Ingersoll Rand (India) Limited
Industrials›Capital Goods›Industrial Products›Compressors, Pumps & Diesel Engines
Key metrics
Price as of 2026-07-17
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Share price
NSE closing price from historical market data.
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Statement tables · Consolidated
Switches quarterly, P&L, balance sheet, and cash flow. Key metrics and ratios stay on consolidated when available.
Amounts in ₹ Cr · NSE preferred when both exchanges report the same period · tap + to expand rows
Quarterly results
Quarterly · ₹ Cr · tap + rows to expand
| Metric | Mar 2025 | Jun 2025 |
|---|---|---|
| Sales | 322 Cr | 315 Cr |
| Operating expenses (approx.) | 227 Cr | 232 Cr |
| EBITDA | 95 Cr | 84 Cr |
| OPM % | 29.5% | 26.6% |
| Other income | 12 Cr | 10 Cr |
| Interest | 0.72 Cr | 0.44 Cr |
| Depreciation | 4 Cr | 4 Cr |
| Profit before tax | 90 Cr | 80 Cr |
| Tax % | 25.0% | 25.9% |
| Net profit | 68 Cr | 59 Cr |
| EPS (₹) | ₹21.43 | ₹18.68 |
Profit & loss (annual)
Annual · last column is TTM · ₹ Cr · tap + to expand
| Metric | Mar 2025 | TTM |
|---|---|---|
| Sales | 1,336 Cr | Sign in for TTM |
| Operating expenses (approx.) | 958 Cr | Sign in for TTM |
| EBITDA | 379 Cr | Sign in for TTM |
| OPM % | 28.3% | Sign in for TTM |
| Other income | 38 Cr | Sign in for TTM |
| Interest | 1 Cr | Sign in for TTM |
| Depreciation | 17 Cr | Sign in for TTM |
| Profit before tax | 360 Cr | Sign in for TTM |
| Tax % | 25.8% | Sign in for TTM |
| Net profit | 268 Cr | Sign in for TTM |
| EPS (₹) | ₹84.75 | Sign in for TTM |
| Dividend payout % | 88.5% | Sign in for TTM |
Trailing twelve months totals and margin rows
Balance sheet
Annual · ₹ Cr · tap + rows to expand
| Metric | Mar 2025 |
|---|---|
| Equity capital | 32 Cr |
| Reserves | 578 Cr |
| Borrowings | — |
| Other liabilities | 322 Cr |
| Total liabilities | 932 Cr |
| Fixed assets (net) | 92 Cr |
| CWIP | 50 Cr |
| Investments | 0.0000 Cr |
| Other assets | 706 Cr |
| Total assets | 932 Cr |
Cash flows
Annual · ₹ Cr · tap + rows to expand · last column includes FCF
| Metric | Mar 2025 |
|---|---|
| Cash from operating activity | 265 Cr |
| Cash from investing | -38 Cr |
| Cash from financing | -240 Cr |
| Net cash flow | -12 Cr |
| Free cash flow (OCF − Capex) | 216 Cr |
Ratios
Ratios as reported or derived per annual period.
| Metric | Mar 2025 |
|---|---|
| ROCE % | 59.4% |
| ROE % | 43.9% |
| Debtor days | — |
| Inventory days | 88 |
| Days payable | — |
| Cash conversion cycle | 88 |
| Debt / equity | — |
| Current ratio | 2.30 |
| Net debt / EBITDA | -0.55 |
Compare with peers
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