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Pace Digitek Results

Financial overview

CAGR%
Sales
Profits
Returns
ROE
10Y5Y3YTTM
--74%8%
--175%10%
----
23%23%35%18%

Peer Comparison

Symbol
HFCL-BE
PACEDIGITK
STLNETWORK
GTLINFRA
SUYOG
SARTELE-SM
KDL-SM
PriceM.Cap (₹)PE RatioEPS (₹)EV/EBITDAAnnual PAT
222.01₹35732 Cr62.41.494.89₹312 Cr
153.6₹3412 Cr11.362.8414.58₹298 Cr
37.2₹1784 Cr-0.45-1.3-₹99 Cr
1.13₹1499 Cr1.390.051.02₹779 Cr
659₹760 Cr12.6112.37106.53₹63 Cr
77.15₹401 Cr5.583.3317.98₹72 Cr
88.75₹112 Cr3.048.9536.4₹37 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
₹555 Cr₹1097 Cr₹644 Cr₹533 Cr₹367 Cr₹683 Cr₹567 Cr₹846 Cr₹342 Cr
₹28 Cr₹20 Cr₹10 Cr₹10 Cr₹6 Cr₹7 Cr₹7 L₹11 L₹16 Cr
₹584 Cr₹1117 Cr₹654 Cr₹544 Cr₹373 Cr₹691 Cr₹567 Cr₹846 Cr₹358 Cr
₹474 Cr₹937 Cr₹531 Cr₹441 Cr₹289 Cr₹609 Cr₹447 Cr₹661 Cr₹247 Cr
₹114 Cr₹183 Cr₹128 Cr₹104 Cr₹86 Cr₹84 Cr₹121 Cr₹187 Cr₹113 Cr
₹28 Cr₹34 Cr₹9 Cr₹7 Cr₹10 Cr₹7 Cr₹22 Cr₹41 Cr₹45 Cr
₹82 Cr₹146 Cr₹114 Cr₹96 Cr₹74 Cr₹75 Cr₹98 Cr₹145 Cr₹66 Cr
₹63 Cr₹106 Cr₹79 Cr₹68 Cr₹55 Cr₹56 Cr₹71 Cr₹102 Cr₹50 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
Contingent 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
Other Non Current Assets
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 2026Mar 2025Mar 2024Mar 2023Mar 2022
₹43 Cr₹36 Cr₹5 Cr₹5 Cr₹5 Cr
₹2164 Cr₹1134 Cr₹535 Cr₹313 Cr₹299 Cr
₹2164 Cr₹1134 Cr₹535 Cr₹313 Cr₹299 Cr
₹2207 Cr₹1170 Cr₹540 Cr₹318 Cr₹304 Cr
₹45 Cr₹39 Cr₹28 Cr₹17 Cr₹15 Cr
₹607 Cr₹24 Cr₹25 Cr₹38 Cr₹50 Cr
-₹14 Cr-₹23 Cr-₹6 Cr-₹6 Cr-₹5 Cr
₹52 Cr₹63 L₹1 Cr₹97 L₹80 L
₹54 Cr₹65 Cr₹31 Cr₹7 Cr₹6 Cr
₹699 Cr₹67 Cr₹52 Cr₹39 Cr₹51 Cr
₹1792 Cr₹1015 Cr₹1002 Cr₹214 Cr₹227 Cr
₹154 Cr₹102 Cr₹112 Cr₹98 Cr₹33 Cr
₹316 Cr₹116 Cr₹455 Cr₹143 Cr₹76 Cr
₹121 Cr₹134 Cr₹60 Cr₹3 Cr₹3 Cr
₹2383 Cr₹1367 Cr₹1629 Cr₹459 Cr₹338 Cr
₹5334 Cr₹2643 Cr₹2248 Cr₹834 Cr₹708 Cr
₹133 Cr₹136 Cr₹1007 Cr₹166 Cr₹148 Cr
₹961 Cr₹161 Cr₹493 Cr₹192 Cr₹133 Cr
₹227 Cr₹154 Cr₹147 Cr₹142 Cr₹150 Cr
₹19 Cr₹9 Cr₹10 Cr₹5 Cr₹10 Cr
₹208 Cr₹145 Cr₹137 Cr₹137 Cr₹140 Cr
₹38 Cr₹32 Cr₹10 Cr₹9 Cr₹5 Cr
₹0₹0₹0₹5 L₹5 L
₹0₹0₹0₹5 L₹5 L
₹1001 Cr₹360 Cr₹11 Cr₹9 Cr₹7 Cr
₹86 Cr₹104 Cr₹55 Cr₹10 Cr₹6 Cr
₹1335 Cr₹643 Cr₹215 Cr₹167 Cr₹161 Cr
₹540 Cr₹113 Cr₹272 Cr₹60 Cr₹45 Cr
₹2067 Cr₹1271 Cr₹1076 Cr₹394 Cr₹335 Cr
₹769 Cr₹216 Cr₹494 Cr₹124 Cr₹125 Cr
₹3 Cr₹2 Cr₹38 Cr₹30 Cr₹6 Cr
₹621 Cr₹397 Cr₹152 Cr₹59 Cr₹36 Cr
₹3999 Cr₹2000 Cr₹2033 Cr₹667 Cr₹547 Cr
₹1616 Cr₹633 Cr₹404 Cr₹207 Cr₹209 Cr
₹5334 Cr₹2643 Cr₹2248 Cr₹834 Cr₹708 Cr
₹102₹66₹1,079₹637₹608
₹102₹66₹36₹21₹20

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 2026Mar 2025Mar 2024Mar 2023Mar 2022
₹430 Cr₹384 Cr₹307 Cr₹22 Cr₹16 Cr
₹65 Cr₹178 Cr₹141 Cr₹15 Cr₹26 Cr
-₹1173 Cr-₹647 Cr-₹212 Cr-₹73 Cr₹21 Cr
-₹678 Cr-₹85 Cr₹236 Cr-₹36 Cr₹62 Cr
-₹842 Cr-₹176 Cr₹214 Cr-₹44 Cr₹57 Cr
-₹413 Cr₹244 Cr-₹318 Cr-₹55 Cr-₹22 Cr
₹1446 Cr-₹85 Cr₹189 Cr₹47 Cr₹13 Cr
₹192 Cr-₹17 Cr₹85 Cr-₹51 Cr₹48 Cr
₹78 Cr₹96 Cr₹10 Cr₹62 Cr₹14 Cr
₹270 Cr₹78 Cr₹96 Cr₹10 Cr₹62 Cr

Fundamental Ratios

Consolidated
Standalone
Empty box

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Share Price Live Stats

Open (₹)159.51
Volume (₹)2.78 L
High (₹)161.97
Upper Circuit189.99
Low (₹)154.30
Lower Circuit126.67
Prev Close158.33
52W High (₹)231.95
Price154.61
52W Low (₹)139.81

Share Market Cap & Key Ratios Overview

M.Cap (₹)3411.53 Cr
Div. Yield (%)0.00
PE Ratio11.36
Debt to Equity0.44
Price to Book1.38
Book Value102.26
EPS (TTM)13.92
Face Value2.00
ROE (%)18.20

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Peer Stocks

1 week
1 month
1 year
Name
HFCL-BENSE
PACEDIGITKNSE
STLNETWORKNSE
GTLINFRANSE
SUYOGNSE
SARTELE-SMNSE
KDL-SMNSE
LTP
1W Low
1W High
Market cap (₹)
222.01-11.31 (-4.85%)
222.01
237.30
35,732Cr
154.61-4.39 (-2.76%)
154.30
161.97
3,412Cr
37.49+2.63 (7.54%)
35.37
38.43
1,784Cr
1.15-0.01 (-0.86%)
1.14
1.17
1,499Cr
658-11.4 (-1.70%)
645
679.60
760Cr
80.05-3.45 (-4.13%)
79.05
85.50
401Cr
88.5+1.9 (2.19%)
87.70
95.25
112Cr

Pace Digitek Ltd Annual Results Key Takeaways

Operating profit (before other income, interest and exceptional items) was ₹114.41Cr; with other income of ₹28.34Cr, profit before interest and tax came to ₹109.97Cr. Interest expense was ₹28.34Cr; PBT before exceptional items stood at ₹81.63Cr. Cost mix (full year): raw materials ₹722.77Cr; employee cost ₹66.71Cr; depreciation ₹4.44Cr; other expenses ₹469.3Cr. Basis: consolidated annual results.

Pace Digitek Ltd Quaterly Results Key Takeaways

Pace Digitek Ltd reported ₹555.36Cr total income from operations in Jun 2026, softer than ₹1096.78Cr in Mar 2026 but higher than ₹367.08Cr in Jun 2025. Operating profit (before other income, interest and exceptional items) was ₹114.41Cr; with other income of ₹28.34Cr, profit before interest and tax came to ₹109.97Cr. Interest expense was ₹28.34Cr, taking profit before tax to ₹81.63Cr. After tax of ₹19.12Cr, profit after tax stood at ₹62.51Cr (vs ₹105.92Cr in Mar 2026 and ₹54.7Cr in Jun 2025).