Tracxn Technologies Limited

Tracxn Technologies Limited (TRACXN) financial statements and selected valuation metrics from NSE/BSE exchange filings through 30 June 2026.

ServicesServicesCommercial Services & SuppliesData Processing Services

tracxn.com(opens the company website in a new tab)
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Key metrics

Price as of 2026-09-02

Stock price
₹30.02
Market cap
321 Cr
P/B
6.10

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Share price

NSE closing price from historical market data.

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Statement tables · Consolidated

Switches quarterly, P&L, balance sheet, and cash flow. Key metrics and ratios stay on consolidated when available.

Amounts in ₹ Cr · NSE preferred when both exchanges report the same period · tap + to expand rows

Quarterly results

Quarterly · ₹ Cr · tap + rows to expand

MetricMar 2025Jun 2025Sept 2025Dec 2025
Sales21 Cr21 Cr21 Cr21 Cr
Operating expenses (approx.)22 Cr21 Cr22 Cr23 Cr
EBITDA-0.82 Cr-0.20 Cr-0.58 Cr-2 Cr
OPM %-3.9%-0.9%-2.7%-8.1%
Other income2 Cr2 Cr1 Cr2 Cr
Interest0 Cr0 Cr0 Cr0 Cr
Depreciation0.04 Cr0.03 Cr0.04 Cr0.05 Cr
Profit before tax0.73 Cr1 Cr0.62 Cr-1 Cr
Tax %1141.1%22.9%990.9%27.0%
Net profit-8 Cr1 Cr-6 Cr-0.81 Cr
EPS (₹)₹-0.71₹0.10₹-0.52₹-0.08

Profit & loss (annual)

Annual · last column is TTM · ₹ Cr · tap + to expand

MetricMar 2025TTM
Sales84 CrSign in for TTM
Operating expenses (approx.)84 CrSign in for TTM
EBITDA0.83 CrSign in for TTM
OPM %1.0%Sign in for TTM
Other income6 CrSign in for TTM
Interest0 CrSign in for TTM
Depreciation0.11 CrSign in for TTM
Profit before tax7 CrSign in for TTM
Tax %244.1%Sign in for TTM
Net profit-10 CrSign in for TTM
EPS (₹)₹-0.89Sign in for TTM
Dividend payout %Sign in for TTM
Sign in for TTM

Trailing twelve months totals and margin rows

Balance sheet

Annual · ₹ Cr · tap + rows to expand

MetricMar 2025
Equity capital11 Cr
Reserves55 Cr
Borrowings
Other liabilities45 Cr
Total liabilities111 Cr
Fixed assets (net)0.20 Cr
CWIP0 Cr
Investments90 Cr
Trade receivables2 Cr
Cash & bank4 Cr
Other assets16 Cr
Total assets111 Cr

Cash flows

Annual · ₹ Cr · tap + rows to expand · last column includes FCF

MetricMar 2025
Cash from operating activity14 Cr
Cash from investing-16 Cr
Cash from financing0.30 Cr
Net cash flow-1 Cr
Free cash flow (OCF − Capex)14 Cr

Ratios

Ratios as reported or derived per annual period.

MetricMar 2025
ROCE %10.1%
ROE %-14.5%
Debtor days7
Inventory days0
Days payable2
Cash conversion cycle5
Debt / equity
Current ratio2.48
Net debt / EBITDA-4.37

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