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486 companies · every ratio sourced from the company's own NSE filing. Update the cache with python manage.py refresh_market_data. Looking to browse the whole universe instead of filtering it? See Browse all companies.

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ℹ A custom screen is a filter you defined. StockProof computes the metrics and reports which companies satisfy the condition you wrote — it does not assess, endorse or rank the strategy behind it, and a company appearing in these results is not a recommendation to buy or sell. Companies missing an input your formula needs are listed separately as “couldn't be judged”, never counted as non-matches.

Piotroski F-Score — 9-criteria profitability, leverage, and efficiency composite.

45 results Extract this table (respects filters): CSV · XLSX
Ticker Company Sector Trend F-Score Piotroski F-Score Criteria Watchlist
KPIL.NS Kalpataru Projects International Ltd. Construction 9/9 ▲ Strong (Piotroski's 8–9 band)
9 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹10,400,500,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹15,343,800,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 2.29% → 3.75% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹15,343,800,000 vs Net Profit ₹10,400,500,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 16.37% → 11.93% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.23 → 1.23 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹341,600,000 → ₹341,600,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 6.27% → 6.76% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.87 → 0.98 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JKCEMENT.NS J.K. Cement Ltd. Construction Materials 8/9 ▲ Strong (Piotroski's 8–9 band)
8 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹9,924,900,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹18,729,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 5.16% → 5.36% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹18,729,900,000 vs Net Profit ₹9,924,900,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 35.34% → 32.83% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.28 → 0.93 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹772,700,000 → ₹772,700,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 13.46% → 13.96% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.71 → 0.74 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JKTYRE.NS JK Tyre & Industries Ltd. Automobile and Auto Components 8/9 ▲ Strong (Piotroski's 8–9 band)
8 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹7,760,900,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹14,438,400,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 3.41% → 4.85% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹14,438,400,000 vs Net Profit ₹7,760,900,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 33.00% → 29.67% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.20 → 1.34 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹548,000,000 → ₹576,600,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 8.31% → 9.90% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.01 → 1.02 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JSWSTEEL.NS JSW Steel Ltd. Metals & Mining 8/9 ▲ Strong (Piotroski's 8–9 band)
8 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹223,160,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹251,520,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.46% → 8.28% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹251,520,000,000 vs Net Profit ₹223,160,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 39.86% → 35.42% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.17 → 1.49 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹3,050,000,000 → ₹3,050,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 8.46% → 11.57% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.70 → 0.69 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
KAJARIACER.NS Kajaria Ceramics Ltd. Consumer Durables 8/9 ▲ Strong (Piotroski's 8–9 band)
8 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹4,854,100,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹6,667,300,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 7.84% → 12.05% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹6,667,300,000 vs Net Profit ₹4,854,100,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 4.68% → 3.23% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.57 → 2.97 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹159,300,000 → ₹159,300,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.86% → 15.50% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.23 → 1.20 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
CEMPRO.NS Cemindia Projects Ltd. Construction 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹5,977,300,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹4,997,800,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 5.73% → 8.43% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹4,997,800,000 vs Net Profit ₹5,977,300,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 14.34% → 12.23% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.14 → 1.25 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹171,788,000 → ₹171,800,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 8.05% → 10.26% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.40 → 1.42 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
FLUOROCHEM.NS Gujarat Fluorochemicals Ltd. Chemicals 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹5,780,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹9,610,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 5.15% → 4.86% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹9,610,000,000 vs Net Profit ₹5,780,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 18.74% → 18.51% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.70 → 1.72 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹110,000,000 → ₹110,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 18.15% → 19.34% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.45 → 0.42 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JPPOWER.NS Jaiprakash Power Ventures Ltd. Power 7/9
7 of 8 computable criteria met (8 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹4,506,300,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹13,009,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
N/A — not computable Return on assets improved YoY Net profit or total assets missing in one of the two years.
✓ Met Operating cash flow exceeds net income CFO ₹13,009,900,000 vs Net Profit ₹4,506,300,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 21.17% → 18.82% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.41 → 2.70 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹68,534,600,000 → ₹68,534,600,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 29.84% → 20.17% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.31 → 0.31 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JUBLFOOD.NS Jubilant Foodworks Ltd. Consumer Services 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹4,284,810,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹18,935,520,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 2.47% → 4.48% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹18,935,520,000 vs Net Profit ₹4,284,810,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 17.62% → 18.25% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 0.57 → 0.36 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,319,690,000 → ₹1,319,690,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.33% → 10.55% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.95 → 0.99 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JUBLINGREA.NS Jubilant Ingrevia Ltd. Chemicals 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹2,779,100,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹5,242,700,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 4.99% → 5.07% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹5,242,700,000 vs Net Profit ₹2,779,100,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 15.18% → 14.44% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.32 → 1.29 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹158,100,000 → ₹157,700,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 9.56% → 9.85% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.83 → 0.80 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
KALYANKJIL.NS Kalyan Jewellers India Ltd. Consumer Durables 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹13,503,950,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹13,175,160,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 4.73% → 6.52% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹13,175,160,000 vs Net Profit ₹13,503,950,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 6.28% → 2.53% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.29 → 1.30 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹10,314,350,000 → ₹10,327,400,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 5.27% → 6.37% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.66 → 1.73 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
VIJAYA.NS Vijaya Diagnostic Centre Ltd. Healthcare 7/9
7 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹1,729,766,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹2,705,904,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 11.23% → 11.48% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹2,705,904,000 vs Net Profit ₹1,729,766,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 0.00% → 0.00% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.89 → 2.60 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹102,637,000 → ₹102,897,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 32.42% → 32.66% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.54 → 0.54 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JINDALSAW.NS Jindal Saw Ltd. Capital Goods 6/9
6 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹9,733,500,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹17,713,700,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 8.37% → 4.49% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹17,713,700,000 vs Net Profit ₹9,733,500,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 23.39% → 21.63% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.45 → 1.61 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹639,500,000 → ₹639,500,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 14.14% → 9.37% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.00 → 0.83 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
PRESTIGE.NS Prestige Estates Projects Ltd. Realty 6/9
6 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹11,955,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹32,232,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 0.80% → 1.63% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹32,232,000,000 vs Net Profit ₹11,955,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 18.03% → 20.43% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.25 → 1.15 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹4,307,000,000 → ₹4,307,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 29.02% → 26.12% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.12 → 0.17 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
AMBUJACEM.NS Ambuja Cements Ltd. Construction Materials 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹47,281,800,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹53,615,300,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 5.12% → 5.28% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹53,615,300,000 vs Net Profit ₹47,281,800,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 0.03% → 0.06% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.42 → 1.05 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹4,926,200,000 → ₹4,943,600,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 17.54% → 9.35% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.43 → 0.45 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BAJAJ-AUTO.NS Bajaj Auto Ltd. Automobile and Auto Components 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹107,442,100,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹25,966,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 13.51% → 13.91% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹25,966,000,000 vs Net Profit ₹107,442,100,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 17.04% → 28.46% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.68 → 1.76 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹2,792,600,000 → ₹2,795,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 22.61% → 23.21% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.94 → 0.81 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BAJAJHLDNG.NS Bajaj Holdings & Investment Ltd. Financial Services 5/9
5 of 7 computable criteria met (7 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹96,367,500,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹25,641,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 8.66% → 11.31% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹25,641,000,000 vs Net Profit ₹96,367,500,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,112,900,000 → ₹1,112,900,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 90.26% → 86.92% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.01 → 0.01 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BIKAJI.NS Bikaji Foods International Ltd. Fast Moving Consumer Goods 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹2,582,632,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹3,040,978,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 10.37% → 11.53% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹3,040,978,000 vs Net Profit ₹2,582,632,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 7.93% → 9.37% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.60 → 2.47 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹250,593,000 → ₹250,736,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.66% → 12.26% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.35 → 1.34 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JBMA.NS JBM Auto Ltd. Automobile and Auto Components 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹2,187,800,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-598,600,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 3.45% → 2.97% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-598,600,000 vs Net Profit ₹2,187,800,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 44.56% → 40.79% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.07 → 1.10 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹236,500,000 → ₹236,500,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.15% → 11.00% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.94 → 0.83 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JINDALSTEL.NS Jindal Steel Ltd. Metals & Mining 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹33,673,800,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹72,042,300,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 3.28% → 3.44% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹72,042,300,000 vs Net Profit ₹33,673,800,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 20.79% → 22.54% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.06 → 1.25 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,011,800,000 → ₹1,017,500,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 13.85% → 12.81% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.58 → 0.54 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JSL.NS Jindal Stainless Ltd. Metals & Mining 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹31,934,500,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹33,949,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 6.93% → 7.85% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹33,949,900,000 vs Net Profit ₹31,934,500,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 17.42% → 18.04% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.26 → 1.24 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,647,300,000 → ₹1,647,900,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.07% → 11.33% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.09 → 1.06 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JSWENERGY.NS JSW Energy Ltd. Power 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹22,393,100,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹98,983,100,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 2.17% → 1.80% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹98,983,100,000 vs Net Profit ₹22,393,100,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 55.17% → 61.08% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.06 → 0.76 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹17,452,500,000 → ₹17,561,800,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 37.97% → 41.56% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.13 → 0.15 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
SJVN.NS SJVN Ltd. Power 5/9
5 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹6,420,800,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹18,596,300,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.78% → 1.24% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹18,596,300,000 vs Net Profit ₹6,420,800,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 58.45% → 62.02% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 0.98 → 0.64 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹39,298,000,000 → ₹39,298,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 60.20% → 55.26% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.07 → 0.09 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
ANANTRAJ.NS Anant Raj Ltd. Realty 4/9
4 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹5,548,500,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-4,347,700,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 8.13% → 8.08% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-4,347,700,000 vs Net Profit ₹5,548,500,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 8.92% → 8.83% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 5.43 → 9.75 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹686,500,000 → ₹719,800,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 24.35% → 26.85% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.39 → 0.37 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
GMDCLTD.NS Gujarat Mineral Development Corporation Ltd. Metals & Mining 4/9
4 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹9,566,700,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹7,437,200,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 0.00% → 10.65% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹7,437,200,000 vs Net Profit ₹9,566,700,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 1.58% → 3.43% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 4.71 → 4.14 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹636,000,000 → ₹636,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 31.50% → 28.38% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.37 → 0.30 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
GODREJCP.NS Godrej Consumer Products Ltd. Fast Moving Consumer Goods 4/9
4 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹18,614,700,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹24,884,600,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 9.42% → 8.73% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹24,884,600,000 vs Net Profit ₹18,614,700,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 19.74% → 19.39% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.06 → 0.91 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,023,000,000 → ₹1,023,200,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 21.48% → 20.79% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.73 → 0.71 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
GODREJIND.NS Godrej Industries Ltd. Diversified 4/9
4 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹12,405,300,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-88,548,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.12% → 0.98% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-88,548,900,000 vs Net Profit ₹12,405,300,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 43.04% → 40.41% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.27 → 1.09 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹336,800,000 → ₹336,800,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 20.02% → 24.66% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.22 → 0.18 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JMFINANCIL.NS JM Financial Ltd. Financial Services 4/9
4 of 7 computable criteria met (7 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹12,019,700,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹5,807,300,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 3.35% → 4.53% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹5,807,300,000 vs Net Profit ₹12,019,700,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹955,800,000 → ₹956,400,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 52.58% → 63.57% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.18 → 0.15 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JSWDULUX.NS JSW Dulux Ltd. Consumer Durables 4/9
4 of 6 computable criteria met (6 of 9 total computable)
9 criteria
N/A — not computable Positive net income Net profit not disclosed for this year.
✓ Met Positive operating cash flow CFO 2026-03-31: ₹933,240,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
N/A — not computable Return on assets improved YoY Net profit or total assets missing in one of the two years.
N/A — not computable Operating cash flow exceeds net income CFO or net profit not disclosed for this year.
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 0.00% → 0.00% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.22 → 1.56 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹455,400,000 → ₹455,400,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 14.17% → 14.77% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.41 → 0.95 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JUBLPHARMA.NS Jubilant Pharmova Ltd. Healthcare 4/9
4 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹3,985,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹12,268,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 6.58% → 2.57% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹12,268,000,000 vs Net Profit ₹3,985,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 19.10% → 20.74% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.62 → 1.62 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹158,000,000 → ₹158,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 11.91% → 10.69% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.57 → 0.53 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
AJANTPHARM.NS Ajanta Pharmaceuticals Ltd. Healthcare 3/9
3 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹10,560,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹5,291,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 18.35% → 17.16% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹5,291,900,000 vs Net Profit ₹10,560,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 0.05% → 3.44% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.84 → 2.64 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹250,700,000 → ₹250,700,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 26.03% → 25.56% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.93 → 0.89 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
ARE&M.NS Amara Raja Energy & Mobility Ltd. Automobile and Auto Components 3/9
3 of 9 criteria met
9 criteria
✗ Not met Positive net income Net Profit 2026-03-31: ₹0 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹11,182,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 0.00% → 0.00% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹11,182,900,000 vs Net Profit ₹0 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 1.42% → 2.41% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.84 → 1.64 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹183,000,000 → ₹183,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 9.39% → 7.21% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 1.26 → 1.21 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BLUEJET.NS Blue Jet Healthcare Ltd. Healthcare 3/9
3 of 6 computable criteria met (6 of 9 total computable)
9 criteria
N/A — not computable Positive net income Net profit not disclosed for this year.
✓ Met Positive operating cash flow CFO 2026-03-31: ₹3,341,460,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
N/A — not computable Return on assets improved YoY Net profit or total assets missing in one of the two years.
N/A — not computable Operating cash flow exceeds net income CFO or net profit not disclosed for this year.
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 0.00% → 0.00% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 3.93 → 4.21 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹346,930,000 → ₹346,930,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 39.44% → 35.76% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.73 → 0.58 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
GODREJPROP.NS Godrej Properties Ltd. Realty 3/9
3 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹18,502,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-19,614,600,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 2.52% → 2.26% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-19,614,600,000 vs Net Profit ₹18,502,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 22.65% → 19.07% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.51 → 1.27 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,505,900,000 → ₹1,506,000,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 40.93% → 53.54% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.09 → 0.06 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JIOFIN.NS Jio Financial Services Ltd. Financial Services 3/9
3 of 7 computable criteria met (7 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹15,609,000,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-154,386,400,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.21% → 0.95% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-154,386,400,000 vs Net Profit ₹15,609,000,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹63,531,400,000 → ₹63,531,400,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 76.45% → 65.60% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✓ Met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.02 → 0.02 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JSWINFRA.NS JSW Infrastructure Ltd. Services 3/9
3 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹15,233,100,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹20,215,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 8.88% → 7.48% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹20,215,000,000 vs Net Profit ₹15,233,100,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 27.52% → 31.48% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 3.02 → 2.26 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹4,147,000,000 → ₹4,170,400,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 46.21% → 43.56% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.26 → 0.26 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
JYOTICNC.NS Jyoti CNC Automation Ltd. Capital Goods 3/9
3 of 6 computable criteria met (6 of 9 total computable)
9 criteria
N/A — not computable Positive net income Net profit not disclosed for this year.
✓ Met Positive operating cash flow CFO 2026-03-31: ₹543,900,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
N/A — not computable Return on assets improved YoY Net profit or total assets missing in one of the two years.
N/A — not computable Operating cash flow exceeds net income CFO or net profit not disclosed for this year.
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 17.80% → 23.50% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.15 → 2.26 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✓ Met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹454,800,000 → ₹454,800,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 25.80% → 25.66% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.65 → 0.58 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
PNB.NS Punjab National Bank Financial Services 3/9
3 of 4 computable criteria met (4 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹170,957,700,000 ProfitLossForThePeriod (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹256,354,100,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 0.94% → 0.84% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹256,354,100,000 vs Net Profit ₹170,957,700,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitLossForThePeriod (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
N/A — not computable No new shares issued Equity share capital not disclosed in one of the two years.
N/A — not computable Operating margin (EBIT/Revenue) improved YoY EBIT or revenue missing in one of the two years.
N/A — not computable Asset turnover improved YoY Revenue or total assets missing in one of the two years.
BAJAJFINSV.NS Bajaj Finserv Ltd. Financial Services 2/9
2 of 7 computable criteria met (7 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹98,009,700,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-553,014,100,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.36% → 1.29% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-553,014,100,000 vs Net Profit ₹98,009,700,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,596,000,000 → ₹1,598,700,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✓ Met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 35.90% → 36.86% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.21 → 0.20 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
J&KBANK.NS Jammu & Kashmir Bank Ltd. Financial Services 2/9
2 of 4 computable criteria met (4 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹23,675,800,000 ProfitLossForThePeriod (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-17,066,800,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✓ Met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 1.23% → 1.25% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-17,066,800,000 vs Net Profit ₹23,675,800,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitLossForThePeriod (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
N/A — not computable No new shares issued Equity share capital not disclosed in one of the two years.
N/A — not computable Operating margin (EBIT/Revenue) improved YoY EBIT or revenue missing in one of the two years.
N/A — not computable Asset turnover improved YoY Revenue or total assets missing in one of the two years.
JWL.NS Jupiter Wagons Ltd. Capital Goods 2/9 ▼ Weak (Piotroski's 0–2 band)
2 of 9 criteria met
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹1,710,829,100 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹94,473,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 9.56% → 3.63% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹94,473,000 vs Net Profit ₹1,710,829,100 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 12.11% → 19.90% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.20 → 2.00 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹4,244,980,000 → ₹4,273,704,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 14.34% → 11.70% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.99 → 0.62 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
TEJASNET.NS Tejas Networks Ltd. Telecommunication 2/9 ▼ Weak (Piotroski's 0–2 band)
2 of 9 criteria met
9 criteria
✗ Not met Positive net income Net Profit 2026-03-31: ₹-9,088,900,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✓ Met Positive operating cash flow CFO 2026-03-31: ₹1,351,700,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 0.00% → -9.67% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✓ Met Operating cash flow exceeds net income CFO ₹1,351,700,000 vs Net Profit ₹-9,088,900,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 31.25% → 42.92% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 1.35 → 1.20 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,795,900,000 → ₹1,810,100,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 10.65% → -95.28% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.85 → 0.12 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BAJFINANCE.NS Bajaj Finance Ltd. Financial Services 1/9
1 of 7 computable criteria met (7 of 9 total computable)
9 criteria
✓ Met Positive net income Net Profit 2026-03-31: ₹190,173,900,000 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-657,898,000,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 3.57% → 3.40% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-657,898,000,000 vs Net Profit ₹190,173,900,000 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹1,241,700,000 → ₹6,217,900,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 67.21% → 66.76% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.15 → 0.15 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
BAJAJHFL.NS Bajaj Housing Finance Ltd. Financial Services 0/9
0 of 4 computable criteria met (4 of 9 total computable)
9 criteria
N/A — not computable Positive net income Net profit not disclosed for this year.
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-198,948,600,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
N/A — not computable Return on assets improved YoY Net profit or total assets missing in one of the two years.
N/A — not computable Operating cash flow exceeds net income CFO or net profit not disclosed for this year.
N/A — not computable Leverage (Debt/Assets) decreased YoY Total debt or total assets missing in one of the two years.
N/A — not computable Current ratio improved YoY Current assets/liabilities missing (common for banks/NBFCs) in one of the two years.
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹83,281,500,000 → ₹83,286,600,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 91.37% → 90.54% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 0.09 → 0.09 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31
PATANJALI.NS Patanjali Foods Ltd. Fast Moving Consumer Goods 0/9 ▼ Weak (Piotroski's 0–2 band)
0 of 9 criteria met
9 criteria
✗ Not met Positive net income Net Profit 2026-03-31: ₹0 ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Positive operating cash flow CFO 2026-03-31: ₹-3,326,324,000 CashFlowsFromUsedInOperatingActivities (2026-03-31)
✗ Not met Return on assets improved YoY ROA 2025-03-31 → 2026-03-31: 8.38% → 0.00% Net Profit ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Operating cash flow exceeds net income CFO ₹-3,326,324,000 vs Net Profit ₹0 (2026-03-31) CashFlowsFromUsedInOperatingActivities vs ProfitOrLossAttributableToOwnersOfParent (2026-03-31)
✗ Not met Leverage (Debt/Assets) decreased YoY 2025-03-31 → 2026-03-31: 5.04% → 14.80% Total Debt ÷ Total Assets, 2025-03-31 & 2026-03-31
✗ Not met Current ratio improved YoY 2025-03-31 → 2026-03-31: 2.29 → 2.14 Total Current Assets ÷ Total Current Liabilities, 2025-03-31 & 2026-03-31
✗ Not met No new shares issued Equity Share Capital 2025-03-31 → 2026-03-31: ₹724,202,000 → ₹2,175,751,000 EquityShareCapital, 2025-03-31 & 2026-03-31
✗ Not met Operating margin (EBIT/Revenue) improved YoY 2025-03-31 → 2026-03-31: 5.30% → 4.19% (ProfitBeforeExceptionalItemsAndTax + FinanceCosts) ÷ Revenue from Operations, 2025-03-31 & 2026-03-31
✗ Not met Asset turnover improved YoY 2025-03-31 → 2026-03-31: 2.20 → 2.14 Revenue from Operations ÷ Total Assets, 2025-03-31 & 2026-03-31