
Government
0.00
11.97
Dec 2024
27.49
19.21
40.03
Government
0.00
13.27
Mar 2025
27.53
20.39
36.30
Government
0.00
15.78
Jun 2025
27.53
19.71
36.52
Government
0.00
16.24
Sep 2025
27.53
21.80
35.35
Government
0.00
15.32
Dec 2025
27.53
21.16
34.51
Government
0.00
16.79
Mar 2026
27.53
17.86
36.43
Government
0.00
18.18
Jun 2026
27.53
18.08
35.72
Government
0.00
18.67

Documents

Announcements

  • Copy of Newspaper Publication

    2026-08-20 - PVR INOX Limited has submitted to the Stock Exchange a copy of Newspaper Advertisement informing about dispatch of Notice of 31st AGM along with Annual Report for FY 2025-26 and remote e-voting information.

  • General Updates

    2026-08-19 - PVR INOX Limited has submitted to Stock Exchange Business Responsibility and Sustainability Reporting (BRSR) for the Financial Year ended on 31st March, 2026.

Credit Ratings

Nothing filed yet.

Concalls