About Capacit'e Infraprojects Limited
Data last updated: 05 January 2026
Capacit'e Infraprojects Limited is a public limited company based in Mumbai, Maharashtra, India. The company specialises in engineering. Incorporated on 09 August 2012, the company has been in operation for over 14 years.
Registered with ROC Mumbai under CIN U45400MH2012PTC234318. Listed on BSE: 540710 and NSE: CAPACITE.
Capital: an authorised share capital of ₹90 Cr and a paid-up capital of ₹84.6 Cr. Formerly known as Capacit'E Infraprojects Private Limited. It is led by directors including Arun Vishnu Karambelkar and Rohit Ramnath Katyal.
Last AGM: 25 July 2025. Financial statements filed for year ended 31 March 2025. Office: Mumbai, Maharashtra.
As per the financials filed for FY 2025, the company reported a revenue of ₹2,407.11 Cr, a growth of 23% compared to the previous year.
The company has a workforce of approximately 2,752 employees as per the latest available data.
The company is associated with 1 brand - Capacite Infraproject. As per MCA filings, the company has open charges of ₹3,054.61 Cr and satisfied charges of ₹1,070.44 Cr on record.
The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website capacite.in.
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Social Media
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Registered Address605 – 607 Shrikant Chambers Phase – I 6Th Floor Adjacent To R. K. Studios Sion – Trombay, Road, Mumbai, Maharashtra, India – 400071
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IndustryEngineering, Engineering, Procurement & Construction (EPC)
- Historical Financials and ratios
- Shareholding pattern and group structure
- Charges with holder and property details
- Litigation, compliance and MCA filings
- PDF report delivered after checkout
CIN History of Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited has 2 previous CINs, indicating changes in the company's corporate structure or registration details. The current CIN is L45400MH2012PLC234318, which is the unique identifier assigned by the Registrar of Companies.
| CIN | Status |
|---|---|
| L45400MH2012PLC234318 | Current |
| U45400MH2012PTC234318 | Previous |
| U45400MH2012PLC234318 | Previous |
Associated Brands with Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited operates one associated brand: Capacite Infraproject. These brands represent Capacit'e Infraprojects Limited's diversified market presence and brand portfolio.
| Brand | Description | Website |
|---|---|---|
| Provider of engineering, procurement, and construction services for building projects | capacite.in |
Competitors & Alternatives of Capacit'e Infraprojects Limited
Brands and companies operating in the same space as Capacit'e Infraprojects Limited include Godrej Properties, Vingroup, Lendlease and 6 more.
| Competitor | Description | Location | Founded |
|---|---|---|---|
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Residential and commercial properties are developed by Godrej Properties. | Mumbai, India, India | 1990 |
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Real estate development and management services are offered by Vingroup. | Hanoi, Vietnam, Vietnam | 1993 |
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Sustainable project development and maintenance services are provided worldwide. | Melbourne, Australia, Australia | 1958 |
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Residential and commercial properties are developed and managed across regions. | Singapore, Singapore, Singapore | 1924 |
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Residential and commercial real estate development is conducted by Sunac. | Shanghai, China, China | 2003 |
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Developer of residential and commercial real estate properties | Mumbai, India, India | 1980 |
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Real estate properties are developed in over 50 cities. | Shenzhen, China, China | 1984 |
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Eiffage is engaged in construction, energy, and infrastructure concessions. | Paris, France, France | 1920 |
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Real estate development and management services are provided globally. | Singapore, Singapore, Singapore | 1963 |
Business Activity of Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited is engaged in the principal business activity of construction, with detailed activities including buildings.
| Main Activity Group Code | Description of Main Activity | Business Activity Code | Description of Business Activity | Turnover Percentage |
|---|---|---|---|---|
| F | Construction | F1 | Buildings | ********* |
Auditor Details of Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited is audited by For M S K A & Associates LLP (Formerly known as M S K A & Associates) Chartered Accountants ICAI Firm Registration: 105047W/W101187 (ICAI peer reviewed, certificate valid till 2027-07-31) for the financial year 2026, as reported in its NSE exchange filings. The statutory auditor is responsible for expressing an independent opinion on whether the financial statements present a true and fair view in accordance with applicable accounting standards.
| Name | Financial year | Audit opinion |
|---|---|---|
| For M S K A & Associates LLP (Formerly known as M S K A & Associates) Chartered Accountants ICAI Firm Registration: 105047W/W101187 (ICAI peer reviewed, certificate valid till 2027-07-31) | FY 2026 | Statement on impact of audit qualification |
Board of Directors of Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited is currently managed by 10 directors, with 26 former directors having served the organization. The current Directors play a crucial role in shaping the company's strategic direction and governance.
| Name | Designation | Appointment Date | Tenure | Status |
|---|---|---|---|---|
|
Arun Vishnu Karambelkar
Also directs:
Hindustan Construction Company Limited
|
Director | 18 May 2018 | 8 Years 1 Months | Current |
| Rohit Ramnath Katyal | Whole-Time Director | 01 Mar 2014 | 12 Years 4 Months | Current |
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Rahul Ramnath Katyal
Also directs:
Tpl-Cil Construction Llp, Cepl-Adl Construction Llp, Cil Mmepl Ekatha Private Limited and 4 more
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Managing Director | 09 Aug 2012 | 13 Years 11 Months | Current |
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Kartik Jayantilal Rawal
Also directs:
Beq N Bn Advisory Llp, Seruka Consulting And Advisory Llp
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Director | 03 May 2024 | 2 Years 2 Months | Current |
| Subir Malhotra | Whole-Time Director | 09 Aug 2012 | 13 Years 11 Months | Current |
| Rajesh Das | Cfo | 12 Aug 2023 | 2 Years 10 Months | Current |
Financials of Capacit'e Infraprojects Limited FY 2026 filings available
Capacit'e Infraprojects Limited reported revenue of ₹2,622.72 Cr (up 11.63% YoY) for FY 2026. Profit growth despite declining revenue indicates effective cost management and margin discipline.
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
|---|---|---|---|---|---|---|---|
| Revenue from Operations | ₹2,622.72 Cr | ₹2,349.51 Cr | ₹1,931.64 Cr | ₹1,798.59 Cr | ₹1,334.79 Cr | ₹879.72 Cr | ₹1,528.99 Cr |
| Other Income | ₹20.91 Cr | ₹57.6 Cr | ₹32.02 Cr | ₹9.52 Cr | ₹13.14 Cr | ₹28.8 Cr | ₹25.4 Cr |
| Total Income | ₹2,643.63 Cr | ₹2,407.11 Cr | ₹1,963.65 Cr | ₹1,808.11 Cr | ₹1,347.92 Cr | ₹908.52 Cr | ₹1,554.39 Cr |
| Cost of Materials Consumed | ₹824.27 Cr | ₹812.52 Cr | ₹691.27 Cr | ₹668.3 Cr | ₹554.89 Cr | ₹356.91 Cr | ₹657.63 Cr |
| Purchases of Stock-in-Trade | ₹58.13 Cr | ₹51.38 Cr | ₹14.07 Cr | ₹0 | ₹0 | ₹0 | ₹0 |
| Changes in Inventories | -₹1.46 Cr | ₹2.96 Cr | -₹3.35 Cr | ₹0 | ₹0 | ₹0 | ₹0 |
| Employee Benefit Expense | ₹182.31 Cr | ₹149.32 Cr | ₹124.39 Cr | ₹127.64 Cr | ₹108.89 Cr | ₹78.81 Cr | ₹137.03 Cr |
| Finance Costs | ₹96.41 Cr | ₹93.35 Cr | ₹95.63 Cr | ₹89.43 Cr | ₹66.98 Cr | ₹70.3 Cr | ₹64.53 Cr |
| Depreciation & Amortisation | ₹99.12 Cr | ₹95.08 Cr | ₹101.36 Cr | ₹136 Cr | ₹98.81 Cr | ₹90.16 Cr | ₹114.18 Cr |
| Other Expenses | ₹1,132.24 Cr | ₹953.97 Cr | ₹773.89 Cr | ₹651.29 Cr | ₹457.51 Cr | ₹307.52 Cr | ₹477.63 Cr |
| Total Expenses | ₹2,391.01 Cr | ₹2,158.58 Cr | ₹1,797.27 Cr | ₹1,672.65 Cr | ₹1,287.08 Cr | ₹903.7 Cr | ₹1,451 Cr |
| Profit Before Exceptional Items & Tax | ₹252.62 Cr | ₹248.52 Cr | ₹166.38 Cr | ₹135.46 Cr | ₹60.84 Cr | ₹4.82 Cr | ₹103.38 Cr |
| Exceptional Items | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Profit Before Tax | ₹252.62 Cr | ₹248.52 Cr | ₹166.38 Cr | ₹135.46 Cr | ₹60.84 Cr | ₹4.82 Cr | ₹103.38 Cr |
| Total Tax Expense | ₹65.61 Cr | ₹61.35 Cr | ₹47.05 Cr | ₹40.66 Cr | ₹16.11 Cr | ₹3.05 Cr | ₹12.32 Cr |
| Net Profit | ₹193.09 Cr | ₹203.77 Cr | ₹120.33 Cr | ₹95.3 Cr | ₹43.99 Cr | ₹1.53 Cr | ₹91.03 Cr |
| attributable to Owners | ₹191.53 Cr | - | ₹120.28 Cr | ₹95.29 Cr | ₹43.99 Cr | ₹1.53 Cr | ₹91.03 Cr |
| attributable to NCI | ₹1.56 Cr | - | ₹5.31 Lakh | ₹56,000 | - | - | - |
| Other Comprehensive Income | -₹1.19 Cr | -₹84.63 Lakh | ₹79.73 Lakh | ₹58.17 Lakh | ₹26.57 Lakh | ₹1.39 Cr | ₹5.14 Lakh |
| Total Comprehensive Income | ₹191.9 Cr | ₹202.92 Cr | ₹121.13 Cr | ₹95.88 Cr | ₹44.25 Cr | ₹2.92 Cr | ₹91.08 Cr |
| EBITDA (computed) | ₹448.14 Cr | ₹436.95 Cr | ₹363.37 Cr | ₹360.88 Cr | ₹226.63 Cr | ₹165.28 Cr | ₹282.1 Cr |
| Basic EPS | ₹22.82 | ₹24.08 | ₹16.09 | ₹14.04 | ₹6.48 | ₹0.23 | ₹13.41 |
| Diluted EPS | ₹22.82 | ₹24.08 | ₹16.09 | ₹13.97 | ₹6.48 | ₹0.23 | ₹13.41 |
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 |
|---|---|---|---|---|
| Total Assets | ₹3,922.28 Cr | ₹3,500.08 Cr | ₹3,149.13 Cr | ₹2,623.81 Cr |
| Non-current Assets | ₹1,144.29 Cr | ₹798.36 Cr | ₹759.82 Cr | ₹886.04 Cr |
| Current Assets | ₹2,738.36 Cr | ₹2,636.52 Cr | ₹2,344.5 Cr | ₹1,737.77 Cr |
| Property, Plant & Equipment | ₹640.36 Cr | ₹582.16 Cr | ₹587.82 Cr | ₹651.26 Cr |
| Inventories | ₹128.89 Cr | ₹109.85 Cr | ₹111.07 Cr | ₹98.55 Cr |
| Trade Receivables | ₹1,085 Cr | ₹1,079.77 Cr | ₹547.97 Cr | ₹347.67 Cr |
| Cash & Equivalents | ₹91.23 Cr | ₹64.1 Cr | ₹19.28 Cr | ₹47.07 Cr |
| Equity (Net Worth) | ₹1,911.9 Cr | ₹1,720 Cr | ₹1,517.08 Cr | ₹1,073.45 Cr |
| Equity Share Capital | ₹84.6 Cr | ₹84.6 Cr | ₹84.6 Cr | ₹67.89 Cr |
| Borrowings (Non-current) | ₹128.66 Cr | ₹149.06 Cr | ₹123.82 Cr | ₹111.62 Cr |
| Borrowings (Current) | ₹343.11 Cr | ₹267.6 Cr | ₹201.97 Cr | ₹254.42 Cr |
| Total Debt (computed) | ₹471.77 Cr | ₹416.66 Cr | ₹325.8 Cr | ₹366.04 Cr |
| Current Liabilities | ₹1,656.7 Cr | ₹1,454.44 Cr | ₹1,342.63 Cr | ₹1,206.49 Cr |
| Total Liabilities | ₹2,010.39 Cr | ₹1,780.08 Cr | ₹1,632.06 Cr | ₹1,550.36 Cr |
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 | FY 2022 |
|---|---|---|---|---|---|
| Operating Cash Flow | ₹223.3 Cr | ₹51.53 Cr | -₹38.82 Cr | ₹101.35 Cr | ₹34.49 Cr |
| Investing Cash Flow | -₹152.86 Cr | -₹8.7 Cr | -₹152.35 Cr | -₹42.79 Cr | -₹22.93 Cr |
| Financing Cash Flow | -₹43.3 Cr | ₹2 Cr | ₹181.55 Cr | -₹33.6 Cr | ₹71.29 Lakh |
| Capital Expenditure | ₹174.84 Cr | ₹102.71 Cr | ₹84.76 Cr | ₹92.37 Cr | ₹102.14 Cr |
| Free Cash Flow (computed) | ₹48.46 Cr | -₹51.18 Cr | -₹123.58 Cr | ₹8.98 Cr | -₹67.64 Cr |
| Dividends Paid | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Net Change in Cash | ₹27.13 Cr | ₹44.83 Cr | -₹9.61 Cr | ₹47.07 Cr | ₹12.28 Cr |
| Metrics | Q4 FY26 | Q3 FY26 | Q2 FY26 | Q1 FY26 | Q4 FY25 | Q3 FY25 | Q2 FY25 | Q1 FY25 | Q4 FY24 | Q3 FY24 | Q2 FY24 | Q1 FY24 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue from Operations | ₹711.78 Cr | ₹675.42 Cr | ₹646.16 Cr | ₹589.36 Cr | ₹671.3 Cr | ₹590.49 Cr | ₹517.97 Cr | ₹569.75 Cr | ₹598.89 Cr | ₹480.68 Cr | ₹421.61 Cr | ₹430.45 Cr |
| Other Income | ₹1.45 Cr | ₹5.15 Cr | ₹4.21 Cr | ₹10.1 Cr | ₹33.51 Cr | ₹10.19 Cr | ₹5.44 Cr | ₹8.46 Cr | ₹9.93 Cr | ₹2.32 Cr | ₹14.98 Cr | ₹4.79 Cr |
| Total Income | ₹713.24 Cr | ₹680.57 Cr | ₹650.37 Cr | ₹599.46 Cr | ₹704.81 Cr | ₹600.68 Cr | ₹523.41 Cr | ₹578.21 Cr | ₹608.82 Cr | ₹483 Cr | ₹436.59 Cr | ₹435.24 Cr |
| Cost of Materials Consumed | ₹200.37 Cr | ₹203.23 Cr | ₹226.55 Cr | ₹194.13 Cr | ₹234.34 Cr | ₹209.61 Cr | ₹195.1 Cr | ₹173.47 Cr | ₹236.57 Cr | ₹156 Cr | ₹145.76 Cr | ₹152.93 Cr |
| Purchases of Stock-in-Trade | ₹29.09 Cr | ₹16.1 Cr | ₹8.42 Cr | ₹4.52 Cr | ₹10.44 Cr | ₹17.14 Cr | ₹7.61 Cr | ₹16.19 Cr | ₹14.07 Cr | ₹0 | ₹0 | ₹0 |
| Changes in Inventories | ₹1.05 Cr | -₹1.49 Cr | -₹64.03 Lakh | -₹38.66 Lakh | ₹3.13 Cr | ₹42.82 Lakh | -₹11.07 Lakh | -₹48.18 Lakh | -₹3.35 Cr | ₹0 | ₹0 | ₹0 |
| Employee Benefit Expense | ₹48.85 Cr | ₹46.09 Cr | ₹46.49 Cr | ₹40.88 Cr | ₹38.77 Cr | ₹39.16 Cr | ₹38.65 Cr | ₹32.73 Cr | ₹29.63 Cr | ₹30.56 Cr | ₹32.07 Cr | ₹32.13 Cr |
| Finance Costs | ₹25.36 Cr | ₹24.05 Cr | ₹23.17 Cr | ₹23.83 Cr | ₹24.71 Cr | ₹25.29 Cr | ₹21.58 Cr | ₹21.76 Cr | ₹23.41 Cr | ₹24.87 Cr | ₹22.5 Cr | ₹24.85 Cr |
| Depreciation & Amortisation | ₹26.92 Cr | ₹23.18 Cr | ₹24.02 Cr | ₹24.99 Cr | ₹25.81 Cr | ₹24.73 Cr | ₹21.3 Cr | ₹23.24 Cr | ₹22.28 Cr | ₹26.88 Cr | ₹27.7 Cr | ₹24.5 Cr |
| Other Expenses | ₹323.34 Cr | ₹303.27 Cr | ₹257.02 Cr | ₹248.61 Cr | ₹298.88 Cr | ₹233.82 Cr | ₹181.37 Cr | ₹239.91 Cr | ₹211.04 Cr | ₹206.98 Cr | ₹181.34 Cr | ₹174.52 Cr |
| Total Expenses | ₹654.98 Cr | ₹614.42 Cr | ₹585.03 Cr | ₹536.58 Cr | ₹636.08 Cr | ₹550.19 Cr | ₹465.5 Cr | ₹506.82 Cr | ₹533.66 Cr | ₹445.31 Cr | ₹409.37 Cr | ₹408.93 Cr |
| Profit Before Exceptional Items & Tax | ₹58.25 Cr | ₹66.15 Cr | ₹65.33 Cr | ₹62.88 Cr | ₹68.73 Cr | ₹50.49 Cr | ₹57.91 Cr | ₹71.39 Cr | ₹75.15 Cr | ₹37.7 Cr | ₹27.22 Cr | ₹26.31 Cr |
| Exceptional Items | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Profit Before Tax | ₹58.25 Cr | ₹66.15 Cr | ₹65.33 Cr | ₹62.88 Cr | ₹68.73 Cr | ₹50.49 Cr | ₹57.91 Cr | ₹71.39 Cr | ₹75.15 Cr | ₹37.7 Cr | ₹27.22 Cr | ₹26.31 Cr |
| Total Tax Expense | ₹15.1 Cr | ₹17.36 Cr | ₹15.59 Cr | ₹17.55 Cr | ₹17.75 Cr | ₹11.48 Cr | ₹13.8 Cr | ₹18.32 Cr | ₹21.27 Cr | ₹11.18 Cr | ₹7.74 Cr | ₹6.87 Cr |
| Net Profit | ₹44.55 Cr | ₹50.49 Cr | ₹51.06 Cr | ₹46.99 Cr | ₹53.1 Cr | ₹52.3 Cr | ₹44.94 Cr | ₹53.43 Cr | ₹51.81 Cr | ₹29.58 Cr | ₹19.85 Cr | ₹19.08 Cr |
| attributable to Owners | ₹46.73 Cr | ₹50.02 Cr | ₹49.1 Cr | ₹45.69 Cr | - | ₹52.02 Cr | ₹44.6 Cr | ₹0 | ₹51.76 Cr | ₹29.53 Cr | ₹19.84 Cr | ₹19.07 Cr |
| attributable to NCI | -₹2.18 Cr | ₹46.45 Lakh | ₹1.96 Cr | ₹1.31 Cr | - | ₹28.07 Lakh | ₹34.42 Lakh | ₹0 | ₹5.31 Lakh | ₹5.31 Lakh | ₹1.15 Lakh | ₹1.55 Lakh |
| Other Comprehensive Income | -₹47.35 Lakh | -₹14.19 Lakh | -₹23.77 Lakh | -₹34.06 Lakh | ₹40.79 Lakh | -₹18.2 Lakh | -₹78,000 | ₹1.06 Cr | ₹28.52 Lakh | ₹36.72 Lakh | ₹3.76 Lakh | ₹10.73 Lakh |
| Total Comprehensive Income | ₹44.08 Cr | ₹50.35 Cr | ₹50.82 Cr | ₹46.65 Cr | ₹53.5 Cr | ₹52.12 Cr | ₹44.93 Cr | ₹54.49 Cr | ₹52.1 Cr | ₹29.95 Cr | ₹19.89 Cr | ₹19.19 Cr |
| EBITDA (computed) | ₹110.53 Cr | ₹113.38 Cr | ₹112.53 Cr | ₹111.7 Cr | ₹119.25 Cr | ₹100.52 Cr | ₹100.79 Cr | ₹116.4 Cr | ₹120.84 Cr | ₹89.45 Cr | ₹77.42 Cr | ₹75.66 Cr |
| Basic EPS | ₹5.27 | ₹5.97 | ₹6.04 | ₹5.55 | ₹6.28 | ₹6.18 | ₹5.31 | ₹6.32 | ₹6.19 | ₹3.98 | ₹2.71 | ₹2.81 |
| Diluted EPS | ₹5.27 | ₹5.97 | ₹6.04 | ₹5.55 | ₹6.28 | ₹6.18 | ₹5.31 | ₹6.32 | ₹6.19 | ₹3.98 | ₹2.71 | ₹2.81 |
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
|---|---|---|---|---|---|---|---|
| Revenue from Operations | ₹2,235.65 Cr | ₹2,188.76 Cr | ₹1,867.76 Cr | ₹1,790.76 Cr | ₹1,334.79 Cr | ₹879.72 Cr | ₹1,528.74 Cr |
| Other Income | ₹18.39 Cr | ₹56.11 Cr | ₹31.92 Cr | ₹9.17 Cr | ₹13.08 Cr | ₹28.72 Cr | ₹25.38 Cr |
| Total Income | ₹2,254.04 Cr | ₹2,244.87 Cr | ₹1,899.68 Cr | ₹1,799.93 Cr | ₹1,347.86 Cr | ₹908.44 Cr | ₹1,554.13 Cr |
| Cost of Materials Consumed | ₹798.03 Cr | ₹806.18 Cr | ₹691.24 Cr | ₹668.3 Cr | ₹554.89 Cr | ₹356.91 Cr | ₹657.63 Cr |
| Purchases of Stock-in-Trade | ₹58.13 Cr | ₹51.38 Cr | ₹14.07 Cr | ₹0 | ₹0 | ₹0 | ₹0 |
| Changes in Inventories | -₹1.46 Cr | ₹2.96 Cr | -₹3.35 Cr | ₹0 | ₹0 | ₹0 | ₹0 |
| Employee Benefit Expense | ₹182.21 Cr | ₹145.39 Cr | ₹124.39 Cr | ₹127.64 Cr | ₹108.89 Cr | ₹78.81 Cr | ₹137.03 Cr |
| Finance Costs | ₹96.35 Cr | ₹93.33 Cr | ₹95.62 Cr | ₹89.41 Cr | ₹66.96 Cr | ₹70.25 Cr | ₹64.52 Cr |
| Depreciation & Amortisation | ₹97.79 Cr | ₹94.34 Cr | ₹100.61 Cr | ₹136 Cr | ₹98.81 Cr | ₹90.16 Cr | ₹114.18 Cr |
| Other Expenses | ₹786.89 Cr | ₹812.43 Cr | ₹717.14 Cr | ₹643.64 Cr | ₹457.51 Cr | ₹307.48 Cr | ₹477.37 Cr |
| Total Expenses | ₹2,017.94 Cr | ₹2,006 Cr | ₹1,739.74 Cr | ₹1,664.98 Cr | ₹1,287.07 Cr | ₹903.62 Cr | ₹1,450.73 Cr |
| Profit Before Exceptional Items & Tax | ₹236.11 Cr | ₹238.86 Cr | ₹159.94 Cr | ₹134.94 Cr | ₹60.8 Cr | ₹4.82 Cr | ₹103.4 Cr |
| Exceptional Items | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Profit Before Tax | ₹236.11 Cr | ₹238.86 Cr | ₹159.94 Cr | ₹134.94 Cr | ₹60.8 Cr | ₹4.82 Cr | ₹103.4 Cr |
| Total Tax Expense | ₹60.23 Cr | ₹58.08 Cr | ₹45.91 Cr | ₹40.61 Cr | ₹16.11 Cr | ₹3.03 Cr | ₹12.48 Cr |
| Net Profit | ₹175.87 Cr | ₹180.78 Cr | ₹114.03 Cr | ₹94.33 Cr | ₹44.68 Cr | ₹1.79 Cr | ₹90.92 Cr |
| Other Comprehensive Income | -₹1.51 Cr | -₹87.17 Lakh | ₹79.73 Lakh | ₹58.17 Lakh | ₹26.57 Lakh | ₹1.39 Cr | ₹5.14 Lakh |
| Total Comprehensive Income | ₹174.36 Cr | ₹179.91 Cr | ₹114.83 Cr | ₹94.91 Cr | ₹44.95 Cr | ₹3.18 Cr | ₹90.97 Cr |
| EBITDA (computed) | ₹430.24 Cr | ₹426.52 Cr | ₹356.18 Cr | ₹360.34 Cr | ₹226.57 Cr | ₹165.24 Cr | ₹282.1 Cr |
| Basic EPS | ₹20.79 | ₹21.37 | ₹15.24 | ₹13.89 | ₹6.58 | ₹0.26 | ₹13.39 |
| Diluted EPS | ₹20.79 | ₹21.37 | ₹15.24 | ₹13.83 | ₹6.58 | ₹0.26 | ₹13.39 |
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 |
|---|---|---|---|---|
| Total Assets | ₹3,728.86 Cr | ₹3,377.99 Cr | ₹3,083.08 Cr | ₹2,608.93 Cr |
| Non-current Assets | ₹1,091.06 Cr | ₹771.8 Cr | ₹750.94 Cr | ₹883.94 Cr |
| Current Assets | ₹2,598.17 Cr | ₹2,540.99 Cr | ₹2,287.32 Cr | ₹1,724.99 Cr |
| Property, Plant & Equipment | ₹636.35 Cr | ₹576.99 Cr | ₹580.49 Cr | ₹646.21 Cr |
| Inventories | ₹128.76 Cr | ₹87.99 Cr | ₹111.07 Cr | ₹97.73 Cr |
| Trade Receivables | ₹1,039.25 Cr | ₹1,044.59 Cr | ₹534.06 Cr | ₹349.17 Cr |
| Cash & Equivalents | ₹90.16 Cr | ₹62.69 Cr | ₹18.84 Cr | ₹38.66 Cr |
| Equity (Net Worth) | ₹1,868.94 Cr | ₹1,694.58 Cr | ₹1,510.83 Cr | ₹1,073.56 Cr |
| Equity Share Capital | ₹84.6 Cr | ₹84.6 Cr | ₹84.6 Cr | ₹67.89 Cr |
| Borrowings (Non-current) | ₹128.66 Cr | ₹149.06 Cr | ₹123.82 Cr | ₹111.62 Cr |
| Borrowings (Current) | ₹343.11 Cr | ₹267.6 Cr | ₹201.75 Cr | ₹254.21 Cr |
| Total Debt (computed) | ₹471.77 Cr | ₹416.66 Cr | ₹325.57 Cr | ₹365.83 Cr |
| Current Liabilities | ₹1,516.05 Cr | ₹1,363.77 Cr | ₹1,284.95 Cr | ₹1,191.51 Cr |
| Total Liabilities | ₹1,859.92 Cr | ₹1,683.41 Cr | ₹1,572.24 Cr | ₹1,535.37 Cr |
| Metrics | FY 2026 | FY 2025 | FY 2024 | FY 2023 | FY 2022 |
|---|---|---|---|---|---|
| Operating Cash Flow | ₹223.57 Cr | ₹48.24 Cr | -₹35.28 Cr | ₹87.91 Cr | ₹34.41 Cr |
| Investing Cash Flow | -₹152.86 Cr | -₹6.41 Cr | -₹147.92 Cr | -₹37.76 Cr | -₹22.84 Cr |
| Financing Cash Flow | -₹43.25 Cr | ₹2 Cr | ₹181.55 Cr | -₹33.6 Cr | ₹71.34 Lakh |
| Capital Expenditure | ₹174.84 Cr | ₹101.1 Cr | ₹84.76 Cr | ₹87.32 Cr | ₹102.14 Cr |
| Free Cash Flow (computed) | ₹48.74 Cr | -₹52.86 Cr | -₹120.04 Cr | ₹58.8 Lakh | -₹67.73 Cr |
| Dividends Paid | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Net Change in Cash | ₹27.47 Cr | ₹43.83 Cr | -₹1.64 Cr | ₹16.55 Cr | ₹12.28 Cr |
| Metrics | Q4 FY26 | Q3 FY26 | Q2 FY26 | Q1 FY26 | Q4 FY25 | Q3 FY25 | Q2 FY25 | Q1 FY25 | Q4 FY24 | Q3 FY24 | Q2 FY24 | Q1 FY24 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Revenue from Operations | ₹599.86 Cr | ₹554.81 Cr | ₹574.77 Cr | ₹506.22 Cr | ₹593.77 Cr | ₹563.83 Cr | ₹478.99 Cr | ₹552.16 Cr | ₹587.57 Cr | ₹441.57 Cr | ₹418.05 Cr | ₹420.57 Cr |
| Other Income | ₹11.6 Lakh | ₹4.39 Cr | ₹4.12 Cr | ₹9.77 Cr | ₹33.03 Cr | ₹9.19 Cr | ₹5.44 Cr | ₹8.46 Cr | ₹9.83 Cr | ₹2.32 Cr | ₹14.98 Cr | ₹4.79 Cr |
| Total Income | ₹599.98 Cr | ₹559.2 Cr | ₹578.89 Cr | ₹515.98 Cr | ₹626.8 Cr | ₹573.02 Cr | ₹484.42 Cr | ₹560.62 Cr | ₹597.4 Cr | ₹443.89 Cr | ₹433.03 Cr | ₹425.36 Cr |
| Cost of Materials Consumed | ₹200.01 Cr | ₹202.97 Cr | ₹202.25 Cr | ₹192.81 Cr | ₹242.21 Cr | ₹205.54 Cr | ₹184.96 Cr | ₹173.47 Cr | ₹236.54 Cr | ₹156 Cr | ₹145.76 Cr | ₹152.93 Cr |
| Purchases of Stock-in-Trade | ₹29.09 Cr | ₹16.1 Cr | ₹8.42 Cr | ₹4.52 Cr | ₹10.44 Cr | ₹17.14 Cr | ₹7.5 Cr | ₹15.71 Cr | ₹14.07 Cr | ₹0 | ₹0 | ₹0 |
| Changes in Inventories | ₹1.05 Cr | -₹1.49 Cr | -₹64.03 Lakh | -₹38.66 Lakh | ₹3.13 Cr | ₹42.82 Lakh | ₹0 | ₹0 | -₹3.35 Cr | ₹0 | ₹0 | ₹0 |
| Employee Benefit Expense | ₹48.81 Cr | ₹46.05 Cr | ₹46.47 Cr | ₹40.88 Cr | ₹41.33 Cr | ₹37.24 Cr | ₹34.1 Cr | ₹32.73 Cr | ₹29.63 Cr | ₹30.56 Cr | ₹32.07 Cr | ₹32.13 Cr |
| Finance Costs | ₹25.34 Cr | ₹24.04 Cr | ₹23.14 Cr | ₹23.83 Cr | ₹24.7 Cr | ₹25.28 Cr | ₹21.58 Cr | ₹21.76 Cr | ₹23.41 Cr | ₹24.86 Cr | ₹22.5 Cr | ₹24.85 Cr |
| Depreciation & Amortisation | ₹26.51 Cr | ₹22.81 Cr | ₹23.76 Cr | ₹24.7 Cr | ₹25.53 Cr | ₹24.63 Cr | ₹21.08 Cr | ₹23.1 Cr | ₹21.54 Cr | ₹26.88 Cr | ₹27.7 Cr | ₹24.5 Cr |
| Other Expenses | ₹208.58 Cr | ₹188.09 Cr | ₹216.4 Cr | ₹173.81 Cr | ₹213.07 Cr | ₹214.61 Cr | ₹161.46 Cr | ₹223.29 Cr | ₹203.74 Cr | ₹169.41 Cr | ₹178.67 Cr | ₹165.32 Cr |
| Total Expenses | ₹539.4 Cr | ₹498.57 Cr | ₹519.81 Cr | ₹460.16 Cr | ₹560.4 Cr | ₹524.87 Cr | ₹430.67 Cr | ₹490.06 Cr | ₹525.59 Cr | ₹407.72 Cr | ₹406.7 Cr | ₹399.73 Cr |
| Profit Before Exceptional Items & Tax | ₹60.58 Cr | ₹60.63 Cr | ₹59.08 Cr | ₹55.82 Cr | ₹66.4 Cr | ₹48.15 Cr | ₹53.75 Cr | ₹70.56 Cr | ₹71.81 Cr | ₹36.17 Cr | ₹26.33 Cr | ₹25.63 Cr |
| Exceptional Items | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 | ₹0 |
| Profit Before Tax | ₹60.58 Cr | ₹60.63 Cr | ₹59.08 Cr | ₹55.82 Cr | ₹66.4 Cr | ₹48.15 Cr | ₹53.75 Cr | ₹70.56 Cr | ₹71.81 Cr | ₹36.17 Cr | ₹26.33 Cr | ₹25.63 Cr |
| Total Tax Expense | ₹15.32 Cr | ₹15.5 Cr | ₹14.12 Cr | ₹15.3 Cr | ₹16.58 Cr | ₹11.4 Cr | ₹12.14 Cr | ₹17.96 Cr | ₹21.29 Cr | ₹10.52 Cr | ₹7.52 Cr | ₹6.58 Cr |
| Net Profit | ₹45.26 Cr | ₹45.13 Cr | ₹44.95 Cr | ₹40.53 Cr | ₹49.82 Cr | ₹36.75 Cr | ₹41.61 Cr | ₹52.6 Cr | ₹50.52 Cr | ₹25.65 Cr | ₹18.81 Cr | ₹19.05 Cr |
| Other Comprehensive Income | -₹53.96 Lakh | -₹19.02 Lakh | -₹43.61 Lakh | -₹34.46 Lakh | ₹43.41 Lakh | -₹23.36 Lakh | -₹78,000 | ₹1.06 Cr | ₹28.52 Lakh | ₹36.72 Lakh | ₹3.76 Lakh | ₹10.73 Lakh |
| Total Comprehensive Income | ₹44.72 Cr | ₹44.94 Cr | ₹44.52 Cr | ₹40.18 Cr | ₹50.25 Cr | ₹36.52 Cr | ₹41.6 Cr | ₹53.66 Cr | ₹50.8 Cr | ₹26.02 Cr | ₹18.85 Cr | ₹19.16 Cr |
| EBITDA (computed) | ₹112.43 Cr | ₹107.48 Cr | ₹105.98 Cr | ₹104.35 Cr | ₹116.62 Cr | ₹98.07 Cr | ₹96.41 Cr | ₹115.43 Cr | ₹116.76 Cr | ₹87.91 Cr | ₹76.52 Cr | ₹74.98 Cr |
| Basic EPS | ₹5.35 | ₹5.33 | ₹5.31 | ₹4.79 | ₹5.89 | ₹4.34 | ₹4.92 | ₹6.22 | ₹6.03 | ₹3.45 | ₹2.55 | ₹2.81 |
| Diluted EPS | ₹5.35 | ₹5.33 | ₹5.31 | ₹4.79 | ₹5.89 | ₹4.32 | ₹4.92 | ₹6.22 | ₹6.03 | ₹3.45 | ₹2.55 | ₹2.81 |
Board & Governance of Capacit'e Infraprojects Limited
As per the corporate governance filing with NSE for the quarter ended 31-MAR-2026, the board of Capacit'e Infraprojects Limited has 8 directors - 5 independent and 3 executive. The board is chaired by ROHIT RAMNATH KATYAL.
| Director | Position | On board since | Listed boards |
|---|---|---|---|
| ROHIT RAMNATH KATYAL | Executive Director · Chairperson | 2014-03-01 | 1 |
| RAHUL RAMNATH KATYAL | Executive Director · CEO-MD | 2012-08-09 | 1 |
| SUBIR MALHOTRA | Executive Director | 2012-08-09 | 1 |
| MANJUSHREE NITIN GHODKE | Non-Executive - Independent Director | 2020-08-11 | 1 |
| RUKMANI KRISHNAMURTHY | Non-Executive - Independent Director | 2023-12-12 | 1 |
| ANKIT PALEJA | Non-Executive - Independent Director | 2024-03-02 | 2 |
| KARTIK JAYANTILAL RAWAL | Non-Executive - Independent Director | 2024-05-03 | 1 |
| CHILAKAMARRI LAKSHMI NARASIMHA CHARYULU | Non-Executive - Independent Director | 2026-03-25 | 1 |
| Committee | Members |
|---|---|
| Audit Committee | KARTIK JAYANTILAL RAWAL (Chairperson), MANJUSHREE NITIN GHODKE, ROHIT RAMNATH KATYAL, CHILAKAMARRI LAKSHMI NARASIMHA CHARYULU |
| Nomination and remuneration committee | MANJUSHREE NITIN GHODKE (Chairperson), RUKMANI KRISHNAMURTHY, KARTIK JAYANTILAL RAWAL |
| Stakeholders Relationship Committee | ANKIT PALEJA (Chairperson), ROHIT RAMNATH KATYAL, SUBIR MALHOTRA |
| Risk Management Committee | RAHUL RAMNATH KATYAL (Chairperson), ROHIT RAMNATH KATYAL, SUBIR MALHOTRA, ANKIT PALEJA, RAJESH DAS |
| Corporate Social Responsibility Committee | ROHIT RAMNATH KATYAL (Chairperson), RAHUL RAMNATH KATYAL, RUKMANI KRISHNAMURTHY, ANKIT PALEJA, SUBIR MALHOTRA |
Charges & Borrowings of Capacit'e Infraprojects Limited
| Date | Lender | Amount | Status |
|---|---|---|---|
| 02 Dec 2025 | Others | ₹1.98 Cr | Open |
| 28 Nov 2025 | Others | ₹41.06 Lakh | Open |
| 19 Nov 2025 | Others | ₹20 Cr | Open |
| 17 Nov 2025 | Axis Bank Limited | ₹4.85 Cr | Open |
| 07 Nov 2025 | Others | ₹31.09 Lakh | Open |
Total charge records: 274 View all charges
Employees and EPFO Compliance at Capacit'e Infraprojects Limited
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Employee Count & EPFO Data of Capacit'e Infraprojects Limited
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GST Compliance of Capacit'e Infraprojects Limited
GSTIN & GST Filing Data of Capacit'e Infraprojects Limited
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Credit Ratings, Litigation & Regulatory Alerts for Capacit'e Infraprojects Limited
Credit Ratings, Legal Cases & Regulatory Alerts of Capacit'e Infraprojects Limited
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MSME Payment Delays by Capacit'e Infraprojects Limited
MSME Payment Delays by Capacit'e Infraprojects Limited
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Subsidiaries & Group Companies of Capacit'e Infraprojects Limited
Subsidiaries & Group Companies of Capacit'e Infraprojects Limited
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MCA Filings & Documents of Capacit'e Infraprojects Limited
MCA Filings & Documents of Capacit'e Infraprojects Limited
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Recent Activity on Capacit'e Infraprojects Limited
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Frequently Asked Questions about Capacit'e Infraprojects Limited
Capacit'e Infraprojects Limited is an active public limited company in the engineering sector based in Mumbai, Maharashtra, India. It was incorporated on 09 August 2012 (14+ years old) and is registered under CIN L45400MH2012PLC234318. Listed on BSE: 540710 and NSE: CAPACITE. The company has 2,752 employees.
Capacit'e Infraprojects Limited reported revenue of ₹2,407.11 Cr for FY 2025 (up 23.00% YoY).
The current directors of Capacit'e Infraprojects Limited are:
The primary industry of Capacit'e Infraprojects Limited is engineering. The company specifically operates in engineering. The company is currently active in this sector.
Yes. Capacit'e Infraprojects Limited is listed on both BSE (code: 540710) and NSE (symbol: CAPACITE).
Capacit'e Infraprojects Limited can be reached at the registered office: 605 – 607 Shrikant Chambers Phase – I 6Th Floor Adjacent To R. K. Studios Sion – Trombay, Road, Mumbai, Maharashtra, India – 400071, or through the website capacite.in.