Clay Craft India IPO

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Clay Craft India IPO Details

Check out the issue details for Clay Craft India IPO as disclosed in SEBI.

Price Band

₹ 193 - 203

Issue Size

110.00 Cr.

Issue Type

Book Built

Open

2026-06-17

Close

2026-06-19

Listing Date

2026-06-24

Company Financials

You can get the following financial statements of Clay Craft India as of now.

Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Net Sales 74.1 114.54 145.33 145.43 151.94
Total Expenditure 57.74 87.05 112.47 116.65 115.44
Operating Profit 16.36 27.49 32.86 28.78 36.5
Other Income 1.11 1.45 2.44 1.56 2.49
Interest 1.63 1.85 3.78 5.1 4.48
Depreciation 3.2 3.3 4.13 5.96 6.01
Exceptional Items 0 0 0 0 0
Profit Before Tax 12.65 23.79 27.38 19.28 28.5
Provision for Tax 4.14 7.26 7.62 5.78 6.83
Net Profit 8.51 16.53 19.76 13.5 21.66
Adjusted EPS (Rs.) 0.58 1.13 1.35 0.92 1.43

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Equity and Liabilities
Share Capital 4.89 4.89 4.89 4.89 5.05
Total Reserves 63.98 80.5 98.64 112.12 134.91
Borrowings 10.12 19.75 32.47 30.46 25.85
Other N/C liabilities 4.07 4.18 5.92 7.57 7.98
Current liabilities 28.81 41.95 60.4 33.63 44.51
Total Liabilities 111.87 151.27 202.33 188.67 218.3
Assets
Net Block 37.99 59.58 99.02 105.3 106.04
Capital WIP 0.03 4.32 3.16 1.62 0.05
Intangible WIP 0 0 0 0 0
Investments 3.05 3.42 3.42 3.42 4.4
Loans & Advances 9.4 13.21 3.72 1.35 0.65
Other N/C Assets 0.08 0.05 0.08 6.93 3.76
Current Assets 61.31 70.69 92.92 70.06 103.41
Total Assets 111.87 151.27 202.33 188.67 218.3
* Other Non-current Liabilities include Net deferred Liabilities

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Profit from operations 8.53 16.58 27.38 19.28 28.5
Adjustment 3.18 3.24 8.22 11.59 11.74
Changes in Assets & Liabilities 8.75 5.56 -14.37 -0.41 -5.31
Tax Paid 0 0 -8.9 -5.1 -7.75
Operating Cash Flow 20.46 25.38 12.34 25.36 27.17
Investing Cash Flow -8.74 -32.95 -44.06 -14.4 -0.65
Financing Cash Flow -3.5 9.38 34 -24.11 -3.35
Net Cash Flow 8.22 1.8 2.28 -13.15 23.17
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