Readymix Construction Machinery Financial Statements

6 Years of Data
2026 - 2021

Readymix Construction Machinery financial statements. In FYNone, Readymix Construction Machinery (READYMIX) reported revenue ₹0 Cr, net profit ₹0 Cr and EPS ₹0.00, with a net profit margin of 8.8% and ROE of 11.6%. Full financial statements from FY2021 to FY2026 (6 years) — income statement, balance sheet and cash flow in ₹ Crores. Download as Excel or CSV. Read Readymix Construction Machiner dividend payments for the complete payout history and dividend yield track record.

Complete Financial Data Export

Profitability Ratios

Net Profit Margin 8.79% 2026 data
EBITDA Margin 14.29% 2026 data
Operating Margin 14.00% 2026 data
Return on Assets 7.34% 2026 data
Return on Equity 11.59% 2026 data

Balance Sheet Ratios

Current Ratio 103.00 2026 data
Equity Ratio 63.30% 2026 data
Asset Turnover 0.83 2026 data

READYMIX Revenue, Net Profit & EBITDA — Year-on-Year Growth

READYMIX YoY (March 2026 vs Period) — revenue -100.0%, net profit -100.0%, EBITDA -100.0%, expenses -100.0%. For live price, earnings ratios and company overview, see READYMIX share price.

Revenue Growth
-100.0%
Year-over-Year
Net Profit Growth
-100.0%
Year-over-Year
EBITDA Growth
-100.0%
Year-over-Year
Expense Growth
-100.0%
Year-over-Year
Assets Growth
+28.2%
Year-over-Year
Equity Growth
+13.1%
Year-over-Year
Investing Cash Flow Growth
+72.7%
Year-over-Year
Financing Cash Flow Growth
-57.1%
Year-over-Year

READYMIX Income Statement — Revenue, EBITDA & Net Profit

Readymix Construction Machinery revenue ₹0 Cr, EBITDA ₹0 Cr, net profit ₹0 Cr, EPS ₹0.00 (None) — net profit margin 8.8%. Analyse Readymix Construction Machiner ownership pattern to track promoter, FII and institutional holdings.

Periods ₹ Crores
Particulars None March 2026 March 2025 March 2024 March 2023 March 2022 March 2021
Revenue 0 91 74 70 55 48 27
Expenses 0 78 59 56 50 45 25
EBITDA 0 13 15 14 5 3 1
Operating Profit Margin % 0.00% 14.00% 20.00% 20.00% 9.00% 5.00% 5.00%
Depreciation 0 1 1 1 0 0 0
Interest 0 2 1 1 1 1 0
Profit Before Tax 0 10 13 12 4 2 1
Tax 0 3 3 3 1 1 0
Net Profit 0 8 9 9 3 1 1
Earnings Per Share (₹) 0.00 6.83 11.24 11.76 3.52 1.68 15.87

READYMIX Balance Sheet — Assets, Liabilities & Shareholders' Equity

READYMIX total assets ₹109 Cr, total equity ₹69 Cr, total liabilities ₹ Cr (2026) — ROE 11.6%.

Years Annual Data ₹ Crores
Particulars 2026 2025 2024 2023 2022 2021
ASSETS
Total Assets 109 85 39 32 30 19
Current Assets 103 80 35 29 29 18
Fixed Assets 5 5 4 3 1 1
Capital Work in Progress 0 0 0 0 0 0
Investments 0 10 0 0 0 1
Other Assets 104 70 35 30 30 18
LIABILITIES
Total Liabilities
Current Liabilities 1 1 0 1 2 0
Non-Current Liabilities
SHAREHOLDERS' EQUITY
Total Equity 69 61 19 9 7 6
Share Capital 11 11 1 1 1 1
Reserves & Surplus 58 50 18 9 6 5

READYMIX Cash Flow Statement — Operating, Investing & Financing

Readymix Construction Machinery operating cash flow ₹-13 Cr, investing ₹-3 Cr, financing ₹12 Cr, net cash flow ₹-4 Cr (2026).

Periods ₹ Crores
Particulars March 2026 March 2025 March 2024 March 2023 March 2022 March 2021
Operating Activities -13 -13 3 1 -3 -1
Investing Activities -3 -11 -2 -2 0 0
Financing Activities 12 28 0 2 2 1
Net Cash Flow -4 3 0 0 -1 0