Craftsman Automation manufactures auto components within consumer discretionary. Market cap ₹26,857.62 Cr; recent quarters show operating margins of 15–19% and net profits of ₹47–150 Cr. Consistent annual dividends paid since 2022 indicate cash-generation capacity.
Face value
₹5
Market cap
₹26,897 Cr
P/E
57.9×
P/B
7.5×
Dividend yield
0.1%
ROE
12.5%
ROCE
16.1%
Debt / equity
1.02
OPM
15.3%
EPS (TTM)
₹194.9
Book value
₹1,368.0
52-week high
₹11,851.0
52-week low
Key insights
Company research notes and source-linked reviews
Key risks
PE of 57.77 embeds significant growth expectations; verify if earnings growth materializes or valuation will reset
Debt-to-equity of 1.02 limits financial flexibility; verify cash-flow stress scenarios if automotive cycle weakens
Quarterly results show volatility (EPS ₹19.79–62.25; net profit ₹47–150 Cr), suggesting seasonal patterns or operational inconsistency; clarify earnings predictability
Promoter shareholding declined 6.3% in three months (48.7% to 42.41%); verify dilution plans and capital-structure impact
Generated analysis · source review pending
Growth drivers
Quarterly EPS trended upward from ₹19.79 (Sep 2025) to ₹38.84 (Jun 2026); verify if growth sustained and driven by volume, pricing, or cost control
Operating margins sustained at 15–19% (OPM 15.08–18.66%) despite revenue variance, indicating cost discipline; verify if protective of profitability with scale
Stock price up 60.2% over one year (52-week range ₹6,424–₹10,555) suggests market confidence in growth; verify if underpinned by earnings momentum or sentiment
Auto components sector participation; verify if OEM capacity expansion and EV adoption will drive addressable-market growth for Craftsman
Generated analysis · source review pending
₹10,266.0+51.4%1Y
Beta
1.05
Moves with the index
Volatility (1y)
36%
Annualised, daily returns
RSI (14)
20
Oversold territory
Rel. strength (1y)
43.1%
Ahead of the market
Beta is measured against NIFTY 50 over three years of weekly returns — 1 moves with the index, above 1 amplifies it, below 1 damps it.
Quick read
rule-based
Pros
+Profit CAGR of 30.3% over the last 5 years
+Revenue CAGR of 38.9% over the last 5 years
+Outperformed the universe by 43.1% over 1 year
Cons
−Low dividend payout of 6.3% of profit
−Promoter holding fell 6.3 pts over the last year
Research score
Structured signal from quality, growth, valuation and momentum.
57/100
Business quality
33
Growth
88
Valuation
Revenue & net profit
₹ crore, by fiscal year
RevenuePAT
Margins
% of revenue, by fiscal year
OPMPAT margin
Peers
Comparable companies from the narrowest available industry classification.
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Financials
Reported profit and loss, balance sheet, cash flow and growth history.
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Ratios
Annual operating, return, leverage and working-capital ratios.
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Shareholding
Quarterly ownership, named holders, insider transactions and disclosed deals.
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F&O
Current futures and options contracts with compact option-chain pages.
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Fund holders
Mutual-fund schemes that disclosed a holding in the company.
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Documents
Annual reports, exchange filings, offer documents, ratings and earnings-call material.
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Events
Upcoming dates and the company’s corporate-action history.
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Announcements
Latest exchange announcements, filings and downloadable documents.
Documents link to external sources (exchange filings, company investor pages).
EBITDA margin %
28.1%
24.1%
21.5%
19.7%
14.6%
15.3%
EBIT margin %
15.8%
14.8%
14.5%
13.5%
8.5%
9.8%
PAT margin %
6.2%
7.4%
7.9%
7.6%
3.5%
4.8%
Working capital
Receivable days
56
49
61
47
59
50
Inventory days
222
221
187
160
157
145
Payable days
193
163
159
123
157
121
NWC days
85
107
89
84
59
74
Leverage
Current ratio
0.99
1.05
1.2
1.16
1.07
1.07
Debt to EBITDA
1.61
1.34
1.69
1.76
2.47
2.7
Debt to equity
0.73
0.63
0.84
0.93
0.72
1.02
Interest coverage
2.4
4
3.9
3.5
2.4
2.8
Asset turnover
0.66
0.83
0.84
0.95
0.8
0.9
Return ratios
Return on assets %
4.1%
6.1%
6.6%
7.2%
2.8%
4.3%
Return on capital employed %
16.3%
20.6%
22.3%
21.5%
12.9%
16.1%
Return on equity %
10%
14.4%
18.2%
20.3%
7%
11.8%
Derived from reported annual statements. ROCE uses EBIT over capital employed (total assets less current liabilities). Day counts average the opening and closing balance; receivables turn on revenue, inventory and payables on cost of goods sold.
Promoter holding down 12.58 percentage points since Sep 2023.
Bulk deals are a client trading over 0.5% of the equity in a session, aggregated across their trades; block deals are single negotiated trades in the exchange’s block window. Each is reported by the exchange it was crossed on, so NSE and BSE rows are separate trades rather than the same trade twice.
Mr. Srinivasan RaviExecutive Director-Chairperson-MD
Mr. Ravi GauthamramExecutive Director
Mr. Sundararaman KalyanaramanNon-Executive - Independent Director
Mrs. Vijaya SampathNon-Executive - Independent Director
Mr. Tamraparni Srinivasan Venkata RajagopalNon-Executive - Independent Director
Mrs. Rajeswari KarthigeyanNon-Executive - Independent Director
Shainshad AduvanniCompany Secretary and Compliance Officer
Current officeholders as filed with BSE. A person holding two offices is listed once per office.
Statement Of Deviation Or Variation In Utilization Of Funds Raised Through Qualified Institutions Placement (QIP) - Regulation 32 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations, 2015;
Reg. 32 (1), (3) - Statement of Deviation & Variation PDF
29 Jul 2026, 12:55 pmCompany Update
Intimation Under Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015 - Setting Up Of New Plant
Board Meeting Outcome for Outcome Of The Board Meeting Held On 29Th July, 2026, Pursuant To Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015;
Outcome Of The Board Meeting Held On 29Th July, 2026, Pursuant To Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015
Reg. 32 (1), (3) - Statement of Deviation & Variation
Statement Of Deviation Or Variation In Utilization Of Funds Raised Through Qualified Institutions Placement (QIP) - Regulation 32 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations, 2015;
Intimation Under Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015 - Setting Up Of New Plant
Board Meeting Outcome for Outcome Of The Board Meeting Held On 29Th July, 2026, Pursuant To Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015;
Outcome Of The Board Meeting Held On 29Th July, 2026, Pursuant To Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements), Regulations, 2015
As reported in NSE results XBRL. Segment result is before tax and finance costs. ROCE uses that annual result divided by segment assets less liabilities.