Carysil Limited - manufacturing in Mumbai, Maharashtra, India. FY 2026 financials & compliance.
CIN L26914MH1987PLC042283 Incorporated 19 January 1987 ROC Mumbai HQ Mumbai, Maharashtra, India
Active Listed - NSE: ACRYSIL · BSE: 524091 Public Limited Company manufacturing
Data last updated
Market Cap
₹2,980 Cr
CARYSIL · NSE
Share Price
₹1,064.40
+1.57% today
Revenue
₹924 Cr
FY 2025-26 · +10.3% YoY
EBITDA
₹179 Cr
Margin 19.4%
Net Profit
₹98.99 Cr
FY 2025-26 · +54.7% YoY
P/E (TTM)
28.7x
P/B 5.1x
ROE
17.4%
ROCE 17.9%
Debt / Equity
0.49
Interest cover 16.1x

About Carysil Limited

Data last updated: 26 September 2026

Carysil Limited is a public limited company based in Mumbai, Maharashtra, India. It specialises in sanitaryware and tile, a part of the broader manufacturing sector. Incorporated on 19 January 1987, the company has been in operation for over 39 years.

Registered with ROC Mumbai under CIN L26914MH1987PLC042283. Listed on BSE: 524091 and NSE: ACRYSIL.

Capital: an authorised share capital of ₹8 Cr and a paid-up capital of ₹5.69 Cr. Formerly known as Acrysil (India) Limited. It is led by directors including Katja Larsen and Anand Hausala Prasad Sharma.

Last AGM: 24 September 2025. Financial statements filed for year ended 31 March 2025. Office: A – 702 7Th Floor Kanakia Wall Street Andheri – Kurla Rd Andheri East Andheri, Mumbai, Maharashtra, India – 400093.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹923.95 Cr, a growth of 13.29% compared to the previous year. The net worth stands at ₹608.42 Cr (up 15.56% YoY). Total assets are valued at ₹899.64 Cr (up 11.09% YoY).

Its group structure includes 4 subsidiaries.

The company is associated with 2 brands - Acrysil, Carysil. As per MCA filings, the company has open charges of ₹311.46 Cr and satisfied charges of ₹261.29 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 acrysilcorporateinfo.com.

Company Details of Carysil Limited
CIN L26914MH1987PLC042283
Registration Number 042283
Incorporation Date 19 January 1987
ROC Mumbai
Listing Status Listed (BSE: 524091, NSE: ACRYSIL)
Company Status Active
Date of Last AGM 24 September 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
Contact Details
  • Email
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  • Telephone
    Locked
  • Social Media
  • Registered Address
    A – 702 7Th Floor Kanakia Wall Street Andheri – Kurla Rd Andheri East Andheri, Mumbai, Maharashtra, India – 400093
  • Industry
    Manufacturing, Sanitaryware & Tile, Ceramics
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Financials, compliance, directors, charges, ownership and filings for Carysil Limited in one report.

10-year financials Directors & ownership Charges & compliance

CIN History of Carysil Limited

Carysil Limited has one previous CIN (Corporate Identification Number): U26914MH1987PLC042283. The current CIN is L26914MH1987PLC042283, which is the unique identifier assigned by the Registrar of Companies.

CIN Status
L26914MH1987PLC042283 Current
U26914MH1987PLC042283 Previous

Associated Brands with Carysil Limited

Carysil Limited operates two associated brands: Acrysil and Carysil. These brands represent Carysil Limited's diversified market presence and brand portfolio.

Brand Description Website
Lighting products are manufactured in Bhavnagar, India, since 1987. acrysilcorporateinfo.com
Carysil is recognized for manufacturing innovative kitchen appliances and accessories. acrysil.com

Business Activity of Carysil Limited

Carysil Limited is engaged in the principal business activity of manufacturing, with detailed activities including plastic products, non-metallic mineral products, rubber products, fabricated metal products.

Main Activity Group Code Description of Main Activity Business Activity Code Description of Business Activity Turnover Percentage
C Manufacturing C8 Plastic products, non-metallic mineral products, rubber products, fabricated metal products Locked
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Business activity turnover details for Carysil Limited

Turnover contribution percentages and historical activity changes require an active report plan.

  • Turnover contribution
  • Historical classifications
  • Filing-level activity changes

Verified entity values are shown only after access is granted.

Auditor Details of Carysil Limited

Carysil Limited is audited by PARK & Company for the financial year 2023. The auditor plays a crucial role in ensuring financial transparency and compliance with accounting standards.

Name Status Appointment Date Cessation Date
PARK & Company Locked Locked Locked
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Complete auditor history for Carysil Limited

Appointment status, appointment dates, cessation dates, and historical auditor changes require an active report plan.

  • Appointment status
  • Appointment dates
  • Cessation dates
  • Auditor changes

Verified entity values are shown only after access is granted.

Board of Directors of Carysil Limited

Carysil Limited is currently managed by 7 directors, with 15 former directors having served the organization. The current Directors play a crucial role in shaping the company's strategic direction and governance.

Current Directors
Name Designation Appointment Date Tenure Status
Katja Larsen Director 20 Mar 2024 2 Years 6 Months Current
Anand Hausala Prasad Sharma Whole-Time Director 01 Feb 2024 2 Years 7 Months Current
Chirag Ashwin Parekh Managing Director 02 Nov 2002 23 Years 10 Months Current
Rustam Navel Mulla Director 17 Mar 2020 6 Years 6 Months Current
Prabhakar Ramchandra Dalal Director 20 Mar 2024 2 Years 6 Months Current
Savan Rashmikant Godiawala Director 20 May 2024 2 Years 4 Months Current
Showing 6 of 7 current directors. View all directors

Financials of Carysil Limited FY 2025-26 filings available

Carysil Limited reported revenue of ₹923.95 Cr (up 13.29% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹924 Cr
+13.3% YoY
EBITDA
₹179 Cr
+27.8% YoY
Profit After Tax
₹98.99 Cr
+54.7% YoY
Net Worth
₹608 Cr
+15.6% YoY
Total Assets
₹900 Cr
+11.1% YoY
Total Debt
₹283 Cr
+2.2% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue924816684594484310276
Revenue growth+10.3%+22.2%+14.2%+27.7%+56.2%+6.2%+9.3%
EBITDA17914013111010566.9047.61
EBITDA margin+19.4%+17.2%+19.1%+18.4%+21.6%+21.6%+17.2%
Profit before tax13087.8580.7868.0886.0853.8530.48
Net profit98.9964.0057.7852.3364.3639.1322.07
Net profit margin+10.7%+7.9%+8.5%+8.8%+13.3%+12.6%+8.0%
EPS (₹)34.5122.4421.6019.5824.2614.668.27
Balance sheet
Total assets900810672543408302263
Net worth608527354303254191158
Total debt283276312235150102102
Cash & bank58.5868.0212.5112.2411.3520.1319.53
Net working capital387357247189167135126
Cash flow
Cash from operations10960.1753.4071.1651.6445.4230.12
Cash from investing(89.19)(109)(97.14)(136)(72.51)(34.76)(19.47)
Cash from financing(24.69)53.4148.3964.1218.41(8.85)(9.87)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue262234223241227204203207
Revenue growth (YoY)+15.5%+14.5%+9.6%+16.2%+12.8%+7.2%+8.1%+26.6%
Other income3.974.622.614.631.262.294.311.82
EBITDA53.4045.0341.0546.1143.8534.9328.8037.21
EBITDA margin+20.4%+19.3%+18.4%+19.2%+19.3%+17.1%+14.2%+18.0%
Depreciation10.5711.069.529.549.448.229.209.84
Interest4.684.764.744.865.345.425.765.62
Profit before tax42.1233.8329.4036.3430.3323.5818.1523.57
Tax10.076.458.148.927.424.765.626.46
Net profit32.0527.3821.2627.4222.9118.8212.5317.11
EPS (₹)11.059.527.419.568.036.534.405.58
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue505420371336388248214
Revenue growth+15.1%+18.8%+7.6%-12.6%+55.5%+9.1%+8.2%
EBITDA10875.7581.1366.0279.6450.0632.60
EBITDA margin+21.4%+18.0%+21.9%+19.7%+20.5%+20.2%+15.2%
Profit before tax85.1749.1548.8933.4267.6138.7618.21
Net profit64.3936.7936.2025.5151.1126.6112.80
Net profit margin+12.8%+8.8%+9.8%+7.6%+13.2%+10.7%+6.0%
EPS (₹)22.3812.9913.539.5619.309.974.79
Balance sheet
Total assets592546408360337249215
Net worth466409256225200151130
Total debt12313515113413696.6584.05
Cash & bank45.9656.504.409.606.8014.5614.81
Net working capital240239154137137108104
Cash flow
Cash from operations86.9529.1228.7160.8649.6637.8220.51
Cash from investing(54.87)(117)(26.00)(42.38)(65.66)(33.44)(15.61)
Cash from financing(32.25)88.66(3.51)(17.85)14.60(3.40)(6.12)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue137126123131125109106105
Revenue growth (YoY)+9.9%+15.7%+16.2%+24.4%+24.3%+4.0%+3.1%+11.2%
Other income5.005.253.785.562.663.335.562.31
Total expenses10799.4297.1110496.9387.3490.0388.00
EBITDA30.5326.3725.7327.2827.9721.3715.6717.42
EBITDA margin+22.3%+21.0%+20.9%+20.8%+22.4%+19.7%+14.8%+16.5%
Depreciation7.687.926.987.117.057.006.876.62
Interest2.422.512.512.512.842.793.102.59
Profit before tax25.4321.1920.0223.2220.7414.9111.2610.52
Tax6.585.015.245.825.423.742.612.70

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 26 Sep 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue262234223241227204203207
Revenue growth (YoY)+15.5%+14.5%+9.6%+16.2%+12.8%+7.2%+8.1%+26.6%
Other income3.974.622.614.631.262.294.311.82
EBITDA53.4045.0341.0546.1143.8534.9328.8037.21
EBITDA margin+20.4%+19.3%+18.4%+19.2%+19.3%+17.1%+14.2%+18.0%
Depreciation10.5711.069.529.549.448.229.209.84
Interest4.684.764.744.865.345.425.765.62
Profit before tax42.1233.8329.4036.3430.3323.5818.1523.57
Tax10.076.458.148.927.424.765.626.46
Net profit32.0527.3821.2627.4222.9118.8212.5317.11
EPS (₹)11.059.527.419.568.036.534.405.58
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue924816684594484310276
Revenue growth+10.3%+22.2%+14.2%+27.7%+56.2%+6.2%+9.3%
Other income13.129.835.341.5910.078.014.73
Total expenses745676553484379243229
Employee cost75.4568.2850.1936.5428.7619.3819.40
EBITDA17914013111010566.9047.61
EBITDA margin+19.4%+17.2%+19.1%+18.4%+21.6%+21.6%+17.2%
Depreciation39.5635.8932.4426.3617.7212.6611.93
Interest22.4626.0022.9216.6510.928.409.93
Profit before tax13087.8580.7868.0886.0853.8530.48
Tax30.9323.5322.4215.2720.8214.527.62
Net profit98.9964.0057.7852.3364.3639.1322.07
Net profit margin+10.7%+7.9%+8.5%+8.8%+13.3%+12.6%+8.0%
EPS (₹)34.5122.4421.6019.5824.2614.668.27
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital5.695.685.365.355.345.345.34
Reserves & surplus603521349298248186152
Shareholders' funds (net worth)608527354303254191158
Minority interest5.934.834.123.653.242.562.36
Secured loans24826529622113794.5489.58
Unsecured loans34.4511.0416.5214.1612.777.8312.23
Total debt283276312235150102102
Total liabilities900810672543408302263
Assets
Gross block737631572451305235196
Net block479414404328206152125
Capital work in progress25.2911.8310.4713.7020.7510.019.09
Investments0.000.000.000.000.000.000.00
Inventories25922117313110454.5559.74
Sundry debtors16114613810310083.0262.27
Cash & bank balances58.5868.0212.5112.2411.3520.1319.53
Loans & advances42.8939.3290.3610791.6363.1844.18
Total current assets521474414353308221186
Total current liabilities13511716716414185.5959.51
Net working capital387357247189167135126
Total assets900810672543408302263
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash12.858.744.095.287.745.925.14
Net cash from operating activities10960.1753.4071.1651.6445.4230.12
Net cash from investing activities(89.19)(109)(97.14)(136)(72.51)(34.76)(19.47)
Net cash from financing activities(24.69)53.4148.3964.1218.41(8.85)(9.87)
Net change in cash(5.22)4.114.65(1.18)(2.46)1.810.78
Closing cash58.5868.0212.5112.2411.3520.1319.53
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+13.3%+19.3%+15.1%+22.7%+56.2%+12.1%+9.8%
EBITDA growth+27.8%+7.0%+19.5%+4.6%+56.4%+40.5%+12.3%
PBT growth+47.9%+8.8%+18.7%-20.9%+59.9%+76.7%+25.9%
Net income growth+54.7%+10.8%+10.4%-18.7%+64.5%+77.3%+27.9%
Revenue CAGR (3Y)+15.9%+19.0%+30.2%+29.1%+24.4%+16.4%+15.1%
EBITDA CAGR (3Y)+17.8%+10.2%+25.0%+32.0%+35.2%+35.3%+20.9%
Profitability & leverage
Net income margin+10.7%+7.9%+8.5%+8.9%+13.5%+12.7%+8.3%
Return on capital employed+17.9%+15.5%+17.2%+18.0%+27.6%+22.2%+16.4%
Return on net worth+17.4%+14.6%+17.8%+19.0%+29.3%+22.5%+15.6%
Debt / equity0.490.670.830.690.580.580.68
Long-term debt / equity0.130.250.320.250.170.120.13
Interest cover16.1325.0023.3020.0312.5615.4927.83
Efficiency & per share
Fixed asset turnover1.351.361.341.571.791.441.48
Inventory turnover3.854.144.505.066.105.424.87
Debtors turnover6.025.755.685.845.284.264.74
EPS (₹)34.5122.4421.6019.5824.2614.668.27
Dividend per share (₹)3.002.402.002.002.402.001.20
Book value per share (₹)213.86185.39132.09113.3295.0371.7059.12
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue137126123131125109106105
Revenue growth (YoY)+9.9%+15.7%+16.2%+24.4%+24.3%+4.0%+3.1%+11.2%
Other income5.005.253.785.562.663.335.562.31
Total expenses10799.4297.1110496.9387.3490.0388.00
EBITDA30.5326.3725.7327.2827.9721.3715.6717.42
EBITDA margin+22.3%+21.0%+20.9%+20.8%+22.4%+19.7%+14.8%+16.5%
Depreciation7.687.926.987.117.057.006.876.62
Interest2.422.512.512.512.842.793.102.59
Profit before tax25.4321.1920.0223.2220.7414.9111.2610.52
Tax6.585.015.245.825.423.742.612.70
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue505420371336388248214
Revenue growth+15.1%+18.8%+7.6%-12.6%+55.5%+9.1%+8.2%
Other income17.2513.216.541.1514.287.294.99
Total expenses396345290270308198182
Employee cost37.5432.7825.8622.3721.9714.1715.08
EBITDA10875.7581.1366.0279.6450.0632.60
EBITDA margin+21.4%+18.0%+21.9%+19.7%+20.5%+20.2%+15.2%
Depreciation29.0526.8525.8322.7016.7611.5810.92
Interest11.1912.9612.9511.059.557.018.46
Profit before tax85.1749.1548.8933.4267.6138.7618.21
Tax21.4912.2612.627.8416.0912.145.41
Net profit64.3936.7936.2025.5151.1126.6112.80
Net profit margin+12.8%+8.8%+9.8%+7.6%+13.2%+10.7%+6.0%
EPS (₹)22.3812.9913.539.5619.309.974.79
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital5.695.685.365.355.345.345.34
Reserves & surplus461403251219195146125
Shareholders' funds (net worth)466409256225200151130
Secured loans11312413712012289.9875.83
Unsecured loans10.2310.9914.0214.3513.866.678.22
Total debt12313515113413696.6584.05
Total liabilities592546408360337249215
Assets
Gross block407370337300251186151
Net block22120920119016111286.93
Capital work in progress24.3611.168.7012.1716.749.686.46
Investments29.8921.4417.1916.2517.0214.0814.08
Inventories11910886.5674.3575.7438.9842.07
Sundry debtors96.8687.3883.3855.1382.0760.8550.94
Cash & bank balances45.9656.504.409.606.8014.5614.81
Loans & advances32.5833.1881.1481.3185.1661.8842.85
Total current assets294285255220250176151
Total current liabilities54.5945.9710182.9211368.4346.92
Net working capital240239154137137108104
Total assets592546408360337249215
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash1.430.731.530.912.301.332.55
Net cash from operating activities86.9529.1228.7160.8649.6637.8220.51
Net cash from investing activities(54.87)(117)(26.00)(42.38)(65.66)(33.44)(15.61)
Net cash from financing activities(32.25)88.66(3.51)(17.85)14.60(3.40)(6.12)
Net change in cash(0.17)0.70(0.80)0.62(1.40)0.97(1.22)
Closing cash45.9656.504.409.606.8014.5614.81
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+20.1%+13.2%+10.6%-13.5%+56.3%+15.9%+7.9%
EBITDA growth+42.8%-6.6%+22.9%-17.1%+59.1%+53.6%+6.2%
PBT growth+73.3%+0.5%+46.3%-50.6%+74.4%+112.9%+9.2%
Net income growth+75.0%+1.6%+41.9%-50.1%+92.1%+107.9%+8.7%
Revenue CAGR (3Y)+14.6%+2.7%+14.3%+16.1%+25.0%+17.3%+14.9%
EBITDA CAGR (3Y)+17.9%-1.7%+17.5%+26.5%+37.4%+39.9%+22.7%
Profitability & leverage
Net income margin+12.6%+8.8%+9.8%+7.6%+13.3%+10.7%+6.0%
Return on capital employed+16.9%+13.0%+16.1%+12.8%+26.4%+19.7%+12.9%
Return on net worth+14.6%+11.1%+15.1%+12.0%+29.3%+18.9%+10.4%
Debt / equity0.300.430.590.630.660.640.68
Long-term debt / equity0.040.080.130.180.170.120.10
Interest cover14.1426.5023.4225.5115.1918.2239.02
Efficiency & per share
Fixed asset turnover1.301.191.161.221.781.471.50
Inventory turnover4.464.334.614.476.766.135.26
Debtors turnover5.484.925.364.895.434.444.52
EPS (₹)22.3812.9913.539.5619.309.974.79
Dividend per share (₹)3.002.402.002.002.402.001.20
Book value per share (₹)163.97143.9895.5483.9175.0456.7348.82
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Shareholding Pattern of Carysil Limited

As per the shareholding pattern for the quarter ended Jun 2026, promoters hold 41.30%, foreign institutional investors hold 1.60%, domestic institutional investors hold 11.90%, retail and other public shareholders hold 45.20% of Carysil Limited.

Promoters: 41.30%DII (Domestic Institutional): 11.90%FII (Foreign Institutional): 1.60%Retail & Others: 45.20%
Jun 2026
QUARTER
41.30% Promoters
11.90% DII (Domestic Institutional)
1.60% FII (Foreign Institutional)
45.20% Retail & Others
Promoter holding - history
Now 41.30% · Jun 2026High 41.30% · Sep 2025Low 41.30% · Sep 2025
40%40.8%41.5%42.3%43%Sep 2025Dec 2025Mar 2026Jun 2026Sep 2025: 41.30%Dec 2025: 41.30%Mar 2026: 41.30%Jun 2026: 41.30%41.30%41.30%
Shareholding trend - last 6 quarters
Jun 2026Mar 2026Dec 2025Sep 2025
Promoters41.30%41.30%41.30%41.30%
Public58.70%58.70%58.70%58.70%

Group Structure of Carysil Limited

Carysil Limited has 4 subsidiary companies. This group structure data is as of FY 2023. The corporate group structure reflects Carysil Limited's business expansion strategy and organizational complexity.

4
Subsidiary companies
Key Subsidiaries
Company Name CIN Shares Held
Sternhagen Bath Private Limited U25200MH2011PTC212405 -
Carysil Ceramictech Limited U26999MH2022PLC380174 -
Carysil Steel Limited U28910MH2010PLC202493 -
Carysil Online Limited U51101MH2013PLC241702 -

Showing major subsidiaries. Total: 4.

Charges & Borrowings of Carysil Limited

Open charges
₹311.46 Cr
Satisfied charges
₹261.29 Cr
Breakdown by lending institutions
Hdfc Bank Limited₹131.97 Cr
Others₹118.59 Cr
Citi Bank N.A.₹60.90 Cr
Latest charge details
DateLenderAmountStatus
21 Aug 2026 Hdfc Bank Limited ₹10 Cr Open
08 Nov 2024 Hdfc Bank Limited ₹63.9 Lakh Open
14 May 2024 Hdfc Bank Limited ₹7.5 Cr Open
15 Sep 2023 Hdfc Bank Limited ₹21 Cr Open
30 Mar 2022 Others ₹73.59 Cr Open

Total charge records: 44 View all charges

Employees and EPFO Compliance at Carysil Limited

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Employee and EPFO history for Carysil Limited

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GST Compliance of Carysil Limited

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GST registrations and filing compliance for Carysil Limited

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Credit Ratings, Litigation & Regulatory Alerts for Carysil Limited

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Credit ratings, litigation, and regulatory alerts for Carysil Limited

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MSME Payment Delays by Carysil Limited

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MSME payment history for Carysil Limited

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Subsidiaries & Group Companies of Carysil Limited

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Corporate group structure for Carysil Limited

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MCA Filings & Documents of Carysil Limited

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MCA filings and documents for Carysil Limited

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Recent Activity on Carysil Limited

Charges
21 Aug 2026
A charge with Hdfc Bank Limited amounted to Rs. 10.00 Cr with Charge ID 101385340 was registered on 21 Aug 2026.
Charges
15 Oct 2025
A charge registered on 16 Oct 2024 via Charge ID 100988097 with Hdfc Bank Limited was fully satisfied on 15 Oct 2025.
Activity
24 Sep 2025
Carysil Limited last Annual general meeting of members was held on 24 Sep 2025 as per latest MCA records.
Charges
05 Jul 2025
A charge registered on 20 Apr 2024 via Charge ID 100917353 with Hdfc Bank Limited was fully satisfied on 05 Jul 2025.
Charges
05 Jul 2025
A charge registered on 29 Sep 2023 via Charge ID 100806475 with Hdfc Bank Limited was fully satisfied on 05 Jul 2025.
Charges
05 Jul 2025
A charge registered on 24 Jun 2021 via Charge ID 100485054 with Hdfc Bank Limited was fully satisfied on 05 Jul 2025.

Frequently Asked Questions about Carysil Limited

Carysil Limited is an active public limited company in the manufacturing sector based in Mumbai, Maharashtra, India. It was incorporated on 19 January 1987 (39+ years old) and is registered under CIN L26914MH1987PLC042283. Listed on BSE: 524091 and NSE: ACRYSIL.

Carysil Limited reported revenue of ₹923.95 Cr for FY 2025-26 (up 13.29% YoY) based on consolidated financials.

The current directors of Carysil Limited are:

The primary industry of Carysil Limited is manufacturing. The company specifically operates in sanitaryware and tile. The company is currently active in this sector.

Yes. Carysil Limited is listed on both BSE (code: 524091) and NSE (symbol: ACRYSIL).

Carysil Limited can be reached at the registered office: A – 702 7Th Floor Kanakia Wall Street Andheri – Kurla Rd Andheri East Andheri, Mumbai, Maharashtra, India – 400093, or through the website acrysilcorporateinfo.com.

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