Zak Venture Ltd

Zak Venture Ltd

Other Unlisted Active
INE15YC01013 Est. Dec 2016 Website
Current Price 24 Aug 2026
₹165.00

Min lot: 1,000 shares

Market Cap ₹73 Cr
P/E Ratio 363.0x
EPS ₹0.45
Face Value ₹5.00
Book Value ₹24.09
P/B Ratio 6.85x
Min Lot 1,000 sh.
Total Debt ₹22 Cr

Price Trend

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

About Zak Venture Ltd

Zak Venture Ltd, incorporated on 14 March 2016 and based in Noida, Uttar Pradesh, works across infrastructure and energy solutions, mostly in oil & gas and clean energy. its products span natural gas pipeline infrastructure, compressed biogas (CBG)/bio-CNG projects, and Auto LPG dispensing stations.

With more than eight years of experience, Zak Venture has set itself up as a partner to City Gas Distribution companies and other players across the energy value chain, providing execution, development and operations support for gas infrastructure and sustainable fuel projects aimed at improving energy reliability and supporting environmental goals in India.

Financial Highlights

All figures are in Crores (₹)

FY22FY23FY24 YOY %CAGR %
Net Sales21.332.424.7-23.6%+7.7%
Other Income0.100.140.10-28.6%+0.0%
Total Income21.432.524.8-23.7%+7.7%
Operating Profit3.404.975.40+8.7%+26.0%
Interest0.601.312.30+75.6%+95.8%
Depreciation0.400.641.00+56.3%+58.1%
Total Expenditure19.028.522.7-20.3%+9.3%
Exceptional Income0.000.000.00
PBT2.403.022.10-30.5%-6.5%
TAX0.600.830.50-39.8%-8.7%
PAT1.802.190.20-90.9%-66.7%
EPS (₹)₹4.09₹4.98₹0.45-90.9%-66.7%
FY22FY23FY24 YOY %CAGR %
Shareholder Funds48.69.0510.6+17.1%-53.3%
Total Debt74.815.422.0+42.5%-45.8%
Current Liabilities9.5010.812.4+15.0%+14.2%
Non Current Liabilities3.4013.64.50-66.9%+15.0%
Total Liabilities19.533.445.9+37.4%+53.4%
Current Assets16.824.822.4-9.6%+15.5%
Non Current Assets11.28.6314.5+68.0%+13.8%
Total Assets19.533.445.9+37.4%+53.4%
FY22FY23FY24 YOY %CAGR %
Cash Flow From Operating Activities0.000.000.00
Cash Flow From Investing Activities0.000.000.00
Cash Flow From Financing Activities0.000.000.00
Free Cash Flow0.000.000.00
FY22FY23FY24YOY %
ROE(%)3.7024.201.90-92.1%
ROCE(%)17.4014.9011.80-20.8%
ROA(%)9.206.600.40-93.9%
Current Ratio(x)1.802.301.80-21.7%
Debt / Equity(x)1.541.712.08+21.6%

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 INE15YC01013
Industry Other
Category Pre IPO
Incorporated December 2016
Min Lot Size 1,000 shares
Demat Required Yes
ROFR Applicable No

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