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Aavas Financiers Ltd.

FinanceFinance - Housing
₹1,288.00BSE1.93%

16 Sep, 4:01 PM

₹1,288.00
₹10.16K Cr
20.71
0.00
14.13%
₹1,288.00
₹1,253.70
₹1,774.95
₹1,050.25

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Price Performance

Peer Comparison

Name
BAJAJHFL

BAJAJHFL

83.00663.4869,158.380.007.09
PIRAMALFIN

PIRAMALFIN

2,207.1030.8952,226.670.50460.9866.80%3,368.2727.62%7.74
HUDCO

HUDCO

169.707.9833,972.243.57851.1135.05%3,717.1726.55%8.41
LIC HOUS.FIN

LICHSGFIN

542.155.2029,821.671.841,499.039.90%7,082.59-1.44%8.59
PNBHOUSING

PNBHOUSING

1,131.9512.7529,521.700.71557.344.47%2,263.449.02%9.41
AADHARHFC

AADHARHFC

458.6017.6320,096.160.00282.3619.00%992.8917.06%11.31
SAMMAANCAP

SAMMAANCAP

142.2016,560.000.00243.30-27.22%1,651.93-31.18%-4.70
Aavas Financiers Ltd.

AAVAS

1,288.0020.7110,160.780.00142.4812.34%546.0221.42%9.96

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024
352.86394.85411.37449.69466.97496.84508.06546.02
Expenses97.61109.69117.06118.05132.27129.03134.22138.78
255.25285.16294.31331.64334.70367.81373.84407.24
72.34%72.22%71.54%73.75%71.68%74.03%73.58%74.58%
0.090.330.710.710.040.781.190.78
Interest134.68141.02150.35165.00186.63203.60216.57221.56
6.236.926.908.687.287.638.669.10
114.44137.56137.77158.66140.84157.36149.82177.36
22.19%22.47%22.24%20.07%22.02%22.69%22.09%19.67%
89.05106.64107.12126.83109.83121.66116.72142.48
11.2813.4913.5516.0413.8915.3814.7518.00

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2019-20 (Mar)FY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income902.551,103.361,304.451,608.762,017.90
Operating Income (Net)902.551,103.361,304.451,608.762,017.90
EXPENDITURE :
Employee Cost147.41173.05234.29301.59355.91
Operating & Establishment Expenses30.4937.4452.3766.7282.82
Administrations & Other Expenses28.2120.5634.4752.3961.10
Provisions and Contingencies18.6841.7229.0620.2432.93
224.79272.78350.18440.94532.75
Operating Profit (Excl OI)677.76830.58954.271,167.831,485.15
0.802.161.202.253.05
678.56832.74955.471,170.081,488.20
Interest357.06459.58479.02592.93830.16
19.5620.6123.7628.7232.66
Profit Before Taxation & Exceptional Items301.94352.55452.69548.42625.37
301.94352.55452.69548.42625.37
Provision for Tax52.8963.6397.51118.78134.68
249.04288.92355.18429.64490.69
Consolidated Net Profit249.04288.92355.18429.64490.69
Profit Balance B/F347.99547.19778.871,084.681,438.29
Appropriations597.03836.111,134.061,514.321,928.99
31.8036.8045.0054.3562.00
Adjusted EPS31.8036.8045.0054.3562.00

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2019-20 (Mar)FY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)
78.3278.5078.9479.0679.14
Share Warrants & Outstandings11.7218.0831.1344.2151.54
Total Reserves2,007.872,304.222,696.363,146.403,642.63
Reserve excluding Revaluation Reserve2,007.872,304.222,696.363,146.403,642.63
2,097.922,400.812,806.433,269.663,773.32
Secured Loans4,035.124,184.415,136.266,544.338,312.23
Unsecured Loans198.68198.97556.83607.45458.19
Deferred Tax Assets / Liabilities31.6728.2934.5849.2560.25
Other Long Term Liabilities2.0124.1929.0735.8154.49
Long Term Provisions7.283.724.076.608.40
Total Non-Current Liabilities4,274.774,439.595,760.817,243.448,893.56
Trade Payables17.392.853.708.6130.94
Other Current Liabilities148.73153.96167.13198.98255.56
Short Term Borrowings1,118.231,962.042,279.412,688.913,566.07
Total Current Liabilities1,284.352,118.862,450.242,896.513,852.58
Total Liabilities7,657.038,959.2611,017.4813,409.6116,519.45
Loans (Non - Current Assets)6,180.807,523.299,053.4211,476.2714,004.37
Gross Block99.71117.93148.41187.89254.04
Less: Accumulated Depreciation39.8159.6782.25109.52138.04
Net Block59.9058.2666.1678.37116.00
Capital Work in Progress0.31
Non Current Investments52.52110.72182.16
Long Term Investment52.52110.72182.16
Long Term Loans & Advances2.733.203.794.915.29
Other Non Current Assets0.010.01
Total Non-Current Assets6,244.157,585.169,178.0011,690.6414,319.01
Sundry Debtors1.2212.22
Cash and Bank1,196.731,125.171,545.731,392.831,797.82
Other Current Assets10.3235.1524.3424.4439.49
Short Term Loans and Advances188.79195.38246.02287.97349.00
Total Current Assets1,395.831,355.701,816.091,706.472,198.53
Net Current Assets (Including Current Investments)111.49-763.16-634.16-1,190.04-1,654.05
Total Assets7,657.038,959.2611,017.4813,409.6116,519.45
Total Debt5,352.046,345.427,972.509,840.6912,336.50
266.36303.51351.59407.99470.28
Adjusted Book Value266.36303.51351.59407.99470.28

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2019-20 (Mar)FY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)
No of Months12.0012.0012.0012.0012.00
301.94352.55452.69548.42625.37
Adjustment20.2149.9923.7610.714.51
Changes In working Capital-1,433.08-1,419.51-1,536.74-2,390.29-2,485.92
Cash Flow after changes in Working Capital-1,110.93-1,016.97-1,060.29-1,831.15-1,856.03
Cash Flow from Operating Activities-1,172.24-1,071.17-1,135.11-1,924.12-1,986.59
Cash Flow from Investing Activities-341.76-264.92-462.61195.70-646.80
Cash Flow from Financing Activitie1,704.561,007.591,623.431,858.262,477.28
Net Cash Inflow / Outflow190.56-328.5025.71129.84-156.11
Opening Cash & Cash Equivalents160.03350.5922.1047.81177.65
Cash & Cash Equivalent of Subsidiaries under liquidations-0.98
Closing Cash & Cash Equivalent350.5922.1047.81177.6520.56

Ratios

Valuation

20.71
13.91
5.04
61.88

Profitability

14.13
9.96
3.28
73.60
24.32

Leverage & Liquidity

3.31
0.57
1.75

Returns

0.00
0.13

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
26.4726.4726.4726.4748.9648.9648.9548.8848.88
60.2861.0458.9540.4241.2840.0239.0038.8738.42
13.2512.4814.5733.119.7511.0212.0412.2512.70
73.5373.5373.5373.5351.0451.0451.0551.1251.12
No. of Shareholders1,44,3951,44,4521,47,8941,32,7921,21,8621,22,0521,20,6951,17,9801,13,498

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-24AGM
2026-07-14Board Meeting Quarterly Results
2026-04-27Board Meeting Audited Results & Raising of funds by way of issuance of Non-Convertible Debentures.

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

FinanceFinance - Housing

Aavas Financiers Ltd. operates in the Finance sector under the Finance - Housing industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Finance - Housing

Founded

2011

Headquarters

Jaipur, Rajasthan

Group

MNC

Chairman

Vellur Gopalaraghavan Kannan

Company Secretary

Saurabh Sharma

Face Value

₹10

CIN

L65922RJ2011PLC034297

Get in Touch

Key Management

9 members across the board and senior leadership

Saurabh Sharma

Company Secretary & Compliance Officer

Vellur Gopalaraghavan Kannan

Chairman

Vivek Anant Karve

Non Executive Independent Director

Soumya Rajan

Non Executive Independent Director

Siddharth Tapaswin Patel

Nominee Director

Nikhil Omprakash Gahrotra

Nominee Director

Neha Sureka

Nominee Director

Rohit Ranjan

Nominee Director

Anant Jain

Nominee Director

AAVAS Latest News

AAVAS

₹1,288.00

+1.93%