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Patil Automation Ltd

๐Ÿ“กAI Radar๐Ÿ“Š Stock Analysis
OverviewNewsโœจAnalysisPeersBalance SheetCash FlowInvestors
Financial Health
Debt/Equity0.15
Total Assetsโ‚น221.647 Cr.
Promoter Holding69.29 %
Valuation
Industry P/E27.22

About Patil Automation Ltd

Capital Goods ยท Engineering

Patil Automation Ltd is listed on NSE in the Capital Goods / Engineering sector.

Strengths & Weaknesses

Strengths

  • The company maintains a low debt-to-equity ratio of 0.15, indicating a conservative capital structure and lower financial risk.
  • Promoter holding stands at 69.29%, suggesting strong management control and alignment of interests with shareholders.

Weaknesses

    Peer Comparison

    NameCMPP/EMarket CapDiv YieldNP QtrQtr Profit Var%Sales QtrQtr Sales Var%ROCE%Debt/Eq
    LMW Ltd-103.73โ‚น18,130.28 Cr0.21%โ‚น174.79 Cr-โ‚น3,374 Cr-8.18%0
    Skipper Ltd-26.92โ‚น6,542.37 Cr0.02%โ‚น224.69 Cr-โ‚น5,608.79 Cr-26.81%0.59
    Lohia Corp Ltd--โ‚น6,015.71 Cr------0.29
    Tempsens Instruments (India) Ltd--โ‚น4,282.1 Cr------0.16
    Uniparts India Ltd-20.96โ‚น3,782.54 Cr0.84%โ‚น180.47 Cr-โ‚น1,244.14 Cr-25.69%0.11
    Sealmatic India Ltd--โ‚น439.83 Cr0.27%-----0.08
    TAAL Tech Ltd-5.34โ‚น333.59 Cr3.27%โ‚น62.44 Cr-โ‚น216.47 Cr-33.02%0
    Affordable Robotic & Automation Ltd-31.9โ‚น204.91 Cr-โ‚น5.86 Cr-โ‚น111.64 Cr-8.58%0.55
    G V Electricals Ltd--โ‚น146.74 Cr------0.49
    Duncan Engineering Ltd-27.52โ‚น125.31 Cr-โ‚น4.55 Cr-โ‚น84.82 Cr-12.1%0.57
    Misquita Engineering Ltd--โ‚น25.89 Cr------0.12
    Mewar Hi-Tech Engineering Ltd--โ‚น22.54 Cr------1.86
    Thejo Engineering Ltd----โ‚น54.32 Cr-โ‚น674.14 Cr-26.41%0.01
    ICE Make Refrigeration Ltd----โ‚น11.94 Cr-โ‚น735.58 Cr-10.42%1.13
    Readymix Construction Machinery Ltd---------0.06
    Patil Automation Ltd---------0.15
    Envirotech Systems Ltd---------0.13
    Megatherm Induction Ltd---------0.23
    Ishan International Ltd---------0.2
    Marshall Machines Ltd----โ‚น-5.83 Cr-โ‚น26.44 Cr--4.3%0.51

    Balance Sheet

    Mar 2026
    Equity Capital21.8208
    Reserves116.7115
    Borrowings20.62
    Other Liabilities62.49
    Total Liabilities221.6471
    Fixed Assets59.5984
    CWIP0
    Investments0.05
    Other Assets162
    Total Assets221.6471

    Cash Flows

    Mar 2026
    Cash from Operating Activity-0.6241
    Cash from Investing Activity-64.969
    Cash from Financing Activity59.0929
    Net Cash Flow-6.5002

    Shareholding Pattern

    Jun 2025Sep 2025Mar 2026
    Promoters %69.29%69.29%69.29%
    FIIs %2.93%2.42%1.73%
    DIIs %0%0%7.35%
    Public %13.05%14.7%14.88%
    No. of Shareholders2,2059321,102

    ยฉ 2026 StockFin.ai is not a SEBI-registered advisor. For informational purposes only.

    Data provided by CMOTS Internet Technologies Pvt Ltd

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