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SummaryLatest NewsSector ComparisonEarnings ReportRevenue & GrowthPeersIncome StatementBalance SheetCash Flow
JYOTISTRUC logo

JYOTISTRUC - Jyoti Structures Ltd. Share Price

Electrical Equipment

₹7.97-0.22(-2.69%)
Market Closed as of Jan 21, 2026, 15:30 IST

Valuation

Market Cap1.16 kCr
Price/Earnings (Trailing)22.03
Price/Sales (Trailing)1.86
EV/EBITDA53.4
Price/Free Cashflow-8.88
MarketCap/EBT26.45
Enterprise Value2.93 kCr

Fundamentals

Growth & Returns

Price Change 1W6.2%
Price Change 1M-11%
Price Change 6M-50.4%
Price Change 1Y-64.5%
3Y Cumulative Return-1.1%
5Y Cumulative Return5.3%
7Y Cumulative Return25.4%
10Y Cumulative Return-5.8%
Revenue (TTM)
623.22 Cr
Rev. Growth (Yr)42%
Earnings (TTM)44.29 Cr
Earnings Growth (Yr)37.6%

Profitability

Operating Margin7%
EBT Margin7%
Return on Equity8.72%
Return on Assets1.52%
Free Cashflow Yield-11.26%

Cash Flow & Liquidity

Cash Flow from Investing (TTM)-12.84 Cr
Cash Flow from Operations (TTM)-177.29 Cr
Cash Flow from Financing (TTM)615.26 Cr
Cash & Equivalents192.4 Cr
Free Cash Flow (TTM)-195.77 Cr
Free Cash Flow/Share (TTM)-1.65

Balance Sheet

Total Assets2.92 kCr
Total Liabilities2.41 kCr
Shareholder Equity508.07 Cr
Current Assets2.86 kCr
Current Liabilities403 Cr
Net PPE50.34 Cr
Inventory118.93 Cr
Goodwill0.00

Capital Structure & Leverage

Debt Ratio0.67
Debt/Equity3.85
Interest Coverage337
Interest/Cashflow Ops-1.98 K

Dividend & Shareholder Returns

Dividend Yield4.26%
Shares Dilution (1Y)36.2%
Shares Dilution (3Y)87.7%
Pros

Technicals: Bullish SharesGuru indicator.

Growth: Awesome revenue growth! Revenue grew 59% over last year and 1753.3% in last three years on TTM basis.

Dividend: Pays a strong dividend yield of 4.26%.

Cons

Past Returns: Underperforming stock! In past three years, the stock has provided -1.1% return compared to 13.7% by NIFTY 50.

Smart Money: Smart money is losing interest in the stock.

Dilution: Company has been diluting it's stock to raise money for business.

Price to Sales Ratio

Latest reported: 1.9

Revenue (Last 12 mths)

Latest reported: 623.2 Cr

Net Income (Last 12 mths)

Latest reported: 44.3 Cr
Pros

Technicals: Bullish SharesGuru indicator.

Growth: Awesome revenue growth! Revenue grew 59% over last year and 1753.3% in last three years on TTM basis.

Dividend: Pays a strong dividend yield of 4.26%.

Cons

Past Returns: Underperforming stock! In past three years, the stock has provided -1.1% return compared to 13.7% by NIFTY 50.

Smart Money: Smart money is losing interest in the stock.

Dilution: Company has been diluting it's stock to raise money for business.

Investor Care

Dividend Yield4.26%
Shares Dilution (1Y)36.2%
Earnings/Share (TTM)0.44

Financial Health

Current Ratio7.1
Debt/Equity3.85

Technical Indicators

RSI (14d)40.94
RSI (5d)65.75
RSI (21d)35.66
MACD SignalBuy
Stochastic Oscillator SignalHold
SharesGuru SignalBuy
RSI SignalHold
RSI5 SignalHold
RSI21 SignalHold
SMA 5 SignalBuy
SMA 10 SignalBuy
SMA 20 SignalSell
SMA 50 SignalSell
SMA 100 SignalSell

Summary of Latest Earnings Report from Jyoti Structures

Summary of Jyoti Structures'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.

Share Holdings

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

Holding Pattern

Share Holding Details

Shareholder NameHolding %
SHARAD SHYAM SANGHI2.52%
BENGAL FINANCE AND INVESTMENT PVT LTD1.99%
ULLAL RAVINDRA BHAT1.68%
SHYAM BIHARI SANGHI1.56%
SUN N SAND HOTELS PVT LTD1.34%

Overall Distribution

Is Jyoti Structures Better than it's peers?

Detailed comparison of Jyoti Structures 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
KECKEC International20.04 kCr23.37 kCr+6.90%-38.50%29.320.86--
TECHNOETechno Electric & Engineering Co.12.74 kCr3 kCr

Sector Comparison: JYOTISTRUC vs Electrical Equipment

Comprehensive comparison against sector averages

Comparative Metrics

JYOTISTRUC metrics compared to Electrical

CategoryJYOTISTRUCElectrical
PE22.0359.54
PS1.865.62
Growth59 %8.5 %
0% metrics above sector average
Key Insights
  • 1. JYOTISTRUC is NOT among the Top 10 largest companies in Heavy Electrical Equipment.
  • 2. The company holds a market share of 0.5% in Heavy Electrical Equipment.
  • 3. In last one year, the company has had an above average growth that other Heavy Electrical Equipment companies.

What does Jyoti Structures Ltd. do?

Heavy Electrical Equipment•Capital Goods•Small Cap

Jyoti Structures Limited manufactures and sells transmission line towers, substation structures, and tall antenna towers/masts in India and internationally. The company is involved in turnkey/ engineering procurement construction projects that include the survey, design, foundation, fabrication, erection, and stringing activities of high voltage transmission lines; and procurement of bought out items; supply of lattice and pipe type structures; civil works; and erection, testing, and commissioning of switchyard/substations and distribution networks. It also undertakes solar power and rural electrification projects. Jyoti Structures Limited was incorporated in 1974 and is headquartered in Mumbai, India.

Industry Group:Electrical Equipment
Employees:197
Website:www.jyotistructures.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.

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.

Performance Comparison

JYOTISTRUC vs Electrical (2021 - 2026)

Although JYOTISTRUC is underperforming relative to the broader Electrical sector, it has achieved a 0.5% year-over-year increase.

Sharesguru Stock Score

JYOTISTRUC

81/100
Sharesguru Stock Score

JYOTISTRUC

81/100

Distribution across major stakeholders

Ownership Distribution

Distribution across major institutional holders

-0.20%
-33.20%
27.07
4.24
-
-
KSLKalyani Steels3.25 kCr1.98 kCr-2.30%-35.80%12.481.64--
PATELENGPatel Engineering2.42 kCr5.45 kCr-11.90%-45.50%9.20.44--

Income Statement for Jyoti Structures

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2025Mar-2024Mar-2023Mar-2022Mar-2021Mar-2020
Revenue From Operations10.4%4984512294.39016
Other Income-48.5%6.67121.841.050.150.42
Total Income8.9%5044632315.440.1517
Cost of Materials-2%1962001533.25.247.43
Employee Expense41.2%4935264.353.9821
Finance costs-8900%0.121.010.3801,4941,473
Depreciation and Amortization16.3%8.57.455.417.281016
Other expenses10.9%2141937629246828
Total Expenses5.9%469443235481,7592,346
Profit Before exceptional items and Tax78.9%3520-4.07-42.47-1,758.84-2,329.28
Total profit before tax78.9%3520-4.07-42.47-1,758.84-2,329.28
Deferred tax88.9%-0.15-9.320000
Total tax88.9%-0.15-9.320000
Total profit (loss) for period25%3629-4.07-42.47-1,758.84-2,329.28
Other comp. income net of taxes22.2%0.440.280.9-0.04120.09
Total Comprehensive Income25%3629-3.17-42.51-1,747.06-2,329.19
Earnings Per Share, Basic-2%0.40.412-0.06-1.02-160.575-212.63
Earnings Per Share, Diluted-0.8%0.390.395-0.06-0.93-160.575-212.63
Description(%) Q/QSep-2025Jun-2025Mar-2025Dec-2024Sep-2024Jun-2024
Revenue From Operations-3.2%15115616513710788
Other Income-31.1%4.616.242.281.291.81.3
Total Income-4.3%15516216713910990
Cost of Materials0%919167483843
Employee Expense0%18181615144.81
Finance costs5.1%0.070.020.0400.030.05
Depreciation and Amortization14.9%3.162.882.62.121.981.81
Other expenses10.4%544978474247
Total Expenses-4.6%14515215512710384
Profit Before exceptional items and Tax
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2025Mar-2024Mar-2023Mar-2022Mar-2021Mar-2020
Revenue From Operations10.4%4984512294.3902.07
Other Income-48.5%6.67121.841.050.150.39
Total Income8.9%5044632315.440.152.46
Cost of Materials-2%1962001533.25.246.6
Employee Expense41.2%4935264.353.9811
Finance costs

Balance Sheet for Jyoti Structures

Consolidated figures (in Rs. Crores) /
Description(%) Q/QSep-2025Mar-2025Sep-2024Mar-2024Sep-2023Mar-2023
Cash and cash equivalents-58.7%19246484392931
Loans, current-000000
Total current financial assets-5.4%2,5712,7192,2402,1302,1042,097
Inventories26.9%1199463725273
Current tax assets23.1%1714118.984.592.64
Total current assets-3.2%2,8622,9572,4322,3012,2392,249
Property, plant and equipment19.5%504236333332
Capital work-in-progress556.9%4.290.280000
Goodwill-000000
Non-current investments57.1%0.970.931.010.880.770
Total non-current financial assets1.4%4.714.664.734.594.834.76
Total non-current assets25%614942393837
Total assets-2.8%2,9233,0062,4742,3402,2772,285
Borrowings, non-current3.2%1,9351,8751,9271,8571,7931,729
Total non-current financial liabilities7.7%2,0191,8752,0821,8571,9521,889
Provisions, non-current59.3%3.152.351.611.641.580
Total non-current liabilities3.1%2,0121,9522,0742,0071,9531,888
Borrowings, current-80.8%241215.62596674
Total current financial liabilities-33.7%231348180257260301
Provisions, current75%0.910.640.540.420.20.2
Total current liabilities-18.1%403492278359320372
Total liabilities-1.1%2,4152,4432,3522,3662,2732,260
Equity share capital0%238238175146141127
Non controlling interest-0.01-0.050.050.050.05
Total equity-9.6%508562122-25.514.4925
Total equity and liabilities-2.8%2,9233,0062,4742,3402,2772,285
Standalone figures (in Rs. Crores) /
Description(%) Q/QSep-2025Mar-2025Sep-2024Mar-2024Sep-2023Mar-2023
Cash and cash equivalents-58.7%19246483382930
Total current financial assets-5.5%2,5552,7052,2322,1262,0772,091
Inventories26.9%1199463725273
Current tax assets23.1%1714118.984.592.64
Total current assets-3.3%2,8442,9422,4232,2962,2112,242
Property, plant and equipment19.5%504236333331
Capital work-in-progress556.9%4.290.28-000
Non-current investments

Cash Flow for Jyoti Structures

Consolidated figures (in Rs. Crores) /
Description(%) Q/QMar-2025Mar-2024Mar-2023Mar-2022Mar-2021Mar-2020
Finance costs-000.3801,495-
Change in inventories-1200.6%-22.54-0.81000-
Depreciation16.3%8.57.455.417.2810-
Unrealised forex losses/gains--1.040-12.03-6.6647-
Adjustments for interest income-0001.050.15-
Share-based payments-5.280000-
Net Cashflows from Operations-739%-172-19.62-42.49-99.55-2.19-
Interest paid-11300%-0.121.01000-
Interest received-4373.3%-5.411.15-1.3800-
Net Cashflows From Operating Activities-770.6%-177.29-19.48-43.86-99.55-2.19-
Proceeds from sales of PPE-187.6%0.221.89000-
Purchase of property, plant and equipment90.4%189.93101.220-
Interest received2846.7%5.421.151.381.050.15-
Net Cashflows From Investing Activities-75.4%-12.84-6.89-9.02-0.170.15-
Proceeds from issuing shares1246%6745101700-
Repayments of borrowings314.3%5915000-
Interest paid-8900%0.121.010.3800-
Net Cashflows from Financing Activities1760.6%61534-0.381700-
Net change in cash and cash eq.5871.8%4258.1-53.2670-2.04-
Standalone figures (in Rs. Crores) /
Description(%) Q/QMar-2025Mar-2024Mar-2023Mar-2022Mar-2021Mar-2020
Finance costs-10100%01.010.3801,495-
Change in inventories-1200.6%-22.54-0.81000-
Depreciation16.5%8.57.445.417.089.67-
Impairment loss / reversal-001.500-
Unrealised forex losses/gains--1.040-12.03-6.669.09-
Adjustments for interest income-0001.050.15-
Share-based payments-5.280000-
Net Cashflows from Operations

0%
10
10
12
11
6.7
5.19
Total profit before tax0%101012116.75.19
Deferred tax71.4%0.45-0.920.36-0.24-0.370.1
Total tax71.4%0.45-0.920.36-0.24-0.370.1
Total profit (loss) for period-12.8%9.721112117.065.09
Other comp. income net of taxes33.3%0.380.070.14-0.080.280.09
Total Comprehensive Income-10%101112117.345.18
Earnings Per Share, Basic-1.1%0.080.090.140.1330.080.063
Earnings Per Share, Diluted-1.1%0.080.090.130.1290.080.059
-8900%
0.12
1.01
0.38
0
1,494
1,473
Depreciation and Amortization16.5%8.57.445.417.089.6716
Other expenses10.4%2131937629246795
Total Expenses5.9%469443235481,7592,302
Profit Before exceptional items and Tax84.2%3620-4.06-42.64-1,758.47-2,300.02
Total profit before tax84.2%3620-4.06-42.64-1,758.47-2,300.02
Deferred tax89.1%-0.15-9.570000
Total tax89.1%-0.15-9.570000
Total profit (loss) for period25%3629-4.06-42.64-1,758.47-2,300.02
Other comp. income net of taxes22.2%0.440.28-0.9-0.04120.09
Total Comprehensive Income20.7%3630-4.96-42.68-1,746.69-2,299.93
Earnings Per Share, Basic-1.9%0.410.421-0.064-1.02-160.55-209.99
Earnings Per Share, Diluted-0.5%0.40.403-0.058-0.94-160.55-209.99
Description(%) Q/QSep-2025Jun-2025Mar-2025Dec-2024Sep-2024Jun-2024
Revenue From Operations-3.2%15115616513710788
Other Income-31.1%4.616.242.281.291.81.3
Total Income-4.3%15516216713910990
Cost of Materials0%919167483843
Employee Expense0%18181615144.81
Finance costs5.1%0.070.020.0400.030.05
Depreciation and Amortization14.9%3.162.882.62.111.981.81
Other expenses10.4%544978474247
Total Expenses-4.6%14515215512710384
Profit Before exceptional items and Tax0%101012116.75.19
Total profit before tax0%101012116.75.19
Deferred tax71.4%0.45-0.920.36-0.24-0.370.1
Total tax71.4%0.45-0.920.36-0.24-0.370.1
Total profit (loss) for period-12.8%9.721112127.065.09
Other comp. income net of taxes33.3%0.380.070.14-0.080.280.09
Total Comprehensive Income-10%101112127.355.18
Earnings Per Share, Basic-1.1%0.080.090.140.1360.080.063
Earnings Per Share, Diluted-1.1%0.080.090.130.1320.080.059
0.6%
7.64
7.6
7.68
7.55
7.44
7.35
Total non-current financial assets0%111111111211
Total non-current assets22.2%675549454543
Total assets-2.8%2,9122,9972,4712,3412,2562,285
Borrowings, non-current3.2%1,9351,8751,9271,8571,7931,729
Total non-current financial liabilities3.1%2,0191,9592,0822,0151,9521,888
Provisions, non-current59.3%3.152.351.611.641.490.86
Total non-current liabilities3.1%2,0121,9522,0742,0071,9531,888
Borrowings, current-81.7%231215.1596674
Total current financial liabilities-38%197317148227240270
Provisions, current58.7%0.810.540.450.330.20.2
Total current liabilities-19.9%368459245328299340
Total liabilities-1.3%2,3802,4112,3192,3342,2522,228
Equity share capital0%238238175146141127
Total equity-9.4%5325871537.053.6556
Total equity and liabilities-2.8%2,9122,9972,4712,3412,2562,285
-704%
-171.79
-20.49
-34.62
-99.54
-2.03
-
Interest paid--0.120000-
Interest received-4373.3%-5.411.15-1.3800-
Net Cashflows From Operating Activities-775.5%-177.08-19.34-36-99.54-2.03-
Proceeds from sales of PPE-192.9%0.221.840.4200-
Purchase of property, plant and equipment90.4%189.93121.220-
Purchase of intangible assets under development-0.760000-
Interest received2846.7%5.421.151.381.050.15-
Net Cashflows From Investing Activities-74.3%-12.84-6.94-10.53-0.180.15-
Proceeds from issuing shares1246%6745101700-
Repayments of borrowings314.3%59156.3400-
Interest paid-8900%0.121.010.3800-
Net Cashflows from Financing Activities1760.6%61534-6.711700-
Net change in cash and cash eq.5797.1%4258.19-53.2470-1.88-