Kaveri Seed Company Complete Financial Statements

KSCL • Review detailed financials to uncover trends, confirm thesis & journal trades
11 Years of Data
2025 - 2015

Complete Financial Data Export

Export complete financial statements for Kaveri Seed Company (KSCL). Downloads include all available records across all periods. For market performance, see the KSCL stock price today .

Profitability Ratios

Net Profit Margin -7.11% 2025 data
Operating Margin -3.00% 2025 data
Return on Assets -0.60% 2025 data
Return on Equity -1.06% 2025 data

Balance Sheet Ratios

Current Ratio 34.71 2025 data
Debt to Equity 1.76 2025 data
Equity Ratio 56.69% 2025 data
Asset Turnover 0.08 2025 data

Year-over-Year Growth Analysis

Comparing Sept 2024 vs Sept 2025
Revenue Growth
+49.0%
Year-over-Year
Net Profit Growth
-1500.0%
Year-over-Year
EBITDA Growth
-100.0%
Year-over-Year
Expense Growth
+61.9%
Year-over-Year
Assets Growth
+29.3%
Year-over-Year
Equity Growth
+21.7%
Year-over-Year
Liabilities Growth
+29.3%
Year-over-Year
Operating Cash Flow Growth
-49.4%
Year-over-Year
Investing Cash Flow Growth
-581.6%
Year-over-Year
Financing Cash Flow Growth
+95.8%
Year-over-Year

Income Statement

Periods ₹ Crores
Particulars Sept 2025 Mar 2025 Jun 2025 Sept 2024 Mar 2024 Jun 2024 Dec 2024 Sept 2023 Mar 2023 Jun 2023 Dec 2023 Sept 2022 Mar 2022 Jun 2022 Dec 2022 Sept 2021 Mar 2021 Jun 2021 Dec 2021 Sept 2020 Mar 2020 Jun 2020 Dec 2020 Sept 2019 Mar 2019 Jun 2019 Dec 2019 Sept 2018 Jun 2018 Dec 2018 Mar 2016 Sept 2015 Mar 2015 Jun 2015 Dec 2015
Revenue 225 103 868 151 123 812 185 185 82 748 156 175 71 693 176 163 69 645 133 145 94 743 126 121 57 632 130 106 595 95 50 99 45 666 96
Expenses 225 107 520 139 110 508 160 160 90 458 134 159 78 439 131 141 80 430 119 117 76 433 108 98 59 392 112 79 374 85 49 139 32 438 79
EBITDA 0 -4 348 11 13 304 25 25 -9 290 22 16 -7 254 45 22 -12 215 14 27 18 311 18 22 -3 240 18 26 221 10 1 -40 13 228 17
Operating Profit Margin % -3.00% -18.00% 39.00% -1.00% -12.00% 37.00% 8.00% 7.00% -23.00% 38.00% 6.00% 5.00% -16.00% 36.00% 9.00% 4.00% -25.00% 32.00% 6.00% 12.00% -20.00% 40.00% 9.00% 16.00% -11.00% 38.00% 9.00% 14.00% 35.00% 0.00% -11.00% -48.00% 20.00% 34.00% 14.00%
Depreciation 15 16 14 8 10 8 9 6 6 6 7 5 6 5 5 5 6 5 6 6 7 5 6 6 7 6 7 5 6 6 8 6 8 6 8
Interest 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profit Before Tax -15 -20 334 3 3 297 17 19 -14 284 15 11 -12 249 40 17 -17 210 9 21 11 305 12 16 -10 234 12 21 215 5 -7 -46 5 222 9
Tax 1 3 7 4 4 6 2 5 2 9 4 6 -1 4 2 4 0 5 2 -2 4 8 3 2 2 4 3 6 5 2 1 2 4 3 0
Net Profit -16 -23 327 -1 0 291 15 14 -16 275 11 6 -12 245 38 13 -18 205 7 23 8 296 9 14 -11 230 9 16 210 3 -8 -48 1 219 9
Earnings Per Share (₹) -3.02 -4.53 63.76 -0.33 0.31 56.99 2.97 2.65 2.25 49.10 2.52 0.28 -2.01 42.44 7.42 2.20 -2.92 34.27 1.91 3.95 1.99 49.67 1.53 2.16 -1.72 36.37 1.30 1.64 31.76 0.49 -1.08 -6.88 0.18 31.63 1.34

Balance Sheet

Years Annual Data ₹ Crores
Particulars 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
ASSETS
Total Assets 2,653 2,052 2,051 1,880 1,962 1,579 1,552 1,466 1,528 1,361 1,158
Current Assets 2,048 1,510 1,578 1,504 1,618 1,259 1,197 1,196 1,284 1,135 933
Fixed Assets 417 297 261 242 246 250 240 190 200 202 161
Capital Work in Progress 90 134 133 43 31 18 38 37 34 20 62
Investments 614 476 562 517 599 384 510 623 657 506 295
Other Assets 1,534 1,144 1,095 1,078 1,086 927 764 616 637 633 641
LIABILITIES
Total Liabilities 2,653 2,052 2,051 1,880 1,962 1,579 1,552 1,466 1,528 1,361 1,158
Current Liabilities 59 51 43 48 41 42 41 34 13 10 8
Non-Current Liabilities
SHAREHOLDERS' EQUITY
Total Equity 1,504 1,236 1,367 1,282 1,245 959 1,006 1,012 1,014 927 755
Share Capital 10 10 11 12 12 12 13 13 14 14 14
Reserves & Surplus 1,489 1,222 1,354 1,269 1,232 947 994 999 1,001 913 741

Cash Flow Statement

Periods ₹ Crores
Particulars March 2025 March 2024 March 2023 March 2022 March 2021 March 2020 March 2019 March 2018 March 2017 March 2016 March 2015
Operating Activities 197 389 297 110 252 192 128 148 218 246 145
Investing Activities -183 38 -119 66 -217 113 82 71 -150 -202 -84
Financing Activities -18 -425 -176 -170 -29 -301 -219 -226 -57 -42 -61
Net Cash Flow -4 3 2 7 6 3 -9 -7 12 3 0