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LCC Projects Ltd.
NSE: LCCPROJECT | BSE: 544918
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151.47-2.89(-1.87%)
1.1M
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NSE 01 Oct, 2026 3:31 PM (IST)

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Board Meeting
The board meeting for LCC Projects is scheduled for today, for the purpose of Quarterly ResultsSee details

LCC Projects quarterly and annual financials: results, revenue, profit, P&L, balance sheet, cash flow, financial ratios, revenue mix, peer comparison, and financial documents

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LCC Projects competitor comparison and performance snapshot within industry

LCC Projects annual results: revenue, profit, P&L, and margins as of Mar 2025 – 11 year history

  • POSITIVE

    Annual Revenue LCC Projects Mar-2025 Annual Revenue is Rs 2,888 Cr which is growth of 19.4% YoY.

  • POSITIVE

    Annual Net Profit LCC Projects Mar-2025 Annual Net Profit is Rs 220 Cr which is growth of 84.4% YoY.

LCC Projects Ltd., Annual, standalone, All financials are in INR Cr and price data in INR
IndicatorGraphMar '25Mar '24Mar '23
2,887.52,417.91,237.2
Operating Exp. Ann.
2,492.72,145.41,110.3
Operating Profit Ann.
369.5257.2116.3
OPM Ann. %
12.80%10.64%9.40%
⌄
2,598.92,2131,145.3
EBITDA Ann.
394.9272.4126.9
EBITDA Ann. margin %
13.67%11.27%10.26%
Interest Ann.
79.849.228
Depr.
26.418.47
PBT Ann.
288.7169.491.9
Tax Ann.
6950.223.6
219.7119.268.3
Net Profit Ann.
219.7119.268.3
NPM Ann. %
7.67%4.95%5.56%
EPS Adj. latest Ann.
7.64.12.4
*All financials are in INR Cr and price data in INR
Total Rev. Ann.
1Y CHG
19.4%
2Y CAGR
52.8%
Net Profit Ann.
1Y CHG
84.3%
2Y CAGR
79.4%
Operating Exp. Ann.
1Y CHG
16.2%
2Y CAGR
49.8%

LCC Projects balance sheet as of Mar 2025: assets, liabilities, reserves, and borrowings – 11 year history

  • POSITIVE

    Total Shareholders Fund LCC Projects Mar-2025 Total Shareholders Fund is Rs 600 Cr which is growth of 57.6% YoY.

  • POSITIVE

    Total Assets LCC Projects Mar-2025 Total Assets is Rs 1,654 Cr which is growth of 48.6% YoY.

LCC Projects Ltd., Balance Sheet, standalone, All financials are in INR Cr and price data in INR
IndicatorGraphMar '25Mar '24Mar '23
⌄
600.4380.9261.9
Minority Interest Liability Ann.
---
⌄
135.197.348.8
918.6634.7471.1
Total Capital Plus Liabilities Ann.
1,654.11,112.9781.8
⌄
175.912780.9
⌄
309.2272.3207.9
1,344.9840.6573.9
Total Assets Ann.
1,654.11,112.9781.8
Contingent Liabilities plus Commitments Ann.
652.71,354.9570.6
Bonus Equity Share Capital Ann.
102
Non Current Investments Unquoted Book Value Ann.
6.610.87
Current Investments Unquoted Book Value Ann.
*All financials are in INR Cr and price data in INR
Total Assets Ann.
1Y CHG
48.6%
2Y CAGR
45.5%
Total Current Liabilities Ann.
1Y CHG
44.7%
2Y CAGR
39.6%
Total ShareHolders Funds Ann.
1Y CHG
57.6%
2Y CAGR
51.4%

LCC Projects ROE, ROCE, book value, and debt-to-equity ratio as of Mar 2025 – 11 year history

  • NEGATIVE

    Book Value Per Share LCC Projects Mar-2025 Book Value Per Share is 22 Rs which is growth of -80.3% YoY.

  • POSITIVE

    ROE LCC Projects Mar-2025 ROE is 37% which is growth of 5.3% YoY.

LCC Projects Ltd., Ratios, standalone, All financials are in INR Cr and price data in INR
IndicatorGraphMar '25Mar '24Mar '23
BVSH Ann.
22.111277
RoA Ann. %
13.28%10.70%8.73%
ROE Ann. %
36.59%31.28%26.08%
ROCE Ann. %
50.10%53.12%38.59%
⌄
   
⌄
   
⌄
   
Total Debt to Total Equity Ann.
1.21.11
*All financials are in INR Cr and price data in INR
ROE Ann. %
1Y CHG
17%
2Y CAGR
18.4%
RoA Ann. %
1Y CHG
24.1%
2Y CAGR
23.3%
Current Ratio Ann.
1Y CHG
15.4%
2Y CAGR
11.8%

LCC Projects cash flow: net, operating, investing, and financing flows as of Mar 2025 – 11 year history

  • NEGATIVE

    Cash From Operating Activity LCC Projects Mar-2025 Cash From Operating Activity is Rs -108 Cr which is growth of -573.3% YoY.

  • POSITIVE

    Net Cash Flow LCC Projects Mar-2025 Net Cash Flow is Rs 29 Cr which is growth of 2522.6% YoY.

LCC Projects Ltd., Cash Flow, standalone, All financials are in INR Cr and price data in INR
IndicatorGraphMar '25Mar '24Mar '23
-108.422.9-50.5
Cash from Investing Act. Ann.
-114.6-115.3-100.1
Cash from Financing Act. Ann.
252.591.2128.4
29.5-1.2-22.2
*All financials are in INR Cr and price data in INR
Cash from Financing Act. Ann.
1Y CHG
176.9%
2Y CAGR
40.2%

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