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KAJAL SYNTHETICS & SILK MILLS Share Price

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Last updated 01 Jan, 1970, 17:30 IST

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KAJAL SYNTHETICS & SILK MILLS Shareholder Returns

Mkt Cap Cr
0.46

P/E
-0.19

P/B
0.02

ROE
-12.79%

D/E
1.06

ROCE
-1.04%

Div. Yield
0.00%

EPS(TTM)
-12.05
Turnover
0.00

EV/EBITDA
0.00

Net Margin
0.00%

Op. Margin
0.00%

ROA
-5.74%

Quick Ratio
0.00

Curr. Ratio
0.08
Based on fundamentals, this stock's
Step 1 of 5
Valuation
Overvalued
Kajal Syn & Silk appears overvalued compared to its peers
Step 3 of 5
Earnings
Neutral
Kajal Syn & Silk earnings growth is positive
Peer Comparison
Peer comparison — key ratios
NameMkt Cap CrP/EP/BROED/EROCEBook ValueDiv. YieldTurnoverEPS(TTM)
Bajaj Finance6,34,269.0032.815.5616.68%3.139.91%165.630.59%0.1628.65
Bajaj Finserv2,97,086.0015.103.8112.58%0.0010.69%63.610.08%0.209.00
Shriram Finance2,50,962.0016.372.4916.35%3.9711.49%2.501.24%0.1553.15
ICICI PRUDENTIAL AMC LTD1,66,113.0042.0133.2285.80%0.00115.10%33.223.65%1.3066.73
JIO FIN SERVICES LTD1,58,277.00101.571.121.17%0.001.71%56.360.24%0.031.07
TATA CAPITAL LIMITED1,51,330.0030.953.3010.57%4.157.98%91.910.16%0.577.77
Cholamandalam In & Fin Co1,52,425.0029.135.0017.18%6.948.84%356.610.11%0.1361.83
Power Finance Corp1,42,003.004.221.0719.49%4.859.79%310.694.31%0.1060.76
Muthoot Finance1,18,791.0011.203.0427.06%3.6713.24%940.111.01%0.16252.43
IRFC1,18,662.0016.942.0912.35%7.695.46%43.421.16%0.065.36

KAJAL SYNTHETICS & SILK MILLS Financials

Full statement

Income Statement · Consolidated

Income Statement · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue--------
Other Income₹0.00₹0.00₹0.01₹0.00
Total Revenue₹0.06₹0.13₹0.08₹0.57
Total Expenses₹2.20₹2.65₹3.32₹4.15
Profit Before Tax-₹3.07-₹3.40-₹3.24-₹3.57
Tax₹0.00₹0.00₹0.00₹0.00
Profit After Tax-₹3.07-₹3.40-₹3.24-₹3.57
EPS - Basic-₹15.40-₹17.09-₹16.96-₹18.65
EPS - Diluted-₹15.40-₹17.09-₹16.96-₹18.65

Cash Flow · Consolidated

Cash Flow · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax-₹2.15-₹2.51-₹3.24-₹3.57
Income before WC changes-₹2.16-₹2.57-₹3.29-₹3.64
Change in Assets₹0.06₹0.11-₹0.11₹21.45
Change in Liabilities-₹2.19-₹0.78₹0.59₹0.82
Change in WC-₹2.14-₹0.67₹0.49₹22.27
Cash flow from Operations-₹4.29-₹3.24-₹2.61₹18.58
Cash flow from Investing₹0.27₹18.09₹0.05-₹1.55
Cash flow from Financing₹4.10-₹15.00₹2.50-₹17.20
Total Cash Flow₹0.08-₹0.16-₹0.06-₹0.18
Cash (Start of the year)₹0.02₹0.18₹0.24₹0.42
Cash (End of the year)₹0.10₹0.02₹0.18₹0.24

Balance Sheet · Consolidated

Balance Sheet · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹39.96₹39.39₹55.69₹58.20
Current Assets₹0.13₹0.12₹0.22₹0.46
Total Assets₹40.09₹39.50₹55.91₹58.66
Current Liabilities₹0.06₹2.26₹3.04₹2.45
Net Current Asset₹0.07-₹2.14-₹2.82-₹1.98
Non-Current Liabilities₹20.70₹16.60₹31.60₹29.10
Equity Capital₹19.33₹20.65₹21.27₹27.11
Total Equity & Liabilities₹40.09₹39.50₹55.91₹58.66

Income Statement · Standalone

Income Statement · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue--------
Other Income₹0.00₹0.00₹0.01₹0.00
Total Revenue₹0.06₹0.13₹0.08₹0.57
Total Expenses₹2.20₹2.65₹3.32₹4.15
Profit Before Tax-₹2.15-₹2.51-₹3.24-₹3.57
Tax₹0.00₹0.00₹0.00₹0.00
Profit After Tax-₹2.15-₹2.51-₹3.24-₹3.57
EPS - Basic-₹10.79-₹12.61-₹16.25-₹17.93
EPS - Diluted-₹10.79-₹12.61-₹16.25-₹17.93

Cash Flow · Standalone

Cash Flow · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax-₹2.15-₹2.51-₹3.24-₹3.57
Income before WC changes-₹2.16-₹2.57-₹3.29-₹3.64
Change in Assets₹0.06₹0.11-₹0.11₹21.45
Change in Liabilities-₹2.19-₹0.78₹0.59₹0.82
Change in WC-₹2.14-₹0.67₹0.49₹22.27
Cash flow from Operations-₹4.29-₹3.24-₹2.61₹18.58
Cash flow from Investing₹0.27₹18.09₹0.05-₹1.55
Cash flow from Financing₹4.10-₹15.00₹2.50-₹17.20
Total Cash Flow₹0.08-₹0.16-₹0.06-₹0.18
Cash (Start of the year)₹0.02₹0.18₹0.24₹0.42
Cash (End of the year)₹0.10₹0.02₹0.18₹0.24

Balance Sheet · Standalone

Balance Sheet · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹41.76₹40.32₹55.76₹58.26
Current Assets₹0.13₹0.12₹0.22₹0.46
Total Assets₹41.89₹40.44₹55.98₹58.73
Current Liabilities₹0.06₹2.26₹3.04₹2.45
Net Current Asset₹0.07-₹2.14-₹2.82-₹1.98
Non-Current Liabilities₹20.70₹16.60₹31.60₹29.10
Equity Capital₹21.13₹21.58₹21.34₹27.18
Total Equity & Liabilities₹41.89₹40.44₹55.98₹58.73
* All values are in INR Crore
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About KAJAL SYNTHETICS & SILK MILLS

KAJAL SYNTHETICS & SILK MILLS logo
ISIN
INE956V01011
Sector Market Cap
₹ 0.46 Cr

Kajal Synthetics and Silk Mills Limited is an India-based company, which is engaged in the business of financing and investment activities. The Company provides non-banking financial services. The Company invests in mutual funds, shares and securities on a long-term basis and grants loans to corporate bodies.

KAJAL SYNTHETICS & SILK MILLS Financial Highlights

  • Revenue: KAJAL SYNTHETICS & SILK MILLS reported revenue of ₹0.00 crore in FY26 vs ₹0.01 crore in FY25. It showed a decrease of 100.00% on a yearly basis.
  • Operating Profit: KAJAL SYNTHETICS & SILK MILLS reported an operating loss of ₹2.40 crore in FY26 vs ₹3.07 crore in FY25. It showed an increase of 21.82% on a year-on-year basis.
  • Net Profit: KAJAL SYNTHETICS & SILK MILLS reported a net loss of ₹2.40 crore in FY26 vs ₹3.07 crore in FY25. It showed an increase of 21.82% on a yearly basis.

KAJAL SYNTHETICS & SILK MILLS Quarterly Result Highlights

  • KAJAL SYNTHETICS & SILK MILLS reported revenue of ₹0.00 crore in Mar 2026, compared with ₹0.00 crore in Dec 2025.
  • KAJAL SYNTHETICS & SILK MILLS reported an operating loss of ₹0.59 crore in Mar 2026, compared with ₹0.58 crore in Dec 2025, representing a decrease of 1.72% on a quarter-on-quarter (QoQ) basis.
  • KAJAL SYNTHETICS & SILK MILLS reported a loss of ₹0.59 crore in Mar 2026, compared with ₹0.58 crore in Dec 2025, reflecting a decrease of 1.72% on a QoQ basis.
  • The earnings per share (EPS) of KAJAL SYNTHETICS & SILK MILLS stood at ₹15.40 during Mar 2026.
Know more
Promoters
64.43%
FII
0.00%
Other DII
0.00%
Retail and other
35.57%
Mutual funds
0.00%
Foreign institutions - FII
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