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540710

CAPACITE

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CAPACITE INFRAPROJECT LTD Share Price Today

CAPACITE INFRAPROJECT LTD is currently trading at ₹220.52, up by ₹4.85 from the previous close. The stock touched an intraday high of ₹221.50 and a low of ₹216.20 during the latest trading session. Over the past one year, CAPACITE INFRAPROJECT LTD has delivered a loss of 37.39%, while the stock has declined 14.58% in the last one month.

CAPACITE INFRAPROJECT LTD performance

Today’s low Today’s high
₹ 216.20 ₹ 221.50
₹ 219.45
52 week low 52 week high
₹ 180.00 ₹ 357.65
₹ 219.45
Open Price ₹ 217.25
Prev. Close ₹ 215.67
Volume (Shares) 112907.00
Total traded value ₹ 247.77
Upper Circuit ₹ 258.80
Lower Circuit ₹ 172.54
info

Investment Returns

Over 1 Month -14.58% Over 3 Months -0.55% Over 6 Months -14.29% Over 1 Year -37.39%
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CAPACITE INFRAPROJECT LTD fundamentals


  • Market cap (Cr) 1,857.20
  • P/E Ratio (TTM) 10.38
  • Beta 1.68
  • Book Value / share 220.90
  • Return on equity 11.27%
  • EPS (TTM) 20.79
  • Dividend yield 0.00%
  • Net profit/quarter (Cr) 45.26
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  • Market cap (Cr) 1,858.30
  • P/E Ratio (TTM) 10.38
  • Beta 1.57
  • Book Value / share 220.90
  • Return on equity 11.27%
  • EPS (TTM) 20.79
  • Dividend yield 0.00%
  • Net profit/quarter (Cr) 45.26
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CAPACITE INFRAPROJECT LTD Financials

  • Key Results
  • Key Ratios
  • Balance sheet
  • Cash Flow
  • Competition
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Revenue
Net income
Particulars MAR 2026 (Values in Cr)
Revenue 599.86
Operating Expense 539.39
Net Profit 45.26
Net Profit Margin (%) 7.54
Earnings Per Share (EPS) 5.35
EBITDA 112.43
Effective Tax Rate (%) 25.28
Particulars DEC 2025 (Values in Cr)
Revenue 554.81
Operating Expense 498.57
Net Profit 45.13
Net Profit Margin (%) 8.13
Earnings Per Share (EPS) 5.33
EBITDA 107.48
Effective Tax Rate (%) 25.56
Particulars SEP 2025 (Values in Cr)
Revenue 574.77
Operating Expense 519.81
Net Profit 44.95
Net Profit Margin (%) 7.82
Earnings Per Share (EPS) 5.31
EBITDA 105.98
Effective Tax Rate (%) 23.89
Particulars JUN 2025 (Values in Cr)
Revenue 506.22
Operating Expense 460.16
Net Profit 40.53
Net Profit Margin (%) 8.00
Earnings Per Share (EPS) 4.79
EBITDA 104.35
Effective Tax Rate (%) 27.40
Particulars MAR 2025 (Values in Cr)
Revenue 593.77
Operating Expense 560.40
Net Profit 49.82
Net Profit Margin (%) 8.39
Earnings Per Share (EPS) 5.89
EBITDA 116.63
Effective Tax Rate (%) 24.96
Particulars MAR 2026 (Values in Cr)
Revenue 2235.65
Operating Expense 2017.93
Net Profit 175.87
Net Profit Margin (%) 7.86
Earnings Per Share (EPS) 20.79
EBITDA 430.25
Effective Tax Rate (%) 25.50
Particulars MAR 2025 (Values in Cr)
Revenue 2188.76
Operating Expense 2006.01
Net Profit 180.78
Net Profit Margin (%) 8.25
Earnings Per Share (EPS) 21.37
EBITDA 426.53
Effective Tax Rate (%) 24.31
Particulars MAR 2024 (Values in Cr)
Revenue 1867.76
Operating Expense 1739.75
Net Profit 117.80
Net Profit Margin (%) 6.30
Earnings Per Share (EPS) 15.75
EBITDA 359.96
Effective Tax Rate (%) 28.04
Particulars MAR 2023 (Values in Cr)
Revenue 1790.76
Operating Expense 1664.99
Net Profit 94.33
Net Profit Margin (%) 5.26
Earnings Per Share (EPS) 13.89
EBITDA 360.35
Effective Tax Rate (%) 30.09
Particulars MAR 2022 (Values in Cr)
Revenue 1339.83
Operating Expense 1287.06
Net Profit 48.46
Net Profit Margin (%) 3.61
Earnings Per Share (EPS) 7.14
EBITDA 231.61
Effective Tax Rate (%) 26.39
Particulars MAR 2025 (Values in Cr)
Book Value / Share 203.14
ROE % 12.60
ROCE % 16.99
Total Debt to Total Equity 0.23
EBITDA Margin 19.30
Particulars MAR 2024 (Values in Cr)
Book Value / Share 179.30
ROE % 9.29
ROCE % 14.72
Total Debt to Total Equity 0.27
EBITDA Margin 18.86
Particulars MAR 2023 (Values in Cr)
Book Value / Share 156.29
ROE % 9.35
ROCE % 14.29
Total Debt to Total Equity 0.35
EBITDA Margin 20.09
Particulars MAR 2022 (Values in Cr)
Book Value / Share 142.16
ROE % 5.04
ROCE % 8.69
Total Debt to Total Equity 0.33
EBITDA Margin 17.24
Particulars MAR 2021 (Values in Cr)
Book Value / Share 136.79
ROE % 0.16
ROCE % 4.85
Total Debt to Total Equity 0.33
EBITDA Margin 18.76
Particulars MAR 2025 (Values in Cr)
Book Value / Share 200.30
ROE % 11.27
ROCE % 15.87
Total Debt to Total Equity 0.24
EBITDA Margin 19.49
Particulars MAR 2024 (Values in Cr)
Book Value / Share 179.03
ROE % 9.10
ROCE % 14.53
Total Debt to Total Equity 0.27
EBITDA Margin 19.27
Particulars MAR 2023 (Values in Cr)
Book Value / Share 156.30
ROE % 9.25
ROCE % 14.22
Total Debt to Total Equity 0.35
EBITDA Margin 20.12
Particulars MAR 2022 (Values in Cr)
Book Value / Share 142.32
ROE % 5.11
ROCE % 8.74
Total Debt to Total Equity 0.33
EBITDA Margin 17.29
Particulars MAR 2021 (Values in Cr)
Book Value / Share 136.84
ROE % 0.19
ROCE % 4.86
Total Debt to Total Equity 0.33
EBITDA Margin 18.78
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 93.88
Total Assets 3500.07
Total Liabilities 3500.07
Total Equity 1719.99
Share Outstanding 8
Price to Book Ratio 1.76
Return on Assets (%) 5.78
Return on Capital (%) 9.48
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 209.41
Total Assets 3149.13
Total Liabilities 3149.13
Total Equity 1517.07
Share Outstanding 8
Price to Book Ratio 1.46
Return on Assets (%) 3.81
Return on Capital (%) 6.53
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 174.56
Total Assets 2612.03
Total Liabilities 2612.03
Total Equity 1073.45
Share Outstanding 6
Price to Book Ratio 0.76
Return on Assets (%) 3.64
Return on Capital (%) 6.6
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 183.88
Total Assets 2381.33
Total Liabilities 2381.33
Total Equity 965.17
Share Outstanding 6
Price to Book Ratio 0.77
Return on Assets (%) 2.00
Return on Capital (%) 3.69
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 156.22
Total Assets 2245.56
Total Liabilities 2245.56
Total Equity 928.67
Share Outstanding 6
Price to Book Ratio 1.47
Return on Assets (%) 0.06
Return on Capital (%) 0.13
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 92.47
Total Assets 3377.99
Total Liabilities 3377.99
Total Equity 1694.58
Share Outstanding 8
Price to Book Ratio 1.76
Return on Assets (%) 5.35
Return on Capital (%) 8.56
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 208.98
Total Assets 3087.68
Total Liabilities 3087.68
Total Equity 1514.66
Share Outstanding 8
Price to Book Ratio 1.46
Return on Assets (%) 3.81
Return on Capital (%) 6.4
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 166.15
Total Assets 2597.15
Total Liabilities 2597.15
Total Equity 1073.56
Share Outstanding 6
Price to Book Ratio 0.76
Return on Assets (%) 3.63
Return on Capital (%) 6.54
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 183.87
Total Assets 2383.99
Total Liabilities 2383.99
Total Equity 966.24
Share Outstanding 6
Price to Book Ratio 0.77
Return on Assets (%) 2.03
Return on Capital (%) 3.74
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 156.21
Total Assets 2245.03
Total Liabilities 2245.03
Total Equity 929.04
Share Outstanding 6
Price to Book Ratio 1.47
Return on Assets (%) 0.07
Return on Capital (%) 0.15
Particulars MAR 2025 (Values in Cr)
Net Income 265.12
Cash from Operations 93.71
Cash from Investing -8.70
Cash from Financing 1.99
Net change in Cash 44.82
Free Cash Flow 196.43
Particulars MAR 2024 (Values in Cr)
Net Income 167.38
Cash from Operations -32.79
Cash from Investing -152.34
Cash from Financing 181.55
Net change in Cash -9.60
Free Cash Flow 51.96
Particulars MAR 2023 (Values in Cr)
Net Income 135.95
Cash from Operations 118.40
Cash from Investing -60.55
Cash from Financing -33.60
Net change in Cash 6.77
Free Cash Flow 210.77
Particulars MAR 2022 (Values in Cr)
Net Income 65.13
Cash from Operations 59.87
Cash from Investing -22.93
Cash from Financing 0.71
Net change in Cash 12.27
Free Cash Flow 162.01
Particulars MAR 2021 (Values in Cr)
Net Income 4.57
Cash from Operations 85.22
Cash from Investing -122.13
Cash from Financing -52.65
Net change in Cash -97.75
Free Cash Flow 197.79
Particulars MAR 2025 (Values in Cr)
Net Income 238.86
Cash from Operations 88.71
Cash from Investing -6.40
Cash from Financing 1.99
Net change in Cash 43.83
Free Cash Flow 189.81
Particulars MAR 2024 (Values in Cr)
Net Income 163.71
Cash from Operations -29.69
Cash from Investing -147.91
Cash from Financing 181.55
Net change in Cash -1.63
Free Cash Flow 55.07
Particulars MAR 2023 (Values in Cr)
Net Income 134.94
Cash from Operations 104.69
Cash from Investing -55.51
Cash from Financing -33.60
Net change in Cash -1.63
Free Cash Flow 192.02
Particulars MAR 2022 (Values in Cr)
Net Income 65.83
Cash from Operations 59.89
Cash from Investing -22.83
Cash from Financing 0.71
Net change in Cash 12.28
Free Cash Flow 162.03
Particulars MAR 2021 (Values in Cr)
Net Income 4.82
Cash from Operations 85.40
Cash from Investing -120.60
Cash from Financing -52.63
Net change in Cash -97.73
Free Cash Flow 197.96
Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
ADITYA BIRLA REAL ESTATE LIMIT 1217.35 0.00 3.67 13597.27 1080.10 2535.00
ELPRO INTERNATIONAL LTD 167.05 32.37 1.39 2831.15 71.20 178.00
FORBES & COMPANY LTD. 313.10 30.11 2.02 403.90 301.90 477.00
GOLDEN TOBACCO LIMITED 40.25 13.37 -0.33 70.88 36.00 60.90
Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
SANATHNAGAR ENTERPRISES LIMITE 37.82 118.19 -0.96 11.91 29.01 54.33
BARODA RAYON CORPORATION LTD. 126.95 14.33 0.73 290.86 100.10 175.00
ADITYA BIRLA REAL ESTATE LIMIT 1217.35 88.92 2.89 13597.27 1080.10 2535.00
ELPRO INTERNATIONAL LTD 167.05 85.23 1.34 2831.15 71.20 178.00

CAPACITE INFRAPROJECT LTD shareholding pattern

Holding
45.53%
31.69%
14.95%
7.82%
31.89%
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CAPACITE INFRAPROJECT LTD Technicals Summary

  • EMA & SMA
  • Resistance and Support
  • Delivery and Volume
  • Beta
  • Price Change Analysis
219.52 1.78 redarrow
red-green-graph indicator
16 Bearish
0 Bullish
  • 5 Days 221.30
  • 26 Days 228.80
  • 10 Days 223.30
  • 50 Days 231.90
  • 12 Days 224.20
  • 100 Days 238.90
  • 20 Days 227.20
  • 200 Days 257.80
218.19 PIVOT
First Support 212.48 First Resistance 221.38 Second Support 209.29 Second Resistance 227.09 Third Support 203.58 Third Resistance 230.28
RSI 37.84 ADX 43.63 MACD -4.60 Williams % R -82.51 Commodity Channel Index (CCI) -102.03
Date 2026-06-08 Week 88901.00 Same Day 90695.00 Month 138270.00
1 Year 1.68 3 Year 1.60
Over 1 Month
-14.58% down
Over 1 Year
-37.39% down
Over 3 Months
-0.55% down
Over 3 Years
4.02% down
Over 6 Months
-14.29% down
Over 5 Years
0.86% down

CAPACITE INFRAPROJECT LTD Corporate Actions

Dividend date Dividend amount Dividend type Record date Instrument type
20 Aug 2019 1.0 Final 22 Aug 2019 Equity shares
24 Aug 2018 1.0 Final 27 Aug 2018 Equity shares
Dividend date Dividend amount Dividend type Record date Instrument type
20 Aug 2019 1.0 Final 22 Aug 2019 Equity shares
24 Aug 2018 1.0 Final 27 Aug 2018 Equity shares

Top Gainers

Top Losers

Capacite Infraprojects Share Result Highlights

Capacite Infraproject’s consolidated revenue for Q1 FY25, was ₹589 crore compared to ₹570 crore in Q1 FY24. The company's operating profit was ₹102 crore in Q1 FY25 compared to ₹108 crore in Q1 FY24. Net profit was reported at ₹47 crore in Q1 FY25, down from the ₹53 crore in Q1 FY24.

Date Source: screener.in, and corporate filings on NSE/BSE 

Capacite Infraprojects Share Annual Reports

Capacite Infraprojects announced consolidated revenue of ₹2,350 crore for FY 2024-25 compared to ₹1,932 crore in FY 2023-24. Operating profit increased to ₹381 crore, compared to ₹334 crore in the previous year. Net profit for the year was ₹204 crore, compared to ₹120 crore the previous year, reflecting an increase in profits with growing revenues.

Date Source: screener.in, and corporate filings on NSE/BSE 

Capacite Infraprojects Share Dividend

Capacite Infraprojects also did not declare a dividend for FY 2024-25 and has been maintaining its no-dividend streak for all the previous years. No interim dividend or final dividend was declared during the financial year 2024-25. In other words, the dividend yield for shareholders remained zero.

Date Source: screener.in, and corporate filings on NSE/BSE 

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Frequently Asked Questions

What is the Current Share Price of Capacite Infraprojects Ltd?

Answer Field

Capacite Infraprojects Ltd share price is for NSE ₹ 220.52 & for BSE ₹ 221.60 as on Jun 09 2026 03:30 PM.

What is the Market Cap of Capacite Infraprojects Ltd Share?

Answer Field

The market cap of Capacite Infraprojects Ltd for NSE ₹ 0.00 & for BSE ₹ 0.00 as on Jun 09 2026 03:30 PM.

What is the 52 Week High and Low of Capacite Infraprojects Ltd?

Answer Field

The 52 Week High and Low of Capacite Infraprojects Ltd for NSE is ₹ 357.65 and ₹ 180.00 and for BSE is ₹ 357.65 and ₹ 178.90.

What is 1 year return for Capacite Infraprojects Ltd?

Answer Field

The 1 year returns on the stock has been -37.39%.

What is the P/E Ratio of Capacite Infraprojects Ltd Share?

Answer Field

As on Jun 09 2026 03:30 PM the price-to-earnings (PE) ratio for Capacite Infraprojects Ltd share is 10.38.

What is the PB ratio of Capacite Infraprojects Ltd Share?

Answer Field

As on Jun 09 2026 03:30 PM, the price-to-book (PB) ratio for Capacite Infraprojects Ltd share is 220.90.

How to Buy Capacite Infraprojects Ltd Share?

Answer Field

You can trade in Capacite Infraprojects Ltd shares with Bajaj Broking by opening a demat account.

How to Buy Capacite Infraprojects Ltd Share on Bajaj Broking App?

Answer Field

To buy Capacite Infraprojects Ltd shares on the Bajaj Broking app, follow these steps:

• Login to the Bajaj Broking App

• Click on the Search Icon

• Search “Capacite Infraprojects Ltd”

• Click on the BUY icon

• Place a buy order specifying the desired quantity of shares.

• Click BUY again to complete the purchase

Who is the CEO of Capacite Infra?

Answer Field

The CEO of Capacite Infra is Mr. Rahul Katyal. As CEO, he is responsible for overseeing the company’s strategic growth and ensuring its operational efficiency, which directly impacts the Capacite Infra share price. Under his leadership, the company has expanded its project portfolio in the infrastructure sector, helping drive revenue growth and maintain a competitive edge in the industry.

When was Capacite Infra established?

Answer Field

Capacite Infra was established in 2012. Since its inception, the company has focused on providing end-to-end infrastructure solutions, specialising in real estate and commercial projects. Over the years, it has grown significantly, building a strong market presence and contributing to the positive movement of the Capacite Infraproject share price. The company’s strategic growth initiatives have positioned it as a key player in the industry.

What factors influence the Capacite Infra share price?

Answer Field

Several factors influence the Capacite Infra share price, including the company’s financial performance, revenue growth, and project execution rates. External factors such as government policies, demand in the infrastructure sector, and economic conditions also play a crucial role. Additionally, investor sentiment regarding the company’s ability to manage costs and secure new contracts affects the share price’s movement.

Is Capacite Infra debt free?

Answer Field

Capacite Infra is not entirely debt-free but maintains a manageable level of debt. The company focuses on efficient debt management to ensure that its financial obligations do not negatively impact profitability. This controlled debt structure helps maintain the financial stability of the company, contributing positively to the Capacite Infra share price, as investors generally prefer companies with a balanced approach to managing liabilities.

How has the Capacite Infra share price performed over the past year?

Answer Field

Over the past year, the Capacite Infra share price has shown moderate growth, supported by the company’s consistent project execution and financial results. Despite some fluctuations due to broader market conditions, the company’s focus on expanding its project portfolio and improving operational efficiency has helped maintain investor confidence. Overall, the Capacite Infraproject share price has remained stable, reflecting the company’s solid performance and growth potential.

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