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SummaryLatest NewsSector ComparisonEarnings ReportRevenue & GrowthPeersIncome StatementBalance SheetCash Flow
HBLENGINE logo

HBLENGINE - HBL ENGINEERING LIMITED Share Price

₹727.10-9.05(-1.23%)
Market Closed as of Aug 7, 2026, 15:30 IST
Pros

Balance Sheet: Strong Balance Sheet.

Size: Market Cap wise it is among the top 20% companies of india.

Technicals: Bullish SharesGuru indicator.

Growth: Awesome revenue growth! Revenue grew 62.7% over last year and 121.6% in last three years on TTM basis.

Buy Backs: Company has bought back it's stock in the past which is a good thing.

Smart Money: Smart money has been increasing their position in the stock.

Profitability: Very strong Profitability. One year profit margin are 23%.

Cons

Momentum: Stock has a weak negative price momentum.

Price to Sales Ratio

Revenue (Last 12 mths)

Net Income (Last 12 mths)

Valuation

Market Cap20.15 kCr
Price/Earnings (Trailing)25.8
Price/Sales (Trailing)5.93
EV/EBITDA17.89
Price/Free Cashflow32.03
MarketCap/EBT19.49
Enterprise Value19.67 kCr

Fundamentals

Revenue (TTM)3.4 kCr
Rev. Growth (Yr)6%
Earnings (TTM)780.77 Cr
Earnings Growth (Yr)-23.8%

Profitability

Operating Margin31%
EBT Margin30%
Return on Equity35.27%
Return on Assets26.54%
Free Cashflow Yield3.12%

Growth & Returns

Price Change 1W1.2%
Price Change 1M-4%
Price Change 6M-7.3%
Price Change 1Y22.2%

Cash Flow & Liquidity

Cash Flow from Investing (TTM)-253.73 Cr
Cash Flow from Operations (TTM)779.64 Cr
Cash Flow from Financing (TTM)-112.92 Cr
Cash & Equivalents528.21 Cr
Free Cash Flow (TTM)629.32 Cr
Free Cash Flow/Share (TTM)22.7

Balance Sheet

Total Assets2.94 kCr
Total Liabilities728.19 Cr
Shareholder Equity2.21 kCr
Current Assets2.02 kCr
Current Liabilities566.62 Cr
Net PPE417.36 Cr
Inventory562.08 Cr
Goodwill1.66 Cr

Capital Structure & Leverage

Debt Ratio0.01
Debt/Equity0.02
Interest Coverage74.2
Interest/Cashflow Ops57.68

Dividend & Shareholder Returns

Dividend/Share (TTM)3
Dividend Yield0.41%
Shares Dilution (1Y)0.00%
Pros

Balance Sheet: Strong Balance Sheet.

Size: Market Cap wise it is among the top 20% companies of india.

Technicals: Bullish SharesGuru indicator.

Growth: Awesome revenue growth! Revenue grew 62.7% over last year and 121.6% in last three years on TTM basis.

Buy Backs: Company has bought back it's stock in the past which is a good thing.

Smart Money: Smart money has been increasing their position in the stock.

Profitability: Very strong Profitability. One year profit margin are 23%.

Cons

Momentum: Stock has a weak negative price momentum.

The Good, Bad and Ugly
Growth
Measures how quickly a company is expanding through metrics like revenue growth, earnings growth, and cash flow growth over time. Strong growth can indicate future potential.
Profitability
Shows how efficiently a company turns business activities into profit, using metrics like profit margins, return on equity (ROE), and return on assets (ROA).
Size
Indicates the company's market presence through metrics like market capitalization, total assets, and revenue. Size can influence stability and market influence.
Dilution Rank
Tracks how much the company's shares have increased or decreased over time. Lower dilution means existing shareholders maintain stronger ownership stakes.
Balance Sheet
Evaluates the company's financial health by analyzing assets, debts, and equity. A strong balance sheet indicates financial stability and flexibility.
Momentum
Measures the strength and speed of price movements, showing whether the stock is gaining or losing market favor over different time periods.
Technicals
Analyzes price patterns, trading volumes, and other market indicators to identify potential trading opportunities and market trends.
Smart Money
Tracks the investment activities of institutional investors, hedge funds, and other large financial players who often have deep research capabilities.
Insider Trading
Monitors buying and selling of company shares by executives, directors, and other insiders who may have unique insights into the company's prospects.

Investor Care

Dividend Yield0.41%
Dividend/Share (TTM)3
Shares Dilution (1Y)0.00%
Earnings/Share (TTM)28.18

Financial Health

Current Ratio3.57
Debt/Equity0.02

Technical Indicators

RSI (14d)48.85
RSI (5d)58.9
RSI (21d)42.51
MACD SignalBuy
Stochastic Oscillator SignalHold
SharesGuru SignalBuy
RSI SignalHold
RSI5 SignalHold
RSI21 SignalHold
SMA 5 SignalSell
SMA 10 SignalBuy
SMA 20 SignalBuy
SMA 50 SignalSell
SMA 100 SignalSell

Summary of Latest Earnings Report from HBL ENGINEERING

Summary of HBL ENGINEERING's latest earnings call, featuring management's outlook on business performance, financial results, and analyst Q&A sessions that highlight key strategic initiatives and market challenges.

Revenue Breakdown

Analysis of HBL ENGINEERING's financial performance, highlighting revenue trends, growth patterns, and key metrics through quarterly analysis.

Last Updated: Jun 30, 2026

DescriptionShareValue
Industrial Batteries56.7%361.9 Cr
Electronics35.6%227.3 Cr
Defence & aviation batteries5.9%37.9 Cr
Unallocated1.7%11 Cr
Total638.2 Cr

Share Holdings

Understand HBL ENGINEERING ownership landscape with insights into key distribution patterns, offering investors a clear view of stakeholder dynamics.

Holding Pattern

Share Holding Details

Shareholder NameHolding %
KAVITA PRASAD ALURU - TRUSTEE FOR ALURU FAMILY PRIVATE TRUST51.3%
KAVITA PRASAD ALURU3.53%
MIKKILINENI ADVAY BHAGIRATH1.41%
ALURU JAGADISH PRASAD0.97%
MIKKILINENI DEEKSHA0.75%
SATYANARAYANA SUBRAMANI SRINATH MIKKILINENI0.71%
UMA DEVI ALURU0.34%
KAVITA PRASAD ALURU - TRUSTEE FOR MIKKILINENI FAMILY PRIVATE TRUST0.09%

Overall Distribution

Distribution across major stakeholders

Ownership Distribution

Distribution across major institutional holders

Is HBL ENGINEERING Better than it's peers?

Detailed comparison of HBL ENGINEERING against industry peers, highlighting key financial metrics, valuation ratios, and performance indicators to provide competitive context within the sector.

Ticker
Name
Mkt Cap
Revenue
Price %, 1M
Returns, 1Y
P/E
P/S
Rev 1-Yr
Inc 1-Yr

Income Statement for HBL ENGINEERING

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Revenue From Operations68%3,3031,9672,2331,3691,236912
Other Income132%59261818149.63
Total Income68.7%3,3621,9932,2511,3861,251922
Cost of Materials38.8%1,3839971,208831759553
Purchases of stock-in-trade-7.5%00.070.181.082.12.81
Employee Expense44.4%25817915811010082
Finance costs16.7%1513136.557.4815
Depreciation and Amortization16.3%514441353539
Other expenses29.5%550425503274244200
Total Expenses38.2%2,2551,6321,8641,2591,140898
Profit Before exceptional items and Tax207.2%1,10736138712711123
Exceptional items before tax-1528.8%-31.25-0.98-28.081.3311-5.4
Total profit before tax199.2%1,07536035912812218
Current tax201.1%284959831307.09
Deferred tax-799%-6.342.05-1.8-0.13-1.59-1.4
Total tax187.5%277979631295.7
Total profit (loss) for period194.9%815277281999414
Other comp. income net of taxes33%-0.24-0.85-1.77-1.49-0.98-1.42
Total Comprehensive Income196%815276279979312
Earnings Per Share, Basic-29.39010.073.513.350.44
Earnings Per Share, Diluted-29.39010.073.513.350.44
Description(%) Q/QJun-2026Mar-2026Dec-2025Jun-2025Mar-2025Dec-2024
Revenue From Operations5.6%638604874602476451
Other Income66.7%211311206.831.54
Total Income6.8%659617885621482452
Cost of Materials21.3%360297373334239237
Purchases of stock-in-trade-00-0.050.0500
Employee Expense11.9%676081544947
Finance costs241.9%5.412.292.596.353.694.65
Depreciation and Amortization-21.4%121512121111
Other expenses-27.8%1151591269611194
Total Expenses-6.8%509546587428411373
Profit Before exceptional items and Tax111.4%149712981947279
Exceptional items before tax76.6%-0.01-3.32-0.97-3.11-1.09-0.04
Total profit before tax124.2%149672971917179
Current tax76.2%382281491623
Deferred tax88.9%0.16-6.59-1.360.612.48-2.02
Total tax171.4%391580491821
Total profit (loss) for period71.4%109642211434565
Other comp. income net of taxes-50%0.250.5-0.23-0.151.03-0.69
Total Comprehensive Income71.4%109642201434664
Earnings Per Share, Basic123.5%3.952.327.955.1602.31
Earnings Per Share, Diluted123.5%3.952.327.955.1602.31
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Revenue From Operations67.1%3,2521,9462,2091,3501,222909
Other Income119.2%58271718149.48
Total Income67.8%3,3101,9732,2251,3681,236918
Cost of Materials38.2%1,3659881,203825755549
Purchases of stock-in-trade-7.5%00.070.181.082.12.81
Employee Expense46.2%2481701501049579
Finance costs18.2%1412126.237.2714
Depreciation and Amortization14.6%484239343538
Other expenses30.2%540415497271242198
Total Expenses37.4%2,2111,6101,8421,2431,128894
Profit Before exceptional items and Tax203.3%1,09936338312510725
Exceptional items before tax-1326.9%-30.82-1.23-28.171.3311-5.39
Total profit before tax195.6%1,06836235512611819
Current tax204.4%278929431306.75
Deferred tax-761.2%-6.672.16-2.42-0.21-1.24-1.88
Total tax190.3%271949131294.87
Total profit (loss) for period198.1%797268264968915
Other comp. income net of taxes63.9%0.4-0.66-1.69-0.74-0.84-1.46
Total Comprehensive Income199.2%797267262958913
Earnings Per Share, Basic-28.7609.463.423.190.47
Earnings Per Share, Diluted-28.7609.463.423.190.47
Description(%) Q/QJun-2026Mar-2026Dec-2025Jun-2025Mar-2025Dec-2024
Revenue From Operations3.9%620597864588460455
Other Income72.7%201211207.451.53
Total Income4.9%640610874607467456
Cost of Materials23.1%358291369331236236
Purchases of stock-in-trade-00-0.050.0500
Employee Expense14.5%645679524644
Finance costs294.3%5.142.052.316.053.374.34
Depreciation and Amortization-15.4%121412111111
Other expenses-26.9%1151571239410692
Total Expenses-7.4%498538577416396375
Profit Before exceptional items and Tax101.4%142712981917182
Exceptional items before tax78.9%0.14-3.07-0.82-3.11-0.74-0.08
Total profit before tax110.4%142682971887182
Current tax111.8%371880481721
Deferred tax87.1%0.03-6.51-0.860.342.54-1.33
Total tax260%371179481920
Total profit (loss) for period85.7%105572181405161
Other comp. income net of taxes-1660%0.120.95-0.19-0.171.02-0.59
Total Comprehensive Income84.2%106582181405261
Earnings Per Share, Basic155.5%3.812.17.855.0302.2
Earnings Per Share, Diluted155.5%3.812.17.855.0302.2

Balance Sheet for HBL ENGINEERING

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Sep-2025Mar-2025Sep-2024Mar-2024Sep-2023
Cash and cash equivalents206.4%52817311714722335
Current investments70.7%14183810.070.030.03
Loans, current-3.500000
Total current financial assets16.2%1,3761,184646688633531
Inventories-4.6%562589534458433459
Current tax assets-12----0
Total current assets11%2,0251,8251,2191,1751,0981,028
Property, plant and equipment6.7%417391373349338307
Capital work-in-progress-1.6%12712968312031
Investment property5.3%212005.550-
Goodwill0%1.661.6601.661.660
Non-current investments-44.7%131236911207087
Total non-current financial assets-30.9%20930214424873134
Total non-current assets7.6%917852761667556523
Total assets9.9%2,9422,6771,9801,8421,6541,552
Borrowings, non-current-22.6%4.044.935.88142349
Total non-current financial liabilities-5%202121182849
Provisions, non-current115.6%13965412.72.522.43
Total non-current liabilities67.7%1629771303866
Borrowings, current-33.9%406049423650
Total current financial liabilities-12.1%298339282250236268
Provisions, current24.7%977846676752
Current tax liabilities--783.35147.637.44
Total current liabilities-4.9%567596426440396426
Total liabilities5.2%728692497470434493
Equity share capital0%282828282828
Non controlling interest-30.4%-0.76-0.35-0.42-0.27-0.68-0.75
Total equity11.5%2,2131,9851,4821,3731,2201,059
Total equity and liabilities9.9%2,9422,6771,9801,8421,6541,552
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Sep-2025Mar-2025Sep-2024Mar-2024Sep-2023
Cash and cash equivalents206%51516911314622134
Current investments70.7%14183810.070.030.03
Loans, current546%4.231.50000
Total current financial assets16.9%1,3721,174653693634536
Inventories-5.5%551583521449429457
Current tax assets-130----
Total current assets11%2,0091,8101,2121,1691,094993
Property, plant and equipment6.8%409383364340333303
Capital work-in-progress-1.6%12712968311831
Investment property-5.6%181903.49--
Non-current investments7.2%225210185949395
Loans, non-current-60.8%1.472.22.22.22.22.2
Total non-current financial assets9.4%304278240224165143
Total non-current assets6.4%868816725629530516
Total assets9.6%2,8782,6261,9371,7981,6241,546
Borrowings, non-current-13.2%0.140.240.428.061645
Total non-current financial liabilities-7.1%141513101948
Provisions, non-current68.9%10462392.72.522.43
Total non-current liabilities39.5%1218762212961
Borrowings, current-37.5%365745393550
Total current financial liabilities-13.9%285331274242230265
Provisions, current64.9%1287846676752
Current tax liabilities--783.55147.867.54
Total current liabilities-0.3%584586417432389425
Total liabilities4.6%705674479453418486
Equity share capital0%282828282828
Total equity11.3%2,1721,9521,4581,3451,2051,060
Total equity and liabilities9.6%2,8782,6261,9371,7981,6241,546

Cash Flow for HBL ENGINEERING

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Finance costs-458.1%-47.5-7.69-0.82-3.58-11.53-
Change in inventories153%55-100.85-96.47-29.21-17.18-
Depreciation-229.8%-50.941413535-
Impairment loss / reversal-75.7%-1.02-0.1500.593.61-
Adjustments for interest income238.1%18-11.31-6.225.51-5.23-
Net Cashflows from Operations33.5%475356337179134-
Interest paid270.4%134.248-4.032.08-
Interest received70%18116.225.515.23-
Income taxes paid (refund)-197%-299.29-100.12-87.7437-26.9-
Other inflows (outflows) of cash-000.610.010.01-
Net Cashflows From Operating Activities68.6%780463424151164-
Proceeds from sales of PPE2116.1%26-0.240.1-4.57-19.62-
Purchase of property, plant and equipment221.5%150-121.65-53.1965-68.13-
Proceeds from sales of investment property304.9%5.982.237.629.6647-
Purchase of other long-term assets152.7%24-42.64000-
Net Cashflows From Investing Activities-173.6%-253.73347-39.1-60.8896-
Proceeds from borrowings82.9%0-4.86000-
Repayments of borrowings345.1%11-3.08-9.17-9.74-24.03-
Payments of lease liabilities-6.350000-
Dividends paid93.3%0-13.8612119.7-
Interest paid1664.9%83-4.24-84.03-2.08-
Income taxes paid (refund)-130000-
Net Cashflows from Financing Activities-859.5%-112.92168.17-8.1919-
Net change in cash and cash eq.-50.1%41382639382278-
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2026Mar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Finance costs-852.1%-40.7-3.38-0.9-3.79-11.21-
Change in inventories37.8%-56.65-91.67-97.69-29.69-17.99-
Depreciation-217.2%-49.3844393435-
Impairment loss / reversal-2667%-30.82-0.154.740.573.61-
Adjustments for interest income335.6%30-11.31-6.435.65-5.23-
Net Cashflows from Operations-6.6%327350330176133-
Interest paid239.5%124.247.93-4.032.27-
Interest received-235.4%-12.54116.435.655.23-
Income taxes paid (refund)-192.5%-294.78-100.12-82.9336-26.62-
Other inflows (outflows) of cash-000.620.010-
Net Cashflows From Operating Activities30.4%597458412149162-
Proceeds from sales of PPE-31.6%00.240.060-19.62-
Purchase of property, plant and equipment23.1%150122-44.154.57-67.16-
Proceeds from sales of investment property-88.6%1.142.235.63-60.6147-
Purchase of investment property-000-9.660-
Proceeds from sales of long-term assets-1.280000-
Purchase of other long-term assets-23.3%2431000-
Net Cashflows From Investing Activities74.6%-83.3-330.96-38.33-58.4796-
Proceeds from borrowings82.9%0-4.86000-
Repayments of borrowings320.6%10-3.08-9.26-9.15-24.03-
Payments of lease liabilities-5.380000-
Dividends paid651.8%83-13.86-12.47119.7-
Interest paid309.9%12-4.24-7.934.032.27-
Net Cashflows from Financing Activities-843.5%-110.531632-8.2514-
Net change in cash and cash eq.183.1%40314340682273-

What does HBL ENGINEERING LIMITED do?

Small Cap

HBL Engineering Limited manufactures and sells batteries, power electronics, and spun concrete products in India and internationally. It operates through Batteries and Electronics segments. The company offers lead acid batteries, nickel-cadmium batteries, silver zinc batteries, defence, and lithium batteries. It provides railway signaling electronics, electronic fuzes for ammunition, integrated power supplies, centralized train control system, train collision avoidance systems, DC power systems and distribution panels, battery monitoring system, battery isolation switches, electric drive trains, electronic voltage regulators, earth leakage monitors, and train management system; E-Mobility products, including e-mobility drive train, motors, inverters, and EV chargers; energy storage systems and battery management systems. It serves transportation, oil and gas, power supply, electric power, telecom, and stationary engine starting industries. The company was formerly HBL Power Systems Limited and changed its name to HBL Engineering Limited in November 2024. The company was founded in 1977 and is headquartered in Hyderabad, India. HBL Engineering Limited is a subsidiary of Aluru Family Private Trust.

Employees:1,875
Website:www.hbl.in

Important Disclosure & Data Context

This is an informational page just to provide a quick 'first look' at the stock. You must do your own deeper research. Know your risk appetite. Consult a SEBI-registered financial advisor before making any investment decisions.