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Garuda Construction & Engineering Results

Financial overview

CAGR%
Sales
Profits
Returns
ROE
10Y5Y3YTTM
--46%40%
--75%22%
----11%
47%47%49%24%

Peer Comparison

Symbol
DLF
LODHA
PHOENIXLTD
PRESTIGE
OBEROIRLTY
GODREJPROP
BRIGADE
ANANTRAJ
ABREL
SOBHA
GARUDA
PriceM.Cap (₹)PE RatioEPS (₹)EV/EBITDAAnnual PAT
686.55₹168569 Cr37.923.2118.54₹4415 Cr
1,221₹121965 Cr29.5613.7344.78₹3428 Cr
1,954.2₹70105 Cr54.778.345.92₹1557 Cr
1,617.5₹69994 Cr61.465.4847.7₹1196 Cr
1,915.2₹69252 Cr26.3314.9576.01₹2507 Cr
1,992.9₹59842 Cr37.411.6257.23₹1850 Cr
698.25₹23261 Cr33.476.1430.8₹644 Cr
628.7₹22618 Cr39.094.1617.67₹557 Cr
1,372₹15370 Cr-3.45-4.2-₹103 Cr
1,255.9₹13420 Cr58.184.7531.92₹193 Cr
180.35₹1665 Cr12.244.4714.66₹122 Cr

Profit & Loss

Consolidated
Standalone
Quarterly
Yearly
%
Name
Net Revenue
Other Income
Total Revenue
Total Expenditure
Operating Profit
Interest Expense
PBT
Net Profit
Jun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
₹175 Cr₹149 Cr₹140 Cr₹116 Cr₹125 Cr₹82 Cr₹62 Cr₹47 Cr₹35 Cr
₹25 L-₹41 L₹18 L₹2 Cr₹2 Cr₹76 L₹41 L₹56 L₹80,000
₹176 Cr₹149 Cr₹140 Cr₹118 Cr₹127 Cr₹82 Cr₹63 Cr₹47 Cr₹35 Cr
₹119 Cr₹101 Cr₹95 Cr₹82 Cr₹89 Cr₹58 Cr₹45 Cr₹33 Cr₹24 Cr
₹56 Cr₹48 Cr₹45 Cr₹36 Cr₹38 Cr₹25 Cr₹18 Cr₹14 Cr₹12 Cr
₹53 L₹71 L₹2 Cr₹50,000₹46 L₹42 L₹36 L₹23 L₹40,000
₹56 Cr₹47 Cr₹44 Cr₹36 Cr₹37 Cr₹24 Cr₹17 Cr₹14 Cr₹12 Cr
₹42 Cr₹34 Cr₹33 Cr₹27 Cr₹28 Cr₹18 Cr₹13 Cr₹10 Cr₹9 Cr

Balance Sheet

Consolidated
Standalone
%
Name
Equity And Liabilities
Share Capital
Total Reserves
Reserve excluding Revaluation Reserve
Shareholder's Funds
Minority Interest
Secured Loans
Deferred Tax Assets / Liabilities
Other Long Term Liabilities
Long Term Provisions
Total Non-Current Liabilities
Current Liabilities
Trade Payables
Other Current Liabilities
Short Term Borrowings
Short Term Provisions
Total Current Liabilities
Total Liabilities
Total Debt
Assets
Gross Block
Less Accumulated Depreciation
Net Block
Capital Work in Progress
Non Current Investments
Long Term Investment
Long Term Loans & Advances
Total Non-Current Assets
Current Assets Loans & Advances
Inventories
Sundry Debtors
Cash and Bank
Other Current Assets
Short Term Loans and Advances
Total Current Assets
Net Current Assets (Including Current Investments)
Total Assets
Book Value
Adjusted Book Value
Mar 2025Mar 2023Mar 2022Mar 2021
₹47 Cr₹12 Cr₹12 Cr₹12 Cr
₹285 Cr₹70 Cr₹29 Cr₹11 Cr
₹285 Cr₹70 Cr₹29 Cr₹11 Cr
₹332 Cr₹83 Cr₹42 Cr₹23 Cr
₹52 L₹0₹0₹0
₹6 L₹15 L₹0₹0
-₹39 L-₹44 L-₹48 L-₹25 L
₹0₹10 Cr₹10 Cr₹31 Cr
₹11 L₹1 L₹4 L₹3 L
-₹22 L₹9 Cr₹9 Cr₹31 Cr
₹31 Cr₹62 Cr₹41 Cr₹58 Cr
₹31 Cr₹8 Cr₹1 Cr₹2 Cr
₹0₹0₹12 Cr₹15 Cr
₹13 Cr₹14 Cr₹6 Cr₹3 Cr
₹75 Cr₹84 Cr₹60 Cr₹78 Cr
₹407 Cr₹176 Cr₹111 Cr₹132 Cr
₹11 L₹19 L₹12 Cr₹15 Cr
₹4 Cr₹3 Cr₹3 Cr₹2 Cr
₹2 Cr₹1 Cr₹96 L₹65 L
₹2 Cr₹2 Cr₹2 Cr₹1 Cr
₹2 Cr₹2 Cr₹2 Cr₹2 Cr
₹9 Cr₹0₹0₹0
₹9 Cr₹0₹0₹0
₹24 Cr₹25 Cr₹25 Cr₹25 Cr
₹38 Cr₹29 Cr₹29 Cr₹28 Cr
₹11 Cr₹7 Cr₹3 Cr₹0
₹170 Cr₹77 Cr₹30 Cr₹33 Cr
₹44 Cr₹7 Cr₹7 Cr₹37 L
₹5 L₹0₹0₹2 Cr
₹144 Cr₹56 Cr₹42 Cr₹69 Cr
₹369 Cr₹147 Cr₹81 Cr₹104 Cr
₹294 Cr₹62 Cr₹22 Cr₹26 Cr
₹407 Cr₹176 Cr₹111 Cr₹132 Cr
₹36₹66₹34₹18
₹36₹11₹6₹3

Cash Flow

Consolidated
Standalone
%
Name
Profit Before Tax
Adjustment
Changes In working Capital
Cash Flow after changes in Working Capital
Cash Flow from Operating Activities
Cash Flow from Investing Activities
Cash Flow from Financing Activitie
Net Cash Inflow / Outflow
Opening Cash & Cash Equivalents
Closing Cash & Cash Equivalent
Mar 2025Mar 2023Mar 2022Mar 2021
₹67 Cr₹55 Cr₹25 Cr₹12 Cr
-₹31 L₹57 L₹2 Cr-₹62 L
-₹160 Cr-₹37 Cr-₹10 Cr-₹5 Cr
-₹94 Cr₹18 Cr₹17 Cr₹7 Cr
-₹111 Cr₹12 Cr₹13 Cr₹6 Cr
-₹50 Cr-₹2 Cr-₹1 Cr₹12 Cr
₹162 Cr-₹12 Cr-₹5 Cr-₹18 Cr
₹2 Cr-₹2 Cr₹7 Cr₹6 L
₹51 L₹7 Cr₹21 L₹14 L
₹2 Cr₹5 Cr₹7 Cr₹21 L

Fundamental Ratios

Consolidated
Standalone
Empty box

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Share Price Live Stats

Open (₹)178.75
Volume (₹)1.10 L
High (₹)181.11
Upper Circuit214.65
Low (₹)178.00
Lower Circuit143.11
Prev Close178.88
52W High (₹)249.30
Price179.75
52W Low (₹)130.00

Share Market Cap & Key Ratios Overview

M.Cap (₹)1665.45 Cr
Div. Yield (%)0.00
PE Ratio12.24
Debt to Equity0.00
Price to Book2.91
Book Value35.66
EPS (TTM)14.62
Face Value5.00
ROE (%)24.03

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Peer Stocks

1 week
1 month
1 year
Name
DLFNSE
LODHANSE
PHOENIXLTDNSE
PRESTIGENSE
OBEROIRLTYNSE
GODREJPROPNSE
BRIGADENSE
ANANTRAJNSE
ABRELNSE
SOBHANSE
GARUDANSE
LTP
1W Low
1W High
Market cap (₹)
688.15+8.35 (1.23%)
651.30
691.05
1,68,569Cr
1224.6-49.4 (-3.88%)
1166.40
1260
1,21,965Cr
1952.5+35.5 (1.85%)
1867.70
1971
70,105Cr
1634.6+46.6 (2.93%)
1521.80
1646.60
69,994Cr
1921.3+51.3 (2.74%)
1828.90
1932.80
69,252Cr
2006-23.1 (-1.14%)
1908.90
2056.70
59,842Cr
712.5+70.25 (10.94%)
622.60
735
23,261Cr
628+21.85 (3.60%)
571.35
646.40
22,618Cr
1379.1-7.9 (-0.57%)
1318.70
1400.90
15,370Cr
1263.1-7.1 (-0.56%)
1221
1278.80
13,420Cr
179.75+4.55 (2.60%)
171.10
181.22
1,665Cr

Garuda Construction & Engineering Ltd Annual Results Key Takeaways

Operating profit (before other income, interest and exceptional items) was ₹56.38Cr; with other income of ₹24.7Lakh, profit before interest and tax came to ₹56.28Cr. Interest expense was ₹53.4Lakh; PBT before exceptional items stood at ₹55.75Cr. Cost mix (full year): raw materials ₹42.84Cr; employee cost ₹3.46Cr; depreciation ₹10.1Lakh; other expenses ₹119.24Cr. Basis: consolidated annual results.

Garuda Construction & Engineering Ltd Quaterly Results Key Takeaways

Garuda Construction & Engineering Ltd reported ₹175.38Cr total income from operations in Jun 2026, softer than ₹149.05Cr in Mar 2026 but higher than ₹125.16Cr in Jun 2025. Operating profit (before other income, interest and exceptional items) was ₹56.38Cr; with other income of ₹24.7Lakh, profit before interest and tax came to ₹56.28Cr. Interest expense was ₹53.4Lakh, taking profit before tax to ₹55.75Cr. After tax of ₹14.22Cr, profit after tax stood at ₹41.53Cr (vs ₹34.39Cr in Mar 2026 and ₹27.99Cr in Jun 2025).