Taparia Tools Limited

Taparia Tools Limited

Trading Unlisted Active
INE614R01014 Est. 1965 Website
Current Price 24 Aug 2026
₹6,050.00

Min lot: 25 shares

Market Cap ₹9,178 Cr
P/E Ratio 60.6x
EPS ₹99.83
Face Value ₹10.00
Book Value ₹343.23
P/B Ratio 17.63x
Min Lot 25 sh.
Total Debt ₹0 Cr

Price Trend

Period Change
Period High
Period Low

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

About Taparia Tools Limited

Taparia Tools, founded in 1965 and based in Mumbai, is mostly a manufacturer and trader of hand tools in India. its catalogue covers adjustable spanners, mini pliers, screwdriver bits and sets, tool sets, sockets and socket accessories, torque wrenches, hammers, clamps, wheel spanners, chisels, punches, magnetic products, cutters, hacksaw blades, gear pullers, Allen keys and sets, tool trolleys, spirit levels and non-sparking tools.

The company runs two manufacturing facilities, one in Goa and one in Nashik with the Nashik plant spread across roughly 42,832 square metres and all manufacturing units housed under a single roof. Production draws on technology adapted from a Swedish collaboration, the plant also runs a dedicated Quality Control department and lab for testing raw materials right through to finished goods.

Taparia sells under its own brand name through a network of more than 800 distributors and exports to markets including the UK, US, Denmark, Germany, Sweden, Dubai, Norway, Finland, Israel, Kuwait, Kenya, Hong Kong, Thailand, Mexico, Argentina and Sri Lanka.

Financial Highlights

All figures are in Crores (₹)

FY22FY23FY24FY25FY26 YOY %CAGR %
Net Sales667.6764.5828.5912.91,023+12.1%+11.3%
Other Income1.904.409.1012.013.8+15.0%+64.2%
Total Income669.5768.9837.7924.91,037+12.1%+11.6%
Operating Profit89.398.5135.1167.8205.4+22.4%+23.1%
Interest0.100.200.300.300.25-16.7%+25.7%
Depreciation1.801.601.402.602.90+11.5%+12.7%
Total Expenditure582.1672.2704.2760.0835.0+9.9%+9.4%
Exceptional Income0.000.000.000.000.00
PBT87.496.7133.4164.9202.2+22.6%+23.3%
TAX22.324.433.742.450.6+19.3%+22.7%
PAT65.172.399.8122.5151.5+23.7%+23.5%
EPS (₹)₹42.83₹47.57₹65.66₹80.72₹99.83+23.7%+23.6%
FY22FY23FY24FY25FY26 YOY %CAGR %
Shareholder Funds237.8270.4316.6371.0520.7+40.3%+21.6%
Total Debt0.000.000.000.000.00
Current Liabilities76.075.289.565.380.0+22.6%+1.3%
Non Current Liabilities3.103.503.505.405.07-6.1%+13.1%
Total Liabilities316.9349.1409.6441.7520.7+17.9%+13.2%
Current Assets294.3326.1383.9398.7485.8+21.9%+13.4%
Non Current Assets22.623.025.743.034.8-19.1%+11.4%
Total Assets316.9349.1409.6441.7520.7+17.9%+13.2%
FY22FY23FY24FY25FY26 YOY %CAGR %
Cash Flow From Operating Activities34.184.7117.479.2137.3+73.4%+41.7%
Cash Flow From Investing Activities-47.3-43.8-58.5-11.3-49.1-334.8%-1.0%
Cash Flow From Financing Activities-0.70-40.0-54.7-69.2-87.9-27.1%-234.8%
Free Cash Flow31.782.9116.472.1131.8+82.7%+42.8%
FY22FY23FY24FY25FY26YOY %
ROE(%)27.4026.7031.5033.0029.10-11.8%
ROCE(%)28.2028.2033.0038.0039.40+3.7%
ROA(%)20.5020.7024.4027.7029.10+5.1%
Current Ratio(x)3.904.304.306.106.10+0.0%
Debt / Equity(x)0.000.000.000.000.00

No documents available yet.

FY17FY18FY19FY20 YOY %CAGR %
Net Sales382.1471.5+7.3%
Other Income3.87
Total Income383.0475.4+7.5%
Operating Profit19.043.1+31.3%
Interest1.300.120.050.24+380.0%-43.1%
Depreciation0.420.490.651.67+156.9%+58.4%
Total Expenditure364.0432.3+5.9%
Exceptional Income
PBT17.322.036.441.1+13.1%+33.5%
TAX
PAT10.930.6+41.0%
EPS (₹)
FY17FY18FY19FY20 YOY %CAGR %
Shareholder Funds160.0
Total Debt
Current Liabilities63.439.3-14.7%
Non Current Liabilities2.763.67+10.0%
Total Liabilities146.7202.9+11.4%
Current Assets116.9181.1+15.7%
Non Current Assets29.821.9-9.8%
Total Assets146.7202.9+11.4%
FY17FY18FY19FY20 YOY %CAGR %
Cash Flow From Operating Activities21.219.7-1.6527.5+1,769.1%+9.2%
Cash Flow From Investing Activities-0.41-1.01-6.35-24.8-289.9%-292.3%
Cash Flow From Financing Activities-20.7-8.15-0.05-1.00-1,900.0%+63.6%
Free Cash Flow20.718.7-8.002.78+134.8%-48.8%
FY17FY18FY19FY20YOY %
ROE(%)19.10
ROCE(%)13.0021.20
ROA(%)7.4015.10
Current Ratio(x)1.804.60
Debt / Equity(x)0.00

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 INE614R01014
Industry Trading
Category Pre IPO
Incorporated 1965
Min Lot Size 25 shares
Demat Required Yes
ROFR Applicable No

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