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ISGEC Heavy Engineering

Boilers, presses, process plant EPC, sugar machinery. FY26 PAT dip on EPC mix; steady but low-margin heavy engineering conglomerate.

Order book · ₹8K Cr+ order book across boilers/EPC

Sell / Avoid
₹882
Mkt cap ₹6.5K Cr
P/E
56.3x
P/B
2.4x
ROCE
10.8%
ROE
4.2%
Div yield
0.57%
52W high
₹1,175
52W low
₹683
Promoter
62.4%
Score bridge (derived from real data)
Fundamental
32
Valuation
83
Technical
40
Moat (curated)
50

Fundamental = ROCE/ROE/OPM/growth/cash-conversion/leverage from Screener statements. Valuation = P/E, EV/EBITDA, P/B and distance-from-high. Technical = position in real 52-week range (full OHLCV indicators need a market-data API). Decision = weighted engine over all four.

52-week position
₹683now ₹882₹1,175
40/100
Technical rating D
Price · 2 years · SMA 50/200 · as of 2026-07-20
DownMACD BearishGolden cross
RSI-14
RSI-14
36
vs SMA-50
-7.4%
vs SMA-200
-2.0%
1Y return
-23.9%
Ann. vol
38%
Max DD 1Y
-40%
Annual trend · sales, PAT, OPM
Quarterly run-rate
Peer set · Power Equipment
CompanyMkt capP/EOPMROCESales 3YPAT 3YD/EComposite
BHEL₹1.45 L Cr59.7x8%9.1%13.1%34.7%0.31x60
ISGEC Heavy Engineering ◄₹6.5K Cr56.3x8%10.8%2.0%-9.2%0.35x50

Financial statements

Source: Screener.in
Sales 3Y CAGR
2.0%
PAT 3Y CAGR
-9.2%
OPM (latest)
8.0%
PAT margin
2.3%
D / E
0.35x
CFO / PAT
4.97x
EV / EBITDA
13.3x
FCF yield
9.8%
Ratio history · computed per year
RatioMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales growth YoY %—16.4%-2.8%3.3%5.7%
PAT growth YoY %—79.1%23.8%3.5%-41.7%
OPM %6%7%9%9%8%
PAT margin %2.1%3.2%4.1%4.1%2.3%
ROE % (PAT / net worth)5.4%8.9%10.1%9.6%5.6%
D / E (x)0.580.540.320.310.35
Asset turnover (x)0.820.910.800.800.84
CFO / PAT (x)-0.611.012.880.444.97
Annual P&L · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Sales5,4996,3996,2186,4226,789
Operating profit335473548598555
OPM %6%7%9%9%8%
Net profit115206255264154
EPS ₹14.8026.7233.1433.8914.81
Quarterly · ₹ Cr
Dec 2024Mar 2025Jun 2025Sep 2025
Sales1,4951,7441,3411,691
OPM %9%9%9%9%
PAT23985956
Balance sheet · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity77777
Reserves2,1142,2972,5152,7312,729
Borrowings1,2331,235814861951
Total assets6,7417,0537,8078,0098,077
Cash flow · ₹ Cr
Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Operating-70208735116765
Investing-159-43-274-274-131
Financing176-98-487108-341
Shareholding
Promoters
62.4%
FII
3.8%
DII
10.2%
Public
23.6%
Mkt cap
₹6.5K Cr
P/E
56.3x
52W range
₹683–1,175