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Indian Railway Finance Corporation Ltd.

FinanceFinance Term Lending
₹79.51BSE0.43%

17 Sep, 9:17 AM

₹79.51
₹1.03L Cr
14.36
1.76
12.81%
₹79.69
₹79.06
₹137.10
₹78.14

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Price Performance

Peer Comparison

Name
POWER FINAN

PFC

346.955.641,14,497.035.354,745.405.42%13,993.131.60%9.93
Indian Railway Finance Corporation Ltd.

IRFC

79.5114.361,03,241.202.661,927.2110.40%8,261.1119.46%5.64
RECLTD

RECLTD

313.855.1682,643.745.924,149.46-6.78%14,296.10-2.92%9.71
IFCI LTD

IFCI

78.30381.8221,096.480.008.6417.07%102.64-34.00%8.48
TOURISM FINA

TFCILTD

140.3541.716,497.890.4361.21100.30%81.0227.17%11.13
SATIN

SATIN

218.506.332,413.790.00120.29182.36%670.915.39%11.67
TRU

TRU

4.0948.610.00-10.40-17.22%11.27-62.48%2.54

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsSep 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
6,761.336,475.026,765.686,899.666,763.436,723.236,915.386,371.896,661.377,336.058,261.11
Expenses33.9634.2232.7037.7239.3244.2746.8349.16103.59118.0041.94
6,727.376,440.806,732.986,861.946,724.116,678.966,868.556,322.736,557.787,218.058,219.17
99.50%99.47%99.52%99.45%99.42%99.34%99.32%99.23%98.44%98.39%99.49%
0.852.970.350.542.960.572.860.0257.86-7.37130.23
Interest5,181.494,724.725,154.915,248.745,095.074,996.375,124.394,544.424,812.025,524.436,421.04
2.151.731.591.091.341.291.331.351.431.941.15
1,544.581,717.321,576.831,612.651,630.661,681.871,745.691,776.981,802.191,684.311,927.21
0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
1,544.581,717.321,576.831,612.651,630.661,681.871,745.691,776.981,802.191,684.311,927.21
1.181.311.211.231.251.291.341.361.381.291.47

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income20,299.2623,721.4226,648.6327,152.1427,284.15
Operating Income (Net)20,299.2623,721.4226,648.6327,152.1427,284.15
EXPENDITURE :
Employee Cost10.7513.1011.1713.5121.28
Operating & Establishment Expenses5.945.295.145.3211.00
Administrations & Other Expenses5.467.146.446.4012.08
Provisions and Contingencies100.49111.73114.08128.78273.22
122.63137.25136.83154.01317.58
Operating Profit (Excl OI)20,176.6323,584.1626,511.8026,998.1326,966.57
2.3344.2611.224.2753.91
20,178.9623,628.4326,523.0227,002.4027,020.48
Interest14,074.7817,447.2120,101.4720,495.0920,005.26
14.0314.069.445.316.05
Profit Before Taxation & Exceptional Items6,090.166,167.166,412.116,502.007,009.17
6,090.166,167.166,412.116,502.007,009.17
Provision for Tax0.32
6,089.846,167.166,412.116,502.007,009.17
Extra items0.000.00
Other Consolidated Items0.560.610.45-0.260.51
Consolidated Net Profit6,090.406,167.766,412.566,501.747,009.68
Profit Balance B/F1,498.034,743.917,775.4710,945.3313,140.91
Appropriations7,588.4310,911.6714,188.0317,447.0720,150.59
Equity Dividend %14.00%15.00%15.00%16.00%21.00%
4.664.724.914.985.36
Adjusted EPS4.664.724.914.985.36

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
13,068.5113,068.5113,068.5113,068.5113,068.51
Total Reserves27,927.8331,611.6836,110.0639,599.2643,680.25
Reserve excluding Revaluation Reserve27,927.8331,611.6836,110.0639,599.2643,680.25
Revaluation reserve0.00
40,996.3444,680.1849,178.5752,667.7756,748.76
Secured Loans3,41,483.923,72,133.153,99,383.063,94,467.134,05,184.94
Unsecured Loans46,932.7046,796.11
Other Long Term Liabilities11.7612.631,856.481,496.861,604.90
Long Term Provisions162.383.104.57
Total Non-Current Liabilities3,88,428.384,18,941.894,01,401.923,95,967.094,06,794.41
Other Current Liabilities20,501.9326,631.8821,852.5122,280.4821,582.20
Short Term Borrowings12,649.0417,662.2731,285.45
Short Term Provisions66.03104.800.39257.07265.66
Total Current Liabilities20,567.9726,736.6834,501.9440,199.8253,133.31
Total Liabilities4,49,992.694,90,358.754,85,082.434,88,834.685,16,676.48
Loans (Non - Current Assets)6,824.815,933.134,944.515,171.5935,949.52
Gross Block53.5954.3230.6131.2938.06
Less: Accumulated Depreciation15.6235.138.5613.7819.73
Net Block37.9619.1922.0517.5118.33
Non Current Investments10.0013.6653.6038.1828.14
Long Term Investment10.0013.6653.6038.1828.14
Long Term Loans & Advances19.0946.62
Other Non Current Assets2,01,998.542,50,237.584,46,950.894,40,711.344,34,624.73
Total Non-Current Assets2,08,890.402,56,250.184,51,974.834,45,942.404,70,630.82
Cash and Bank303.38541.66467.376,143.16977.81
Other Current Assets2,20,961.142,18,884.2432,296.1136,358.9144,892.65
Short Term Loans and Advances19,837.7714,682.68344.12390.21175.20
Total Current Assets2,41,102.292,34,108.5733,107.6042,892.2846,045.66
Net Current Assets (Including Current Investments)2,20,534.322,07,371.89-1,394.342,692.46-7,087.65
Total Assets4,49,992.694,90,358.754,85,082.434,88,834.685,16,676.48
Contingent Liabilities2,859.463,096.311,046.11829.58929.13
Total Debt3,88,416.624,18,929.264,12,032.104,12,129.404,36,470.39
31.3734.1937.6340.3043.42
Adjusted Book Value31.3734.1937.6340.3043.42

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
6,090.166,167.166,412.116,502.007,009.17
Adjustment127.38112.52137.19120.21-144.25
Changes In working Capital-70,925.58-35,137.321,340.901,653.45-34,106.34
Cash Flow after changes in Working Capital-64,708.04-28,857.657,890.208,275.66-27,241.42
Cash Flow from Operating Activities-64,412.28-28,588.367,914.108,229.57-27,026.41
Cash Flow from Investing Activities-4.720.09-7.54-0.10-2.64
Cash Flow from Financing Activitie64,266.3028,644.48-8,046.43-2,571.9521,560.07
Net Cash Inflow / Outflow-150.7056.21-139.875,657.52-5,468.98
Opening Cash & Cash Equivalents297.19106.43162.6422.775,680.29
Closing Cash & Cash Equivalent146.49162.6422.775,680.29211.31

Ratios

Valuation

14.36
1.76
18.90
11.23
5.50
44.90

Profitability

12.81
5.64
1.39
98.84
25.69

Leverage & Liquidity

7.69
0.87
1.35

Returns

2.66
0.05

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
86.3686.3686.3686.3686.3686.3686.3684.6582.90
2.182.172.252.322.392.462.534.055.16
11.4511.4611.3911.3211.2411.1811.1111.2911.95
13.6413.6413.6413.6413.6413.6413.6415.3517.10
No. of Shareholders51,08,89355,00,05455,40,76756,35,77554,51,17253,17,98151,69,33151,13,56950,86,488

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-03AGM
2026-07-22Board Meeting Quarterly Results
2026-05-07Board Meeting Audited Results & Quarterly Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-06-30The President of India acting through and represented by the Ministry of Railways Government of IndiaOthersSell228,744,407

Sector Overview

FinanceFinance Term Lending

Indian Railway Finance Corporation Ltd. operates in the Finance sector under the Finance Term Lending 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 Term Lending

Founded

1986

Headquarters

New Delhi, Delhi

Group

PSU

Chairman

Manoj Kumar Dubey

Managing Director

Manoj Kumar Dubey

Company Secretary

Vijay Babulal Shirode

Face Value

₹10

CIN

L65910DL1986GOI026363

Get in Touch

Key Management

8 members across the board and senior leadership

Vijay Babulal Shirode

Company Secretary & Compliance Officer

Manoj Kumar Dubey

Chairman & Managing Director, CEO

Ranjay Choudhary

Whole Time Director - Finance & CFO

Abhishek Kumar

Government Nominee Director

Laya Madduri

Government Nominee Director

Pradeep Ahlawat

Independent Director

Manjula Mishra

Independent Director

Deepa Kotnis

Executive Director - Finance & CFO

IRFC Latest News

News

10 of 10 articles
EQUITY10 Sept 2026 · 17:34

Indian Railway Finance Corporation informs about appointment of statutory auditor

EQUITY31 Jul 2026 · 12:09

IRFC trades higher on reporting 10% rise in Q1 net profit

Total income increased by 21.29% to Rs 8,391.34 crore for Q1FY27

COMPANY31 Jul 2026 · 12:00

IRFC’s Q1 net profit rises 10% to Rs 1,927.21 crore

Total income increased by 21.29% to Rs 8,391.34 crore for Q1FY27

EQUITY30 Jul 2026 · 17:03

Indian Railway Finance Corporation informs about outcome of board meeting

EQUITY25 May 2026 · 14:21

Indian Railway Finance Corporation informs about press release

COMPANY25 May 2026 · 12:30

IRFC signs Rs 13,527 crore term loan agreement with L&T Metro Rail

The transaction reflects IRFC’s continued evolution into a diversified infrastructure financing institution while leveraging its core strength in long-term transportation finance

EQUITY25 May 2026 · 12:20

IRFC surges on signing loan agreement to raise JPY-equivalent $1.1 billion ECB

The ECB, being raised for JPY equivalent $1.1 billion has been tied up for a 5-year tenor and benchmarked to Overnight TONAR

COMPANY25 May 2026 · 12:13

IRFC signs loan agreement to raise JPY-equivalent $1.1 billion ECB

The ECB, being raised for JPY equivalent $1.1 billion has been tied up for a 5-year tenor and benchmarked to Overnight TONAR

EQUITY20 May 2026 · 16:27

Indian Railway Finance Corporation informs about secretarial compliance report

COMPANY14 May 2026 · 15:17

IRFC’s net profit marginally rises in Q4FY26

Total income of the company increased by 9.00% at Rs 7,328.68 crore for Q4FY26

IRFC

₹79.51

+0.43%