Pix Transmissions Ltd - machinery and equipment in Nagpur, Maharashtra, India. FY 2026 financials & compliance.
CIN L25192MH1981PLC024837 Incorporated 22 July 1981 ROC Mumbai HQ Nagpur, Maharashtra, India
Active Listed - BSE: 500333 Public Limited Company machinery and equipment
Data last updated
Market Cap
₹2,500 Cr
PIXTRANS · NSE
Share Price
₹1,815.00
-1.05% today
Revenue
₹582 Cr
FY 2025-26 · -1.9% YoY
EBITDA
₹154 Cr
Margin 26.4%
Net Profit
₹106 Cr
FY 2025-26 · -5.9% YoY
P/E (TTM)
18.7x
P/B 3.5x
ROE
16.5%
ROCE 20.9%
Debt / Equity
0.05
Interest cover 2.8x

About Pix Transmissions Ltd

Data last updated:

Pix Transmissions Ltd is a public limited company based in Nagpur, Maharashtra, India. It operates in the industrial machinery manufacturing segment of the machinery and industrial equipment sector. It was incorporated on 22 July 1981 and has been in existence for over 45 years.

The company is registered with the Registrar of Companies (ROC), Mumbai, under CIN L25192MH1981PLC024837. Its GSTIN is 27AAACP6016C1ZV (Maharashtra). Its shares are listed on BSE: 500333.

The company has an authorised share capital of ₹50 Cr and a paid-up capital of ₹13.63 Cr. It was formerly known as Pix Transmissions Private Limited. It is led by directors including Sonepal Pratipal Singh Sethi (Managing Director) and Singh Rishipal Sethi (Managing Director).

Its last annual general meeting (AGM) was held on 26 July 2025, and its latest financial statements are for the year ended 31 March 2025. The registered office is at J – 7 Midchingna Road, Nagpur, Maharashtra, India – 400016.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹582.31 Cr, a decline of 1.9% compared to the previous year. For the same year it recorded a net profit of ₹106.27 Cr (net margin 18.2%) and EBITDA of ₹153.72 Cr (EBITDA margin 26.4%). The net worth stands at ₹696.68 Cr (up 16.9% YoY). Total assets are valued at ₹748.96 Cr (up 12.6% YoY).

The company has about 923 employees on its provident fund (EPFO) records.

The company is associated with 1 brand: PIX Transmissions. As per MCA filings, the company has open charges of ₹261.64 Cr and satisfied charges of ₹663.91 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 pixtrans.com.

Company Details of Pix Transmissions Ltd
CIN L25192MH1981PLC024837
Registration Number 024837
Incorporation Date 22 July 1981
ROC Mumbai
Listing Status Listed (BSE: 500333)
Company Status Active
Date of Last AGM 26 July 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
Contact Details
  • Email
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  • Telephone
    Locked
  • Social Media
  • Apps
  • Registered Address
    J – 7 Midchingna Road, Nagpur, Maharashtra, India – 400016
  • Industry
    Machinery and Equipment, Industrial Machinery Manufacturing
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Financials, compliance, directors, charges, ownership and filings for Pix Transmissions Ltd in one report.

Financials from 2015 Directors & ownership Charges & compliance

Associated Brands with Pix Transmissions Ltd

Pix Transmissions operates one associated brand: PIX Transmissions. Each brand links to its own profile.

BrandDescriptionWebsite
Mechanical power transmission products, including various belts, are manufactured.pixtrans.com

Business Activity of Pix Transmissions Ltd

The main business activity of Pix Transmissions is manufacturing. In detail, this covers plastic products, non-metallic mineral products, rubber products, fabricated metal products.

Main Activity Group CodeDescription of Main ActivityBusiness Activity CodeDescription of Business ActivityTurnover Percentage
CManufacturingC8Plastic products, non-metallic mineral products, rubber products, fabricated metal productsLocked
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Business activity turnover details

Turnover share and past changes in activity are in the company report.

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

Verified entity values are shown only after access is granted.

Board of Directors of Pix Transmissions Ltd

Pix Transmissions has 14 current directors and 10 former directors. Current directors are listed first, with their designation and appointment date.

Current Directors
NameDesignationAppointment DateTenureStatus
Sonepal Pratipal Singh SethiManaging Director01 Apr 201214 Years 6 MonthsCurrent
Jose JacobDirector08 Feb 20197 Years 7 MonthsCurrent
Abhilasha Chandrashekhar HattangdiDirector11 Nov 20223 Years 10 MonthsCurrent
Mohammed Husain AzadDirector28 Jun 20242 Years 3 MonthsCurrent
Sandeep Umashankar PrajapatiDirector28 Jun 20242 Years 3 MonthsCurrent
Sukhpal Singh SethiWhole-Time Director05 Mar 199234 Years 7 MonthsCurrent
Showing 6 of 14 current directors. View all directors

Financials of Pix Transmissions Ltd FY 2025-26 filings available

Pix Transmissions Ltd reported revenue of ₹582.31 Cr (down 1.9% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹582 Cr
-1.9% YoY
EBITDA
₹154 Cr
-7.9% YoY
Profit After Tax
₹106 Cr
-5.9% YoY
Net Worth
₹697 Cr
+16.9% YoY
Total Assets
₹749 Cr
+12.6% YoY
Total Debt
₹24.23 Cr
-31.5% 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
Revenue582593493486449380319
Revenue growth-1.9%+20.4%+1.4%+8.2%+18.1%+19.4%-
EBITDA15416712010411511160.14
EBITDA margin+26.4%+28.1%+24.4%+21.5%+25.7%+29.3%+18.9%
Profit before tax14415311186.4994.5787.3437.38
Net profit10611382.8164.8168.8365.7930.99
Net profit margin+18.3%+19.0%+16.8%+13.3%+15.3%+17.3%+9.7%
EPS (₹)78.4582.8560.9147.5850.5347.6322.19
Balance sheet
Total assets749665568513494384348
Net worth697596493418365300236
Total debt24.2335.3844.0272.1511873.80101
Cash & bank10869.0055.8252.5032.0314.8318.34
Net working capital279268219235222157123
Cash flow
Cash from operations17110813711255.4158.1152.31
Cash from investing(89.46)(77.50)(87.60)(22.31)(72.25)(16.24)(27.61)
Cash from financing(32.68)(27.08)(45.86)(68.76)31.16(43.40)(19.36)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue149171151139122163140160
Revenue growth (YoY)+22.8%+4.9%+7.8%-13.5%-6.4%---
Other income27.426.259.044.7914.203.584.009.41
EBITDA45.6630.8343.4934.3727.5833.3834.3451.87
EBITDA margin+30.6%+18.1%+28.8%+24.8%+22.7%+20.5%+24.5%+32.3%
Depreciation5.835.556.005.995.865.416.096.06
Interest0.610.970.650.720.710.910.820.92
Profit before tax66.6430.5645.8832.4535.2130.6431.4354.30
Tax13.8910.3410.638.907.357.999.1813.76
Net profit52.7520.2235.2523.5527.8622.6522.2540.54
EPS (₹)38.7114.8425.8817.2820.4516.6216.3329.75
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue530556455450417354298
Revenue growth-4.6%+22.2%+1.0%+8.0%+17.8%+18.9%-
EBITDA13315511491.4510510655.82
EBITDA margin+25.0%+27.9%+25.0%+20.3%+25.1%+29.9%+18.8%
Profit before tax12514210474.0384.2482.0033.38
Net profit91.4910579.0455.5062.0462.0227.19
Net profit margin+17.3%+19.0%+17.4%+12.3%+14.9%+17.5%+9.1%
EPS (₹)67.5977.3458.1440.6645.5244.8719.69
Balance sheet
Total assets688624535484475376345
Net worth636555460389346291233
Total debt24.2335.3844.0272.1511873.80101
Cash & bank74.8955.7540.7538.7129.0812.7315.53
Net working capital218227187206202148119
Cash flow
Cash from operations15010913310153.9857.9450.48
Cash from investing(88.35)(76.80)(85.31)(22.18)(71.77)(16.00)(27.09)
Cash from financing(32.68)(27.08)(45.86)(68.76)31.26(42.76)(19.28)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue135155139126111150135151
Revenue growth (YoY)+21.6%+3.5%+2.9%-16.8%-7.8%---
Other income27.317.209.024.8414.193.913.819.79
Total expenses94.6813099.8497.3387.41121101104
EBITDA39.8524.8738.7428.4823.2328.7134.0947.30
EBITDA margin+29.6%+16.0%+28.0%+22.6%+21.0%+19.2%+25.3%+31.3%
Depreciation5.745.375.875.865.745.285.975.94
Interest0.610.970.650.720.710.910.820.92
Profit before tax60.8125.7341.2426.7430.9726.4331.1150.23
Tax12.538.739.607.716.567.128.5112.56

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 06 Oct 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue149171151139122163140160
Revenue growth (YoY)+22.8%+4.9%+7.8%-13.5%-6.4%---
Other income27.426.259.044.7914.203.584.009.41
EBITDA45.6630.8343.4934.3727.5833.3834.3451.87
EBITDA margin+30.6%+18.1%+28.8%+24.8%+22.7%+20.5%+24.5%+32.3%
Depreciation5.835.556.005.995.865.416.096.06
Interest0.610.970.650.720.710.910.820.92
Profit before tax66.6430.5645.8832.4535.2130.6431.4354.30
Tax13.8910.3410.638.907.357.999.1813.76
Net profit52.7520.2235.2523.5527.8622.6522.2540.54
EPS (₹)38.7114.8425.8817.2820.4516.6216.3329.75
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue582593493486449380319
Revenue growth-1.9%+20.4%+1.4%+8.2%+18.1%+19.4%-
Other income17.4613.6418.6913.538.174.997.85
Total expenses429426373382334269258
Employee cost10191.4282.3793.9569.9274.9368.50
EBITDA15416712010411511160.14
EBITDA margin+26.4%+28.1%+24.4%+21.5%+25.7%+29.3%+18.9%
Depreciation23.3923.5722.9623.3520.7519.9718.80
Interest3.704.465.518.188.239.1411.81
Profit before tax14415311186.4994.5787.3437.38
Tax37.2139.6427.7121.6925.7422.447.16
Net profit10611382.8164.8168.8365.7930.99
Net profit margin+18.3%+19.0%+16.8%+13.3%+15.3%+17.3%+9.7%
EPS (₹)78.4582.8560.9147.5850.5347.6322.19
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital13.6213.6213.6213.6213.6213.6213.62
Reserves & surplus683582479404351286223
Shareholders' funds (net worth)697596493418365300236
Minority interest0.000.000.000.000.000.000.00
Secured loans8.9618.7327.3753.1493.4142.9469.60
Unsecured loans15.2716.6516.6519.0124.5730.8631.33
Total debt24.2335.3844.0272.1511873.80101
Total liabilities749665568513494384348
Assets
Gross block529506495481446394379
Net block269267276273259226219
Capital work in progress3.441.651.591.160.000.340.00
Investments20012874.914.754.514.366.53
Inventories10212097.9410512596.7073.00
Sundry debtors13512211010595.4581.5467.55
Cash & bank balances10869.0055.8252.5032.0314.8318.34
Loans & advances7.8513.6514.4729.3818.048.265.20
Total current assets353324278293270201164
Total current liabilities74.3856.5159.4257.6948.6244.3641.21
Net working capital279268219235222157123
Total assets749665568513494384348
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash51.9848.5345.3824.4010.0811.6113.00
Net cash from operating activities17110813711255.4158.1152.31
Net cash from investing activities(89.46)(77.50)(87.60)(22.31)(72.25)(16.24)(27.61)
Net cash from financing activities(32.68)(27.08)(45.86)(68.76)31.16(43.40)(19.36)
Net change in cash48.943.463.1420.9814.33(1.53)5.34
Closing cash10869.0055.8252.5032.0314.8318.34
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth-1.9%+20.4%+1.4%+8.2%+18.1%+19.4%-
EBITDA growth-7.9%+38.6%+15.3%-9.4%+3.5%+85.3%-
PBT growth-5.5%+37.8%+28.0%-8.5%+8.3%+133.7%-1.4%
Net income growth-5.9%+36.3%+27.8%-5.8%+4.6%+112.3%-
Revenue CAGR (3Y)+6.2%+9.7%+9.0%+15.1%+13.3%+12.8%+8.2%
EBITDA CAGR (3Y)+13.7%+13.1%+2.6%+20.2%+25.0%+24.6%+8.0%
Profitability & leverage
Net income margin+18.4%+19.0%+16.8%+13.3%+15.3%+17.1%+9.5%
Return on capital employed+20.9%+25.5%+21.5%+18.8%+23.4%+26.4%+14.4%
Return on net worth+16.5%+20.7%+18.2%+16.6%+20.7%+24.2%+13.4%
Debt / equity0.050.070.130.240.290.330.48
Long-term debt / equity0.030.050.090.140.150.150.20
Interest cover2.843.115.6510.088.709.9928.57
Efficiency & per share
Fixed asset turnover1.131.191.011.051.070.980.88
Inventory turnover5.255.454.854.224.064.484.46
Debtors turnover4.545.124.584.845.085.104.71
EPS (₹)78.4582.8560.9147.5850.5347.6322.19
Dividend per share (₹)9.009.007.006.006.005.002.00
Book value per share (₹)511.36437.53361.63306.80267.77219.88173.43
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue135155139126111150135151
Revenue growth (YoY)+21.6%+3.5%+2.9%-16.8%-7.8%---
Other income27.317.209.024.8414.193.913.819.79
Total expenses94.6813099.8497.3387.41121101104
EBITDA39.8524.8738.7428.4823.2328.7134.0947.30
EBITDA margin+29.6%+16.0%+28.0%+22.6%+21.0%+19.2%+25.3%+31.3%
Depreciation5.745.375.875.865.745.285.975.94
Interest0.610.970.650.720.710.910.820.92
Profit before tax60.8125.7341.2426.7430.9726.4331.1150.23
Tax12.538.739.607.716.567.128.5112.56
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue530556455450417354298
Revenue growth-4.6%+22.2%+1.0%+8.0%+17.8%+18.9%-
Other income18.4314.1718.7513.778.174.987.83
Total expenses398401341359312248242
Employee cost84.1678.2370.4883.2260.4165.4259.73
EBITDA13315511491.4510510655.82
EBITDA margin+25.0%+27.9%+25.0%+20.3%+25.1%+29.9%+18.8%
Depreciation22.8423.0622.4923.0520.4519.7118.56
Interest3.544.355.418.148.119.0411.71
Profit before tax12514210474.0384.2482.0033.38
Tax32.5936.2725.2118.6522.2020.876.58
Net profit91.4910579.0455.5062.0462.0227.19
Net profit margin+17.3%+19.0%+17.4%+12.3%+14.9%+17.5%+9.1%
EPS (₹)67.5977.3458.1440.6645.5244.8719.69
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital13.6213.6213.6213.6213.6213.6213.62
Reserves & surplus622542446375332277219
Shareholders' funds (net worth)636555460389346291233
Secured loans8.9618.7327.3753.1493.4142.9469.60
Unsecured loans15.2716.6516.6519.0124.5730.8631.33
Total debt24.2335.3844.0272.1511873.80101
Total liabilities688624535484475376345
Assets
Gross block524502491478443392373
Net block268265274273258225219
Capital work in progress3.441.651.591.160.000.340.00
Investments20112975.965.805.565.427.59
Inventories83.2610284.1285.0310478.4555.12
Sundry debtors12311010410595.5091.0682.86
Cash & bank balances74.8955.7540.7538.7129.0812.7315.53
Loans & advances6.2312.0712.8828.3917.717.704.94
Total current assets288280242257247190158
Total current liabilities70.0253.0054.8651.4544.4542.1639.34
Net working capital218227187206202148119
Total assets688624535484475376345
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash38.7433.4531.5921.467.988.8011.41
Net cash from operating activities15010913310153.9857.9450.48
Net cash from investing activities(88.35)(76.80)(85.31)(22.18)(71.77)(16.00)(27.09)
Net cash from financing activities(32.68)(27.08)(45.86)(68.76)31.26(42.76)(19.28)
Net change in cash29.035.291.8610.1313.48(0.82)4.12
Closing cash74.8955.7540.7538.7129.0812.7315.53
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth-4.6%+22.2%+1.0%+8.0%+17.8%+18.9%-
EBITDA growth-14.4%+36.4%+24.2%-12.6%-1.1%+89.5%-
PBT growth-12.0%+35.6%+41.1%-12.1%+2.7%+145.7%-11.0%
Net income growth-13.2%+33.3%+42.4%-10.5%+0.0%+128.1%-
Revenue CAGR (3Y)+5.6%+10.1%+8.7%+14.8%+12.8%+12.2%+8.2%
EBITDA CAGR (3Y)+13.2%+14.0%+2.4%+17.9%+21.9%+24.5%+7.7%
Profitability & leverage
Net income margin+17.4%+19.0%+17.4%+12.3%+14.9%+17.3%+9.0%
Return on capital employed+19.5%+25.2%+21.6%+17.1%+21.7%+25.3%+13.3%
Return on net worth+15.5%+20.8%+18.7%+15.1%+19.5%+23.3%+12.1%
Debt / equity0.050.080.140.260.300.330.48
Long-term debt / equity0.030.060.090.150.160.160.20
Interest cover3.223.305.9411.909.6310.5031.43
Efficiency & per share
Fixed asset turnover1.031.120.940.981.000.930.84
Inventory turnover5.735.985.384.754.565.305.42
Debtors turnover4.545.194.364.494.474.073.71
EPS (₹)67.5977.3458.1440.6645.5244.8719.69
Dividend per share (₹)9.009.007.006.006.005.002.00
Book value per share (₹)466.83407.47337.47285.48253.73213.59171.08
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Shareholding Pattern of Pix Transmissions Ltd

Shareholding for the quarter ended Sep 2026: promoters hold 62.10%, foreign institutional investors hold 0.60%, domestic institutional investors hold 2.70% and retail and other public shareholders hold 34.60%.

Promoters: 62.10%DII (Domestic Institutional): 2.70%FII (Foreign Institutional): 0.60%Retail & Others: 34.60%
Sep 2026
QUARTER
62.10% Promoters
2.70% DII (Domestic Institutional)
0.60% FII (Foreign Institutional)
34.60% Retail & Others
Promoter holding - history
Now 62.10% · Sep 2026High 62.10% · Mar 2026Low 61.80% · Dec 2025
60%61%62%63%64%Dec 2025Mar 2026Jun 2026Sep 2026Dec 2025: 61.80%Mar 2026: 62.10%Jun 2026: 62.10%Sep 2026: 62.10%62.10%61.80%62.10%
Shareholding trend - last 6 quarters
Sep 2026Jun 2026Mar 2026Dec 2025
Promoters62.10%62.10%62.10%61.80%
Public37.90%37.90%37.90%38.20%

Charges & Borrowings of Pix Transmissions Ltd

Open charges
₹261.64 Cr
Satisfied charges
₹663.91 Cr
Breakdown by lending institutions
Citi Bank N.A.₹110.00 Cr
Hdfc Bank Limited₹100.90 Cr
Others₹34.24 Cr
State Bank of India₹16.50 Cr
Latest charge details
DateLenderAmountStatus
13 Feb 2026Others₹77.81 LakhOpen
28 Nov 2025Others₹90 LakhOpen
23 Dec 2024Others₹83.48 LakhOpen
17 Dec 2024Others₹1.03 CrOpen
18 Sep 2024Others₹70 LakhOpen

Total charge records: 52 View all charges

Employees and EPFO Compliance at Pix Transmissions Ltd

Pix Transmissions Ltd has a workforce of 923 employees as of Dec 05, 2025.

Employee count
923
Active EPFO establishments
2
Employee growth
-2.43%
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Employee and EPFO history

Monthly headcount, contribution history and filing status are in the company report.

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GST Compliance of Pix Transmissions Ltd

Pix Transmissions has 1 GST registration: 1 active.

Total GSTINs
1
Active
1
GSTINStateStatusRegistered on
27AAACP6016C1ZVMaharashtraActive01 Jul 2017
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GST registrations and filing compliance

State-wise GST registrations, return filing status and HSN or SAC codes are in the company report.

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Credit Ratings, Litigation & Regulatory Alerts for Pix Transmissions Ltd

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Credit ratings, litigation, and regulatory alerts

Credit ratings, court records and regulatory alerts are in the company report.

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MSME Payment Delays by Pix Transmissions Ltd

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MSME payment history

Amounts due to small suppliers, the reasons given and MSME-1 filings are in the company report.

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Subsidiaries & Group Companies of Pix Transmissions Ltd

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Corporate group structure

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MCA Filings & Documents of Pix Transmissions Ltd

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MCA filings and documents

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Recent Activity on Pix Transmissions Ltd

Charges
13 Feb 2026
A charge with Others amounted to Rs. 0.78 Cr with Charge ID 101246412 was registered on 13 Feb 2026.
Charges
28 Nov 2025
A charge with Others amounted to Rs. 0.90 Cr with Charge ID 101202980 was registered on 28 Nov 2025.
Directors
23 Sep 2025
Thakur Gobindram Hotchandani was appointed as a Director on 23 Sep 2025 & has been associated with this company since 1 year 13 days.
Activity
26 Jul 2025
Pix Transmissions Ltd last Annual general meeting of members was held on 26 Jul 2025 as per latest MCA records.
Activity
31 Mar 2025
Pix Transmissions Ltd has filed its annual Financial statements for the year ended 31 Mar 2025 with Roc Mumbai I.
Charges
17 Jan 2025
A charge registered on 12 Jan 2021 via Charge ID 100417579 with Others was fully satisfied on 17 Jan 2025.

Frequently Asked Questions about Pix Transmissions Ltd

Pix Transmissions is an active public limited company based in Nagpur, Maharashtra, India. The company works in industrial machinery manufacturing, within the machinery and equipment industry. It was incorporated on 22 July 1981 (45+ years old) and is registered under CIN L25192MH1981PLC024837. Listed on BSE: 500333.

Pix Transmissions reported revenue of ₹582.31 Cr for FY 2025-26 (down 1.9% YoY) based on consolidated financials.

Pix Transmissions has 14 current directors:

The GSTIN of Pix Transmissions is 27AAACP6016C1ZV, registered in Maharashtra.

The CIN (Corporate Identification Number) of Pix Transmissions is L25192MH1981PLC024837. It is issued by the Ministry of Corporate Affairs under the Companies Act, 2013, and uniquely identifies the company in India.

Yes. Pix Transmissions is listed on BSE with code 500333.

Pix Transmissions was incorporated on 22 July 1981, making it 45+ years old. It is registered with the Registrar of Companies, Mumbai.

Pix Transmissions can be reached through the website pixtrans.com. Its registered office is in Nagpur, Maharashtra, India.

The registered office of Pix Transmissions is at J – 7 Midchingna Road, Nagpur, Maharashtra, India – 400016.

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