Godrej Industries shares gained 2.04% to trade at Rs 1,118.00 on Wednesday's session. The stock is among the top gainers on Nifty Midcap 150 index.
On August 6, 2025, Godrej Industries Ltd informed BSE about a board meeting scheduled for August 13, 2025, to consider and approve the unaudited financial results (standalone and consolidated) for the quarter ended June 30, 2025, following a review by the Audit Committee.
Godrej Industries Financials
Here is a summary of Godrej Industries' recent financial performance:
Consolidated Quarterly Results
The following table presents the consolidated quarterly results for Godrej Industries:
Heading
Mar 2024
Jun 2024
Sep 2024
Dec 2024
Mar 2025
Revenue
Rs 4,567.27 Crore
Rs 4,247.93 Crore
Rs 4,804.96 Crore
Rs 4,824.83 Crore
Rs 5,779.69 Crore
Net Profit
Rs 376.79 Crore
Rs 580.15 Crore
Rs 363.35 Crore
Rs 198.73 Crore
Rs 341.40 Crore
EPS
-9.26
9.58
8.54
5.59
5.44
The revenue for the quarter ending March 2025 was Rs 5,779.69 Crore, compared to Rs 4,567.27 Crore in March 2024. The net profit for the quarter ending March 2025 stood at Rs 341.40 Crore, while the EPS was Rs 5.44.
Consolidated Yearly Results
The following table presents the consolidated yearly results for Godrej Industries:
Heading
2021
2022
2023
2024
2025
Revenue
Rs 9,333.51 Crore
Rs 14,130.15 Crore
Rs 16,740.25 Crore
Rs 16,600.62 Crore
Rs 19,657.41 Crore
Net Profit
Rs 37.19 Crore
Rs 707.48 Crore
Rs 1,025.17 Crore
Rs 648.44 Crore
Rs 1,483.62 Crore
EPS
9.94
19.42
28.96
1.78
29.14
BVPS
397.22
388.62
424.86
449.04
301.41
ROE
4.42
9.17
12.20
0.74
9.66
Debt to Equity
1.29
2.03
2.44
3.60
3.73
The annual revenue for 2025 was Rs 19,657.41 Crore, compared to Rs 16,600.62 Crore in 2024. The net profit for 2025 was Rs 1,483.62 Crore, and the EPS was Rs 29.14.
Income Statement - Yearly
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Sales
Rs 19,657 Crore
Rs 16,600 Crore
Rs 16,740 Crore
Rs 14,130 Crore
Rs 9,333 Crore
Other Income
Rs 2,266 Crore
Rs 1,496 Crore
Rs 1,022 Crore
Rs 934 Crore
Rs 661 Crore
Total Income
Rs 21,924 Crore
Rs 18,096 Crore
Rs 17,762 Crore
Rs 15,064 Crore
Rs 9,994 Crore
Total Expenditure
Rs 17,988 Crore
Rs 15,726 Crore
Rs 15,534 Crore
Rs 13,444 Crore
Rs 9,262 Crore
EBIT
Rs 3,935 Crore
Rs 2,370 Crore
Rs 2,227 Crore
Rs 1,620 Crore
Rs 732 Crore
Interest
Rs 1,956 Crore
Rs 1,352 Crore
Rs 942 Crore
Rs 623 Crore
Rs 468 Crore
Tax
Rs 494 Crore
Rs 369 Crore
Rs 259 Crore
Rs 289 Crore
Rs 226 Crore
Net Profit
Rs 1,483 Crore
Rs 648 Crore
Rs 1,025 Crore
Rs 707 Crore
Rs 37 Crore
Sales increased from Rs 16,600 Crore in March 2024 to Rs 19,657 Crore in March 2025. Net profit increased from Rs 648 Crore in March 2024 to Rs 1,483 Crore in March 2025.
Income Statement - Quarterly
Mar 2025
Dec 2024
Sep 2024
Jun 2024
Mar 2024
Sales
Rs 5,779 Crore
Rs 4,824 Crore
Rs 4,804 Crore
Rs 4,247 Crore
Rs 4,567 Crore
Other Income
Rs 619 Crore
Rs 322 Crore
Rs 313 Crore
Rs 1,011 Crore
Rs 535 Crore
Total Income
Rs 6,399 Crore
Rs 5,146 Crore
Rs 5,118 Crore
Rs 5,259 Crore
Rs 5,102 Crore
Total Expenditure
Rs 5,296 Crore
Rs 4,338 Crore
Rs 4,338 Crore
Rs 4,014 Crore
Rs 4,209 Crore
EBIT
Rs 1,102 Crore
Rs 807 Crore
Rs 780 Crore
Rs 1,244 Crore
Rs 893 Crore
Interest
Rs 542 Crore
Rs 504 Crore
Rs 476 Crore
Rs 432 Crore
Rs 369 Crore
Tax
Rs 219 Crore
Rs 104 Crore
Rs -60 Crore
Rs 231 Crore
Rs 147 Crore
Net Profit
Rs 341 Crore
Rs 198 Crore
Rs 363 Crore
Rs 580 Crore
Rs 376 Crore
Sales increased from Rs 4,567 Crore in March 2024 to Rs 5,779 Crore in March 2025. Net profit decreased from Rs 376 Crore in March 2024 to Rs 341 Crore in March 2025.
Cash Flow
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Operating Activities
Rs -5,150 Crore
Rs -4,284 Crore
Rs -4,409 Crore
Rs -1,756 Crore
Rs -663 Crore
Investing Activities
Rs -4,596 Crore
Rs -2,752 Crore
Rs 1,775 Crore
Rs 42 Crore
Rs -5,160 Crore
Financing Activities
Rs 10,688 Crore
Rs 7,218 Crore
Rs 3,534 Crore
Rs 1,915 Crore
Rs 5,772 Crore
Others
Rs 34 Crore
Rs 105 Crore
Rs 76 Crore
Rs 3 Crore
Rs 4 Crore
Net Cash Flow
Rs 976 Crore
Rs 288 Crore
Rs 976 Crore
Rs 206 Crore
Rs -47 Crore
Balance Sheet
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Share Capital
Rs 33 Crore
Rs 33 Crore
Rs 33 Crore
Rs 33 Crore
Rs 33 Crore
Reserves & Surplus
Rs 10,117 Crore
Rs 7,955 Crore
Rs 7,940 Crore
Rs 7,092 Crore
Rs 7,511 Crore
Current Liabilities
Rs 46,999 Crore
Rs 34,385 Crore
Rs 22,134 Crore
Rs 15,075 Crore
Rs 12,044 Crore
Other Liabilities
Rs 30,792 Crore
Rs 19,173 Crore
Rs 13,865 Crore
Rs 11,845 Crore
Rs 9,415 Crore
Total Liabilities
Rs 87,943 Crore
Rs 61,548 Crore
Rs 43,975 Crore
Rs 34,047 Crore
Rs 29,005 Crore
Fixed Assets
Rs 6,218 Crore
Rs 5,854 Crore
Rs 5,237 Crore
Rs 4,558 Crore
Rs 4,297 Crore
Current Assets
Rs 59,640 Crore
Rs 39,384 Crore
Rs 26,099 Crore
Rs 20,394 Crore
Rs 17,617 Crore
Other Assets
Rs 22,085 Crore
Rs 16,308 Crore
Rs 12,637 Crore
Rs 9,094 Crore
Rs 7,089 Crore
Total Assets
Rs 87,943 Crore
Rs 61,548 Crore
Rs 43,975 Crore
Rs 34,047 Crore
Rs 29,005 Crore
Contingent Liabilities
Rs 7,358 Crore
Rs 5,845 Crore
Rs 4,779 Crore
Rs 3,645 Crore
Rs 1,696 Crore
Ratios
Mar 2025
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Basic EPS (Rs.)
29.14
1.78
28.96
19.42
9.94
Diluted Eps (Rs.)
29.14
1.78
28.95
19.42
9.94
Book Value [Excl. Reval Reserve]/Share (Rs.)
301.41
449.04
424.86
388.62
397.22
Dividend/Share (Rs.)
0.00
0.00
0.00
0.00
0.00
Face Value
1
1
1
1
1
Gross Profit Margin (%)
22.20
16.51
15.12
13.99
10.44
Operating Margin (%)
20.02
14.27
13.30
12.06
7.84
Net Profit Margin (%)
7.54
3.90
6.12
5.00
0.41
Return on Networth / Equity (%)
9.66
0.74
12.20
9.17
4.42
ROCE (%)
9.61
8.72
10.20
8.98
4.31
Return On Assets (%)
1.11
0.09
2.21
1.92
1.15
Current Ratio (X)
1.27
1.15
1.18
1.35
1.46
Quick Ratio (X)
0.53
0.43
0.54
0.84
0.94
Debt to Equity (x)
3.73
3.60
2.44
2.03
1.29
Interest Coverage Ratios (X)
2.23
2.03
2.69
3.17
1.56
Asset Turnover Ratio (%)
0.26
0.31
0.21
0.18
32.17
Inventory Turnover Ratio (X)
0.66
0.47
0.71
0.69
1.49
3 Yr CAGR Sales (%)
17.95
33.36
21.76
14.13
1.41
3 Yr CAGR Net Profit (%)
44.81
317.56
65.70
38.95
-48.70
P/E (x)
38.92
439.58
13.95
23.89
54.90
P/B (x)
3.76
3.28
1.70
2.19
2.42
EV/EBITDA (x)
18.43
21.41
14.38
17.27
33.84
P/S (x)
1.94
1.58
0.81
1.10
1.96
Key financial ratios for Godrej Industries show a P/E ratio of 38.92 and a P/B ratio of 3.76. The company reported a debt-to-equity ratio of 3.73 as of the year-ending March 2025.
With the stock's last traded price at Rs 1,118.00, Godrej Industries has seen a gain in Wednesday's session.