Innov8 Workspaces India Limited

Innov8 Workspaces India Limited

Construction - Real Estate Unlisted Active
INE1DBW01022 Est. 2015 Website
Current Price 24 Aug 2026
₹58.00

Min lot: 1,000 shares

Market Cap ₹1,125 Cr
P/E Ratio 966.7x
EPS ₹0.06
Face Value ₹1.31
Book Value ₹3.17
P/B Ratio 18.30x
Min Lot 1,000 sh.
Total Debt ₹37 Cr

Price Trend

Period Change
Period High
Period Low

Prices shown are indicative unlisted-market bid prices, updated periodically.

About Innov8 Workspaces India Limited

A desk, a chair, wifi that actually works. Innov8 has been selling that since 2015.

Dr. Ritesh Malik started it when coworking still looked like something startups put up with because they could not afford anything better. That turned out to be wrong.

Delhi NCR, Mumbai, Bengaluru, Pune, Hyderabad, Chennai, Ahmedabad. The people inside range from one freelancer with a laptop to companies big enough to lease a floor and sensible enough not to.

OYO bought the business in 2019.

Nine year leases used to be how offices worked. now nobody wants to guess what their headcount looks like in eighteen months, and thats really what Innov8 is selling. not the coffee.

Financial Highlights

All figures are in Crores (₹)

FY24FY25 YOY %CAGR %
Net Sales52.7114.5+117.3%+117.3%
Other Income2.543.06+20.5%+20.5%
Total Income55.2117.5+112.8%+112.8%
Operating Profit43.870.0+59.9%+59.9%
Interest12.830.7+140.8%+140.8%
Depreciation20.442.4+108.0%+108.0%
Total Expenditure59.6121.6+104.0%+104.0%
Exceptional Income-15.0-0.94+93.7%+93.7%
PBT10.6-3.16-129.8%+70.2%
TAX-27.1-4.32+84.0%+84.0%
PAT37.71.16-96.9%-96.9%
EPS (₹)₹2.79₹0.06-97.8%-97.8%
FY24FY25 YOY %CAGR %
Shareholder Funds-88.561.5+169.5%-30.5%
Total Debt0.0037.4
Current Liabilities189.8170.5-10.2%-10.2%
Non Current Liabilities131.2412.3+214.4%+214.4%
Total Liabilities232.5644.3+177.1%+177.1%
Current Assets45.9116.7+154.4%+154.4%
Non Current Assets186.6527.6+182.7%+182.7%
Total Assets232.5644.3+177.1%+177.1%
FY24FY25 YOY %CAGR %
Cash Flow From Operating Activities20.5-65.0-417.2%-217.2%
Cash Flow From Investing Activities-1.72-62.0-3,502.3%-3,502.3%
Cash Flow From Financing Activities-20.4127.2+724.9%+524.9%
Free Cash Flow18.8-89.7-577.8%-377.8%
FY24FY25YOY %
ROE(%)-42.601.90+104.5%
ROCE(%)18.8010.90-42.0%
ROA(%)16.200.20-98.8%
Current Ratio(x)0.200.70+250.0%
Debt / Equity(x)0.000.61

No documents available yet.

Net Sales (in Cr.)

Total Income (in Cr.)

Net Profit (in Cr.)

Operating Profit (in Cr.)

Shareholder Funds (in Cr.)

Total Assets (in Cr.)

Operating Cash Flow (in Cr.)

Investing Cash Flow (in Cr.)

Financing Cash Flow (in Cr.)

Free Cash Flow (in Cr.)

Company Information

ISIN INE1DBW01022
Industry Construction - Real Estate
Category Pre IPO
Incorporated 2015
Min Lot Size 1,000 shares
Demat Required Yes
ROFR Applicable No

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