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Tankup Engineers Ltd

TANKUP
NSE
600.00
0.17%
Last Updated:
30 Apr '26, 4:00 PM
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Tankup Engineers Ltd

TANKUP
NSE
600.00
0.17%
30 Apr '26, 4:00 PM
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6M
Price
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Quick Ratios

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Mkt Cap
Market Capitalization
318Cr
Close
Close Price
600.00
Industry
Industry
Engineering - Light - General
PE
Price To Earnings
149.25
PS
Price To Sales
9.02
Revenue
Revenue
35Cr
Rev Gr TTM
Revenue Growth TTM
93.46%
PAT Gr TTM
PAT Growth TTM
49.02%
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Quarterly Results

Standalone
Numbers
Percentage
QuarterSep 2023Mar 2024Sep 2024Mar 2025Sep 2025
Revenue
RevenueCr
81171422
Growth YoY
Revenue Growth YoY%
-15.318.3220.9
Expenses
ExpensesCr
7961219
Operating Profit
Operating ProfitCr
12123
OPM
OPM%
17.217.612.912.112.1
Other Income
Other IncomeCr
00001
Interest Expense
Interest ExpenseCr
00001
Depreciation
DepreciationCr
00000
PBT
PBTCr
12113
Tax
TaxCr
00000
PAT
PATCr
12112
Growth YoY
PAT Growth YoY%
-45.8-34.2292.3
NPM
NPM%
12.113.37.77.49.4
EPS
EPS
0.00.00.00.04.0

Profit & Loss

Standalone
Numbers
Percentage
Financial YearMar 2022Mar 2023Mar 2024Mar 2025TTM
Revenue
RevenueCr
112192035
Growth
Revenue Growth%
745.064.44.573.5
Expenses
ExpensesCr
111161831
Operating Profit
Operating ProfitCr
01334
OPM
OPM%
6.210.817.912.312.1
Other Income
Other IncomeCr
00001
Interest Expense
Interest ExpenseCr
00011
Depreciation
DepreciationCr
00000
PBT
PBTCr
01324
Tax
TaxCr
00101
PAT
PATCr
01323
Growth
PAT Growth%
1,614.6225.7-40.799.5
NPM
NPM%
3.36.713.27.58.6
EPS
EPS
0.33.09.34.44.0

Balance Sheet

Standalone
Numbers
Percentage
Financial YearMar 2022Mar 2023Mar 2024Mar 2025
Equity Capital
Equity CapitalCr
0004
Reserves
ReservesCr
0133
Current Liabilities
Current LiabilitiesCr
17614
Non Current Liabilities
Non Current LiabilitiesCr
1111
Total Liabilities
Total LiabilitiesCr
291022
Current Assets
Current AssetsCr
281020
Non Current Assets
Non Current AssetsCr
1112
Total Assets
Total AssetsCr
291022

Cash Flow

Standalone
Financial YearMar 2022Mar 2023Mar 2024Mar 2025
Operating Cash Flow
Operating Cash FlowCr
-1-1-1-6
Investing Cash Flow
Investing Cash FlowCr
-100-1
Financing Cash Flow
Financing Cash FlowCr
1117
Net Cash Flow
Net Cash FlowCr
0000
Free Cash Flow
Free Cash FlowCr
-1-1-1-6
CFO To PAT
CFO To PAT%
-1,295.7-83.4-31.3-381.0
CFO To EBITDA
CFO To EBITDA%
-690.6-51.5-23.0-232.1

Ratios

Standalone
Financial YearMar 2022Mar 2023Mar 2024Mar 2025
Valuation Ratios
Valuation Ratios
Market Cap
Market CapitalizationCr
0000
Price To Earnings
Price To Earnings
0.00.00.00.0
Price To Sales
Price To Sales
0.00.00.00.0
Price To Book
Price To Book
0.00.00.00.0
EV To EBITDA
EV To EBITDA
15.11.81.03.7
Profitability Ratios
Profitability Ratios
GPM
GPM%
31.728.240.947.0
OPM
OPM%
6.210.817.912.3
NPM
NPM%
3.36.713.27.5
ROCE
ROCE%
4.230.446.815.3
ROE
ROE%
23.470.869.822.9
ROA
ROA%
2.09.124.87.1
Operational Ratios
Operational Ratios
Solvency Ratios
Solvency Ratios
Liquidity Ratios
Liquidity Ratios