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Rajoo Engineers Ltd Financial Statement

Rajoo Engineers Ltd Income Statement
Quarterly
Annual

*All values are in Rs. Cr

(Rs. CR)Mar 2024Dec 2023Sep 2023
Revenue53.3561.0654.45
Operating Expense43.7152.3246.36
Net Profit6.255.715.29
Net Profit Margin11.729.359.72
Earning Per Share1.020.930.86
EBIDTA9.518.778.12
Effective Tax Rate21.6822.7422.5

(Rs. Cr)

Revenue

Operating Expense

Net Profit

Net Profit Margin

Earning Per Share

EBIDTA

Effective Tax Rate

Rajoo Engineers Ltd Profit & Loss

*All values are in Rs. Cr

Consolidated
Standalone
ParticularsMar 2023Mar 2022Mar 2021
Total Revenue Annual178.71190.33169.57
Operating Expenses Annual162.82167.79148.7
Operating Profit Annual18.8224.4921.58
Interest Annual0.360.331
Depreciation3.543.53.51
Net Profit Annual11.4915.112.05
Tax Annual3.445.565.02

Particulars

Total Revenue Annual

Operating Expenses Annual

Operating Profit Annual

Interest Annual

Depreciation

Net Profit Annual

Tax Annual

Rajoo Engineers Ltd Cash Flow

*All values are in Rs. Cr

Consolidated
Standalone
ParticularsMar 2023Mar 2022Mar 2021
Cash Flow at the Beginning11.264.515.01
Cash Flow from Operations14.5724.9417.57
Cash Flow from Investing-9.32-15.07-12.43
Cash Flow from Financing-2.17-3.13-5.65
Cash Flow at the End14.3411.264.51

Particulars

Cash Flow at the Beginning

Cash Flow from Operations

Cash Flow from Investing

Cash Flow from Financing

Cash Flow at the End

Rajoo Engineers Ltd Key Ratios

*All values are in Rs. Cr

Consolidated
Standalone
ParticularsMar 2023Mar 2022Mar 2021
PBDIT Margin (%)10.5312.8712.73
PBIT Margin (%)8.5511.0310.66
PBT Margin (%)-18.03-25.94-1.21
Net PROFIT Margin (%)6.278.66.83
Return On Networth / Equity (%)11.0616.5815.65
Return On Networth /Employed(%)14.5522.6121.88
Return On Assets (%)10.6617.6414
Total Debt / Equity(X)0.010.020.08
Asset Turnover Ratio (%)1.72.052.05

Particulars

PBDIT Margin (%)

PBIT Margin (%)

PBT Margin (%)

Net PROFIT Margin (%)

Return On Networth / Equity (%)

Return On Networth / Employed(%)

Return On Assets (%)

Total Debt / Equity(X)

Asset Turnover Ratio (%)

Rajoo Engineers Ltd Balance Sheet

*All values are in Rs. Cr

Consolidated
Standalone
ParticularsMar 2023Mar 2022Mar 2021
Fixed Assets Annual36.6538.8841.26
Total Current Assets Annual143.65118.2114.37
Non Current Assets Annual40.1841.8843.59
Total Shareholders Funds Annual108.9198.8383.32
Total Assets Annual183.83160.07157.95

Particulars

Fixed Assets Annual

Total Current Assets Annual

Non Current Assets Annual

Total Shareholders Funds Annual

Total Assets Annual

Rajoo Engineers Ltd Earning Calls
Mar 2024
EPS beaten by 0.00 %

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Dividend Pages

PE Ratio

Get Your FAQs Right

As of May 20, 2024, Rajoo Engineers Ltd has a market capitalization of 1,199.23 Cr. Value Research classifies it as a Small-Cap company.

Yes, Rajoo Engineers Ltd is debt-free with a debt-to-equity ratio of 0.01.

In FY 2023, Rajoo Engineers Ltd recorded a total revenue of approximately 197.35 Cr marking a significant milestone in the company's financial performance.

Rajoo Engineers Ltd's Future outlook anticipates robust growth, with forecasted earnings and revenue rising approximately 2.1% and 0.2% annually, respectively..

Rajoo Engineers Ltd's current PE ratio is 57.08.

Rajoo Engineers Ltd's ROCE averaged 16.5% from the FY ending March 2023 to 2024, with a median of 16.5%. It peaked at 21.1% in March 2024, reflecting strong capital efficiency over the period..

Rajoo Engineers Ltd's latest EBIT is Rs. 27.08 Cr, surpassing the average EBIT of Rs. 20.2 Cr over the 5 years..