Zensar Technologies Ltd.

483.55-0.29%

2026-08-21

zensar.comBSE: 504067NSE: ZENSARTECH
Market Cap₹ 11,028 Cr.
Current Price₹ 484
High / Low₹ 869 / 423
Stock P/E14.2
Book Value₹ 210
Price to Book2.54
Dividend Yield3.10 %
ROCE23.5 %
ROE18.0 %
Face Value₹ 2

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ABOUT

KEY POINTS

Revenue Breakup Mar 2026 • Digital & Application Services: 77.8% • Digital Foundation Services: 22.2%

PROS

  • Company has delivered good profit growth of 20.3% CAGR over last 5 years
  • Company is almost debt free
  • Company has a healthy return on capital (ROCE) of 24.6%
  • Company has consistently been profitable over the last 5 years
  • Strong cash generation - operating cash flow backs reported profits (CFO/PAT 0.95x)
  • Company has been maintaining a healthy dividend payout of 43.9%

CONS

    * 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.TCS2292.5516.66829464.654.8013420.004.6972275.0013.9366.2525.67
    2.INFY1130.2015.14458641.564.257775.0012.2948211.0014.0342.8423.66
    3.HCLTECH1319.9520.56358190.224.094626.0020.3434579.0013.9431.2019.87
    4.WIPRO180.6513.54178919.776.093356.300.5924478.6010.5918.4918.93
    5.TECHM1592.0030.38156037.293.201486.3031.6715711.9017.6823.0417.43
    6.LTM4540.9025.75134692.781.651468.6017.0611608.0017.9630.2517.75
    7.OFSS11862.0530.27103298.443.371415.50120.523125.2068.7345.5060.04
    8.PERSISTENT5679.9546.5989601.210.70483.0413.674303.2329.0935.0916.19
    9.COFORGE1880.0047.4083269.050.84531.7049.195527.7049.8624.7019.14
    10.MPHASIS2427.5024.2546335.332.55489.5110.824384.0517.4623.3118.15
    11.LTTS3578.4528.7637959.321.623571.001029.7129401.001014.7327.7018.65
    12.ZENSARTECH484.6514.2011028.453.10183.800.991508.308.9023.5314.65
    Detailed Comparison with:

    Quarterly Results

    Consolidated Figures in Rs. Crores / View Standalone

    Jun 2023
    1,227
    997
    Operating Profit
    OPM %
    Other Income
    28
    Interest
    6
    Depreciation
    42
    210
    Tax %
    25.69%
    Net Profit
    0
    7
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Sep 2023
    1,241
    1,010
    Operating Profit
    OPM %
    Other Income
    36
    Interest
    6
    Depreciation
    37
    225
    Tax %
    22.68%
    Net Profit
    0
    8
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Dec 2023
    1,204
    996
    Operating Profit
    OPM %
    Other Income
    42
    Interest
    6
    Depreciation
    31
    212
    Tax %
    23.76%
    Net Profit
    0
    7
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Mar 2024
    1,230
    1,027
    Operating Profit
    OPM %
    Other Income
    52
    Interest
    3
    Depreciation
    24
    229
    Tax %
    24.19%
    Net Profit
    0
    8
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Jun 2024
    1,288
    1,092
    Operating Profit
    OPM %
    Other Income
    42
    Interest
    4
    Depreciation
    25
    210
    Tax %
    24.70%
    Net Profit
    158
    7
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Sep 2024
    1,308
    1,107
    Operating Profit
    OPM %
    Other Income
    41
    Interest
    4
    Depreciation
    30
    208
    Tax %
    25.11%
    Net Profit
    156
    7
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Dec 2024
    1,326
    1,119
    Operating Profit
    OPM %
    Other Income
    31
    Interest
    4
    Depreciation
    24
    210
    Tax %
    24.01%
    Net Profit
    160
    7
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Mar 2025
    1,359
    1,146
    Operating Profit
    OPM %
    Other Income
    46
    Interest
    5
    Depreciation
    24
    230
    Tax %
    23.24%
    Net Profit
    176
    8
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Jun 2025
    1,385
    1,174
    Operating Profit
    OPM %
    Other Income
    57
    Interest
    4
    Depreciation
    23
    241
    Tax %
    24.36%
    Net Profit
    182
    8
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Sep 2025
    1,421
    1,201
    Operating Profit
    OPM %
    Other Income
    49
    Interest
    4
    Depreciation
    25
    240
    Tax %
    24.15%
    Net Profit
    182
    8
    Equity Capital
    46
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    46
    Reserves
    0
    Promoter Pledge %
    0.00%
    Dec 2025
    1,431
    1,181
    Operating Profit
    OPM %
    Other Income
    63
    Interest
    2
    Depreciation
    20
    265
    Tax %
    24.60%
    Net Profit
    200
    9
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Mar 2026
    1,450
    1,215
    Operating Profit
    OPM %
    Other Income
    65
    Interest
    2
    Depreciation
    23
    276
    Tax %
    23.67%
    Net Profit
    211
    9
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Jun 2026
    1,508
    1,319
    Operating Profit
    OPM %
    Other Income
    57
    Interest
    4
    Depreciation
    28
    246
    Tax %
    25.35%
    Net Profit
    184
    1
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%
    Equity Capital
    45
    Reserves
    0
    Promoter Pledge %
    0.00%

    Profit & Loss

    Consolidated Figures in Rs. Crores / View Standalone

    Mar 2017
    3,056
    2,684
    Operating Profit
    406
    OPM %
    13
    Other Income
    35
    Interest
    9
    Depreciation
    49
    349
    Tax %
    32
    Net Profit
    238
    EPS
    52
    Dividend Payout %
    23
    Minority Interest
    -4
    Share of Associates
    0
    Adjusted EPS
    10
    Minority Interest
    -4
    Share of Associates
    0
    Adjusted EPS
    10
    Mar 2018
    3,108
    2,774
    Operating Profit
    439
    OPM %
    14
    Other Income
    106
    Interest
    23
    Depreciation
    65
    352
    Tax %
    30
    Net Profit
    246
    EPS
    11
    Dividend Payout %
    22
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    11
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    11
    Mar 2019
    3,966
    3,521
    Operating Profit
    572
    OPM %
    14
    Other Income
    126
    Interest
    37
    Depreciation
    89
    445
    Tax %
    28
    Net Profit
    319
    EPS
    14
    Dividend Payout %
    20
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    14
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    14
    Mar 2020
    4,182
    3,740
    Operating Profit
    595
    OPM %
    14
    Other Income
    154
    Interest
    61
    Depreciation
    159
    376
    Tax %
    28
    Net Profit
    272
    EPS
    12
    Dividend Payout %
    24
    Minority Interest
    -8
    Share of Associates
    0
    Adjusted EPS
    12
    Minority Interest
    -8
    Share of Associates
    0
    Adjusted EPS
    12
    Mar 2021
    3,781
    3,189
    Operating Profit
    710
    OPM %
    19
    Other Income
    118
    Interest
    54
    Depreciation
    175
    433
    Tax %
    29
    Net Profit
    307
    EPS
    13
    Dividend Payout %
    27
    Minority Interest
    -7
    Share of Associates
    0
    Adjusted EPS
    13
    Minority Interest
    -7
    Share of Associates
    0
    Adjusted EPS
    13
    Mar 2022
    4,244
    3,616
    Operating Profit
    796
    OPM %
    19
    Other Income
    168
    Interest
    37
    Depreciation
    185
    574
    Tax %
    27
    Net Profit
    422
    EPS
    18
    Dividend Payout %
    27
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    18
    Minority Interest
    -5
    Share of Associates
    0
    Adjusted EPS
    18
    Mar 2023
    4,848
    4,311
    Operating Profit
    655
    OPM %
    14
    Other Income
    118
    Interest
    28
    Depreciation
    183
    444
    Tax %
    26
    Net Profit
    328
    EPS
    14
    Dividend Payout %
    35
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    14
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    14
    Mar 2024
    4,902
    4,050
    Operating Profit
    1,030
    OPM %
    21
    Other Income
    178
    Interest
    21
    Depreciation
    134
    876
    Tax %
    24
    Net Profit
    665
    EPS
    29
    Dividend Payout %
    31
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    29
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    29
    Mar 2025
    5,281
    4,500
    Operating Profit
    977
    OPM %
    18
    Other Income
    196
    Interest
    17
    Depreciation
    102
    858
    Tax %
    24
    Net Profit
    650
    EPS
    29
    Dividend Payout %
    45
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    29
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    29
    Mar 2026
    5,687
    4,771
    Operating Profit
    1,150
    OPM %
    20
    Other Income
    234
    Interest
    12
    Depreciation
    91
    1,022
    Tax %
    24
    Net Profit
    775
    EPS
    34
    Dividend Payout %
    44
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    34
    Minority Interest
    0
    Share of Associates
    0
    Adjusted EPS
    34
    TTM
    5,811
    4,916
    Operating Profit
    OPM %
    Other Income
    234
    Interest
    12
    Depreciation
    97
    1,027
    Tax %
    24
    Net Profit
    776
    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:
    7%
    5 Years:
    9%
    3 Years:
    5%

    COMPOUNDED PROFIT GROWTH

    10 Years:
    10%
    5 Years:
    21%
    3 Years:
    33%

    STOCK PRICE CAGR

    10 Years:
    8%
    5 Years:
    2%
    3 Years:
    -2%
    1 Year:
    -40%

    RETURN ON EQUITY

    10 Years:
    16%
    5 Years:
    17%
    3 Years:
    19%
    Last Year:
    18%

    Balance Sheet

    Consolidated Figures in Rs. Crores / View Standalone

    Corporate actions

    2026

    Jul 17

    ₹ 6.30

    Rs.12.6000 per share(630%)Final Dividend

    2026

    Jan 29

    ₹ 1.20

    Interim Dividend

    2025

    Jul 11

    ₹ 5.50

    Rs.11.0000 per share(550%)Final Dividend

    2025

    Jan 28

    ₹ 1

    Interim Dividend

    2024

    Jul 19

    ₹ 3.50

    Rs.7.0000 per share(350%)Final Dividend

    2024

    Feb 2

    ₹ 1

    Interim Dividend

    2023

    Jul 21

    ₹ 1.75

    Rs.3.5000 per share(175%)Final Dividend

    2023

    Feb 3

    ₹ 0.75

    Interim Dividend

    2022

    Jul 14

    ₹ 1.75

    Rs.3.5000 per share(175%)Final Dividend

    2022

    Feb 3

    ₹ 0.75

    Interim Dividend

    2021

    Sep 15

    ₹ 1.20

    Rs.2.4000 per share(120%)Final Dividend

    2021

    Jan 29

    ₹ 0.60

    Rs.1.2000 per share(60%)Interim Dividend

    2018

    Jul 30

    ₹ 0.70

    Rs.7.0000 per share(70%)Final Dividend

    2018

    Jan 30

    ₹ 0.50

    Rs.5.0000 per share(50%)Interim Dividend

    2017

    Jul 10

    ₹ 0.70

    Rs.7.0000 per share(70%)Final Dividend

    2017

    Feb 2

    ₹ 0.50

    22/02/2017 Equity Rs.5.0000 per share(50%)Interim Dividend

    2016

    Mar 22

    ₹ 0.70

    Rs.7.0000 per share (70%) Second Interim Dividend

    2016

    Jan 29

    ₹ 0.50

    Rs.5.0000 per share(50%)Interim Dividend

    Mar 2017
    Equity Capital
    45
    1,408
    134
    Trade Payables
    175
    326
    Total Liabilities
    2,088
    447
    Capital Work in Progress
    1
    243
    113
    0
    Cash & Bank
    329
    956
    Total Assets
    2,088
    Total Debt
    134
    Net Working Capital
    887
    Contingent Liabilities
    227
    Book Value per Share
    323.88
    Face Value
    10.00
    Total Debt
    134
    Net Working Capital
    887
    Contingent Liabilities
    227
    Book Value per Share
    323.88
    Face Value
    10.00
    Mar 2018
    Equity Capital
    45
    1,610
    3
    Trade Payables
    184
    423
    Total Liabilities
    2,265
    592
    Capital Work in Progress
    2
    275
    106
    0
    Cash & Bank
    207
    1,084
    Total Assets
    2,265
    Total Debt
    9
    Net Working Capital
    933
    Contingent Liabilities
    75
    Book Value per Share
    367.95
    Face Value
    10.00
    Total Debt
    9
    Net Working Capital
    933
    Contingent Liabilities
    75
    Book Value per Share
    367.95
    Face Value
    10.00
    Mar 2019
    Equity Capital
    45
    1,869
    198
    Trade Payables
    301
    632
    Total Liabilities
    3,045
    950
    Capital Work in Progress
    6
    115
    98
    0
    Cash & Bank
    326
    1,550
    Total Assets
    3,045
    Total Debt
    300
    Net Working Capital
    987
    Contingent Liabilities
    312
    Book Value per Share
    84.99
    Face Value
    2.00
    Total Debt
    300
    Net Working Capital
    987
    Contingent Liabilities
    312
    Book Value per Share
    84.99
    Face Value
    2.00
    Mar 2020
    Equity Capital
    45
    2,011
    266
    Trade Payables
    265
    959
    Total Liabilities
    3,546
    1,323
    Capital Work in Progress
    2
    278
    94
    0
    Cash & Bank
    517
    1,332
    Total Assets
    3,546
    Total Debt
    332
    Net Working Capital
    1,018
    Contingent Liabilities
    304
    Book Value per Share
    91.22
    Face Value
    2.00
    Total Debt
    332
    Net Working Capital
    1,018
    Contingent Liabilities
    304
    Book Value per Share
    91.22
    Face Value
    2.00
    Mar 2021
    Equity Capital
    45
    2,282
    0
    Trade Payables
    220
    837
    Total Liabilities
    3,384
    1,133
    Capital Work in Progress
    0
    517
    0
    0
    Cash & Bank
    699
    1,035
    Total Assets
    3,384
    Total Debt
    0
    Net Working Capital
    1,254
    Contingent Liabilities
    47
    Book Value per Share
    103.22
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    1,254
    Contingent Liabilities
    47
    Book Value per Share
    103.22
    Face Value
    2.00
    Mar 2022
    Equity Capital
    45
    2,619
    0
    Trade Payables
    316
    805
    Total Liabilities
    3,786
    1,254
    Capital Work in Progress
    1
    324
    0
    0
    Cash & Bank
    856
    1,350
    Total Assets
    3,786
    Total Debt
    0
    Net Working Capital
    1,435
    Contingent Liabilities
    47
    Book Value per Share
    117.88
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    1,435
    Contingent Liabilities
    47
    Book Value per Share
    117.88
    Face Value
    2.00
    Mar 2023
    Equity Capital
    45
    2,910
    0
    Trade Payables
    277
    792
    Total Liabilities
    4,025
    1,174
    Capital Work in Progress
    0
    899
    0
    0
    Cash & Bank
    728
    1,225
    Total Assets
    4,025
    Total Debt
    0
    Net Working Capital
    1,460
    Contingent Liabilities
    50
    Book Value per Share
    130.49
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    1,460
    Contingent Liabilities
    50
    Book Value per Share
    130.49
    Face Value
    2.00
    Mar 2024
    Equity Capital
    45
    3,481
    0
    Trade Payables
    310
    702
    Total Liabilities
    4,538
    1,034
    Capital Work in Progress
    5
    1,408
    0
    732
    Cash & Bank
    724
    634
    Total Assets
    4,538
    Total Debt
    0
    Net Working Capital
    1,740
    Contingent Liabilities
    33
    Book Value per Share
    155.69
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    1,740
    Contingent Liabilities
    33
    Book Value per Share
    155.69
    Face Value
    2.00
    Mar 2025
    Equity Capital
    45
    3,971
    0
    Trade Payables
    344
    705
    Total Liabilities
    5,065
    1,170
    Capital Work in Progress
    1
    1,714
    0
    790
    Cash & Bank
    744
    647
    Total Assets
    5,065
    Total Debt
    0
    Net Working Capital
    2,432
    Contingent Liabilities
    34
    Book Value per Share
    176.94
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    2,432
    Contingent Liabilities
    34
    Book Value per Share
    176.94
    Face Value
    2.00
    Mar 2026
    Equity Capital
    45
    4,542
    0
    Trade Payables
    367
    1,019
    Total Liabilities
    5,973
    1,223
    Capital Work in Progress
    1
    1,921
    0
    924
    Cash & Bank
    932
    973
    Total Assets
    5,973
    Total Debt
    0
    Net Working Capital
    2,900
    Contingent Liabilities
    36
    Book Value per Share
    202.53
    Face Value
    2.00
    Total Debt
    0
    Net Working Capital
    2,900
    Contingent Liabilities
    36
    Book Value per Share
    202.53
    Face Value
    2.00

    Cash Flows

    Consolidated Figures in Rs. Crores / View Standalone

    Mar 2017
    304
    Cash from Investing
    -190
    Cash from Financing
    -50
    64
    Free Cash Flow
    186
    OCF / Net Profit
    1.28
    Cumulative 5-Year FCF
    0
    OCF / Net Profit
    1.28
    Cumulative 5-Year FCF
    0
    Mar 2018
    206
    Cash from Investing
    -157
    Cash from Financing
    -204
    -155
    Free Cash Flow
    -7
    OCF / Net Profit
    0.84
    Cumulative 5-Year FCF
    0
    OCF / Net Profit
    0.84
    Cumulative 5-Year FCF
    0
    Mar 2019
    156
    Cash from Investing
    -241
    Cash from Financing
    201
    116
    Free Cash Flow
    -267
    OCF / Net Profit
    0.49
    Cumulative 5-Year FCF
    0
    OCF / Net Profit
    0.49
    Cumulative 5-Year FCF
    0
    Mar 2020
    686
    Cash from Investing
    -315
    Cash from Financing
    -197
    174
    Free Cash Flow
    200
    OCF / Net Profit
    2.53
    Cumulative 5-Year FCF
    0
    OCF / Net Profit
    2.53
    Cumulative 5-Year FCF
    0
    Mar 2021
    858
    Cash from Investing
    -528
    Cash from Financing
    -467
    -137
    Free Cash Flow
    858
    OCF / Net Profit
    2.79
    Cumulative 5-Year FCF
    970
    OCF / Net Profit
    2.79
    Cumulative 5-Year FCF
    970
    Mar 2022
    336
    Cash from Investing
    -18
    Cash from Financing
    -183
    135
    Free Cash Flow
    91
    OCF / Net Profit
    0.80
    Cumulative 5-Year FCF
    875
    OCF / Net Profit
    0.80
    Cumulative 5-Year FCF
    875
    Mar 2023
    714
    Cash from Investing
    -528
    Cash from Financing
    -219
    -32
    Free Cash Flow
    531
    OCF / Net Profit
    2.18
    Cumulative 5-Year FCF
    1,413
    OCF / Net Profit
    2.18
    Cumulative 5-Year FCF
    1,413
    Mar 2024
    642
    Cash from Investing
    -475
    Cash from Financing
    -197
    -30
    Free Cash Flow
    642
    OCF / Net Profit
    0.97
    Cumulative 5-Year FCF
    2,322
    OCF / Net Profit
    0.97
    Cumulative 5-Year FCF
    2,322
    Mar 2025
    565
    Cash from Investing
    -488
    Cash from Financing
    -264
    -187
    Free Cash Flow
    353
    OCF / Net Profit
    0.87
    Cumulative 5-Year FCF
    2,475
    OCF / Net Profit
    0.87
    Cumulative 5-Year FCF
    2,475
    Mar 2026
    771
    Cash from Investing
    -241
    Cash from Financing
    -401
    129
    Free Cash Flow
    771
    OCF / Net Profit
    1.00
    Cumulative 5-Year FCF
    2,388
    OCF / Net Profit
    1.00
    Cumulative 5-Year FCF
    2,388

    Ratios

    Consolidated Figures in Rs. Crores / View Standalone

    Mar 2017
    EPS (₹)
    52.34
    Book Value (₹)
    323.88
    Dividend per Share (₹)
    12.00
    Cash EPS (₹)
    12.79
    Operating Margin %
    13.29%
    Net Margin %
    7.80%
    ROE %
    17.60%
    ROCE %
    23.67%
    12.11%
    Debtor Days
    64
    Inventory Days
    14
    Payable Days
    4718
    -4640
    Debt to Equity (x)
    0.09x
    Interest Coverage (x)
    40.75x
    2.53x
    Revenue Growth %
    3.51%
    Operating Profit Growth %
    -17.60%
    Net Profit Growth %
    -18.45%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2018
    EPS (₹)
    53.69
    Book Value (₹)
    367.95
    Dividend per Share (₹)
    12.00
    Cash EPS (₹)
    13.85
    Operating Margin %
    14.14%
    Net Margin %
    7.93%
    ROE %
    15.86%
    ROCE %
    22.79%
    11.32%
    Debtor Days
    69
    Inventory Days
    13
    Payable Days
    9813
    -9731
    Debt to Equity (x)
    0.01x
    Interest Coverage (x)
    16.51x
    2.76x
    Revenue Growth %
    1.71%
    Operating Profit Growth %
    8.22%
    Net Profit Growth %
    3.41%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2019
    EPS (₹)
    13.93
    Book Value (₹)
    84.99
    Dividend per Share (₹)
    2.80
    Cash EPS (₹)
    18.12
    Operating Margin %
    14.42%
    Net Margin %
    8.03%
    ROE %
    17.86%
    ROCE %
    24.62%
    12.00%
    Debtor Days
    70
    Inventory Days
    9
    Payable Days
    0
    79
    Debt to Equity (x)
    0.16x
    Interest Coverage (x)
    12.94x
    2.04x
    Revenue Growth %
    27.63%
    Operating Profit Growth %
    30.23%
    Net Profit Growth %
    29.28%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2020
    EPS (₹)
    11.69
    Book Value (₹)
    91.22
    Dividend per Share (₹)
    2.80
    Cash EPS (₹)
    19.11
    Operating Margin %
    14.24%
    Net Margin %
    6.49%
    ROE %
    13.68%
    ROCE %
    18.71%
    8.24%
    Debtor Days
    67
    Inventory Days
    8
    Payable Days
    0
    76
    Debt to Equity (x)
    0.16x
    Interest Coverage (x)
    7.21x
    1.98x
    Revenue Growth %
    5.43%
    Operating Profit Growth %
    4.08%
    Net Profit Growth %
    -14.77%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2021
    EPS (₹)
    13.30
    Book Value (₹)
    103.22
    Dividend per Share (₹)
    3.60
    Cash EPS (₹)
    21.36
    Operating Margin %
    18.78%
    Net Margin %
    8.12%
    ROE %
    14.01%
    ROCE %
    20.42%
    8.86%
    Debtor Days
    61
    Inventory Days
    0
    Payable Days
    0
    61
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    9.09x
    2.70x
    Revenue Growth %
    -9.57%
    Operating Profit Growth %
    19.27%
    Net Profit Growth %
    13.03%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2022
    EPS (₹)
    18.42
    Book Value (₹)
    117.88
    Dividend per Share (₹)
    5.00
    Cash EPS (₹)
    26.84
    Operating Margin %
    18.74%
    Net Margin %
    9.94%
    ROE %
    16.90%
    ROCE %
    24.29%
    11.76%
    Debtor Days
    60
    Inventory Days
    0
    Payable Days
    0
    60
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    16.69x
    2.74x
    Revenue Growth %
    12.23%
    Operating Profit Growth %
    12.01%
    Net Profit Growth %
    37.36%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2023
    EPS (₹)
    14.46
    Book Value (₹)
    130.49
    Dividend per Share (₹)
    5.00
    Cash EPS (₹)
    22.54
    Operating Margin %
    13.51%
    Net Margin %
    6.76%
    ROE %
    11.66%
    ROCE %
    16.67%
    8.39%
    Debtor Days
    57
    Inventory Days
    0
    Payable Days
    0
    57
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    16.86x
    2.70x
    Revenue Growth %
    14.24%
    Operating Profit Growth %
    -17.65%
    Net Profit Growth %
    -22.31%
    0.00%
    P/E (x)
    0.00x
    P/B (x)
    0.00x
    Dividend Yield %
    0.00%
    0.00x
    Mar 2024
    EPS (₹)
    29.36
    Book Value (₹)
    155.69
    Dividend per Share (₹)
    9.00
    Cash EPS (₹)
    35.27
    Operating Margin %
    17.38%
    Net Margin %
    13.57%
    ROE %
    20.52%
    ROCE %
    27.43%
    15.53%
    Debtor Days
    54
    Inventory Days
    0
    Payable Days
    0
    54
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    42.90x
    3.04x
    Revenue Growth %
    1.11%
    Operating Profit Growth %
    57.30%
    Net Profit Growth %
    102.99%
    102.99%
    P/E (x)
    20.62x
    P/B (x)
    3.89x
    Dividend Yield %
    1.49%
    12.60x
    Mar 2025
    EPS (₹)
    28.63
    Book Value (₹)
    176.94
    Dividend per Share (₹)
    13.00
    Cash EPS (₹)
    33.11
    Operating Margin %
    14.78%
    Net Margin %
    12.31%
    ROE %
    17.23%
    ROCE %
    22.93%
    13.53%
    Debtor Days
    53
    Inventory Days
    0
    Payable Days
    0
    53
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    50.58x
    3.76x
    Revenue Growth %
    7.73%
    Operating Profit Growth %
    -5.20%
    Net Profit Growth %
    -2.29%
    -2.50%
    P/E (x)
    24.49x
    P/B (x)
    3.96x
    Dividend Yield %
    1.85%
    15.53x
    Mar 2026
    EPS (₹)
    34.20
    Book Value (₹)
    202.53
    Dividend per Share (₹)
    15.00
    Cash EPS (₹)
    38.23
    Operating Margin %
    16.11%
    Net Margin %
    13.62%
    ROE %
    18.01%
    ROCE %
    23.53%
    14.03%
    Debtor Days
    55
    Inventory Days
    0
    Payable Days
    0
    55
    Debt to Equity (x)
    0.00x
    Interest Coverage (x)
    85.44x
    3.52x
    Revenue Growth %
    7.70%
    Operating Profit Growth %
    17.72%
    Net Profit Growth %
    19.21%
    19.47%
    P/E (x)
    15.05x
    P/B (x)
    2.54x
    Dividend Yield %
    2.91%
    9.33x

    Shareholding Pattern

    Numbers in percentages

    TRADES
    Jun 2024
    49.17
    15.74
    19.04
    Government
    0.00
    16.05
    Sep 2024
    49.13
    14.84
    19.05
    Government
    0.00
    16.97
    Dec 2024
    49.10
    15.06
    19.83
    Government
    0.00
    16.01
    Mar 2025
    49.07
    14.98
    19.89
    Government
    0.00
    16.06
    Jun 2025
    49.06
    14.56
    20.52
    Government
    0.00
    15.86
    Sep 2025
    49.02
    13.30
    22.24
    Government
    0.00
    15.43
    Dec 2025
    49.01
    11.80
    23.12
    Government
    0.00
    16.07
    Mar 2026
    49.00
    10.51
    23.66
    Government
    0.00
    16.83
    Jun 2026
    48.99
    10.73
    21.98
    Government
    0.00
    18.29

    Documents

    Announcements

    Credit Ratings

    • Credit Rating

      2026-08-08 - Zensar Technologies Limited has informed the Exchange about Credit Rating

    • Credit Rating- Others

      2026-03-31 - Zensar Technologies Limited has informed the Exchange about Credit Rating- Others

    • Credit Rating- Others

      2026-02-18 - Zensar Technologies Limited has informed the Exchange about Credit Rating- Others

    Concalls