Showing 2 of 10 years of data. Sign up free for 3 years, or upgrade for full access.
View Plans2-year trend showing gross, operating, and net profit margins
Greaves Cotton Ltd.'s net profit margin of 2.0% in FY2025 reflects weak profitability, with operating margin at 1.1% and gross margin at 31.9%.
In FY 2025, Greaves Cotton Ltd. posted a gross margin of 31.9%, an operating margin of 1.1%, a net margin of 2.0%. Gross Margin = (Revenue - COGS) / Revenue; Operating Margin = EBIT / Revenue; Net Margin = Net Income / Revenue. Typical healthy ranges: Gross 20-40%, Operating 10-20%, Net 5-10%+. Consistent or improving margins indicate strong competitive positioning.
2-year trend showing revenue, gross profit, and net profit
Greaves Cotton Ltd.'s revenue grew 10.8% to 29.18B and net profit grew 143.2% to 584.00M YoY in FY2025, indicating healthy business momentum.
In FY 2025, Greaves Cotton Ltd.'s revenue grew by 10.8% year-over-year. Revenue is total income from operations. Gross Profit is revenue minus cost of goods. Net Profit is the bottom line after all expenses. Consistent growth across all three signals a healthy, expanding business.
2-year trend showing shareholder returns
Greaves Cotton Ltd.'s ROE of 3.7% in FY2025 indicates weak shareholder returns.
In FY 2025, Greaves Cotton Ltd. reported an ROE of 3.7%. ROE = (Net Income / Shareholders' Equity) x 100. Measures how efficiently the company turns equity into profit. Above 15% is generally strong; above 25% is excellent. Very high ROE may signal high leverage — check alongside debt levels.
2-year trend comparing profitability with cash generation
Greaves Cotton Ltd.'s FCF/NI ratio of -1.11x in FY2025 indicates weak cash generation raising concerns about earnings quality.
In FY 2025, Greaves Cotton Ltd.'s free cash flow trailed net income. Free Cash Flow = Operating Cash Flow - Capital Expenditure. When FCF exceeds net income, it suggests high-quality, cash-backed earnings. Persistent gaps may indicate aggressive accounting or heavy capex needs.
2-year trend comparing profitability with cash from operations
Greaves Cotton Ltd.'s OCF/NI ratio of -0.39x in FY2025 indicates weak cash conversion raising concerns about earnings quality.
In FY 2025, Greaves Cotton Ltd.'s operating cash flow trailed net income. Operating Cash Flow is the actual cash from core operations. OCF exceeding net income signals strong cash collection. OCF trailing net income may indicate aggressive revenue recognition or working capital issues.
Measure a company's financial leverage, liquidity, and ability to meet financial obligations.
2-year trend showing short-term liquidity position
Greaves Cotton Ltd.'s current ratio of 1.69x in FY2025 indicates healthy short-term liquidity.
In FY 2025, Greaves Cotton Ltd. reported a current ratio of 1.69. Current Ratio = Current Assets / Current Liabilities. Measures short-term liquidity. A ratio of 1.5-3.0 is generally healthy; below 1.0 signals liquidity risk; above 3.0 may indicate underutilized assets.
2-year trend showing ability to service debt
Greaves Cotton Ltd.'s interest coverage ratio of 2.0x in FY2025 indicates acceptable but limited debt servicing headroom.
In FY 2025, Greaves Cotton Ltd. reported an interest coverage ratio of 2.0x. Interest Coverage = EBIT / Interest Expense. Shows how many times operating profit covers interest payments. Above 5x is comfortable; below 1.5x signals potential difficulty servicing debt.
2-year trend showing financial leverage and capital structure
Greaves Cotton Ltd.'s debt-to-equity ratio of 0.05x in FY2025 reflects a conservative, low-leverage capital structure.
In FY 2025, Greaves Cotton Ltd. reported a debt-to-equity ratio of 0.05. Debt-to-Equity = Total Debt / Total Equity. Below 1.0 is conservative; 1.0-2.0 is moderate; above 2.0 indicates higher financial risk. Capital-intensive industries naturally carry higher ratios.
2-year trend showing total debt with year-over-year changes
Greaves Cotton Ltd.'s debt increased 0.6% YoY in FY2025 — debt levels are increasing.
In FY 2025, Greaves Cotton Ltd.'s total debt increased by 0.6% year-over-year. Total Debt includes short-term debt, long-term loans, debentures, and capital leases. YoY changes (shown as percentages) reveal whether the company is leveraging up or deleveraging.
Year-over-year change in diluted shares outstanding
Greaves Cotton Ltd.'s diluted shares increased 0.7% YoY in FY2025 — share dilution.
Over 2 years (FY2024–FY2025), diluted shares increased 0.7% from 232.02M to 233.57M, indicating cumulative dilution.
In FY 2025, Greaves Cotton Ltd.'s diluted shares increased by 0.7% year-over-year. Diluted Shares accounts for stock options, warrants, and convertibles. Positive YoY change means dilution (red); negative means buybacks (green). Consistent dilution above 5% annually is a red flag.
You're viewing 2 years of data. Upgrade to access 10 years of financial ratios, margins, and performance metrics.
Data from audited consolidated filings. For educational purposes only — not investment advice. Last update: FY 2025