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Power Finance Corporation Ltd.

FinanceFinance Term Lending
₹353.40BSE0.53%

07 Sep, 4:01 PM

₹353.40
₹1.17L Cr
4.48
0.82
26.84%
₹359.20
₹353.00
₹486.45
₹330.05

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Price Performance

Peer Comparison

Name
Power Finance Corporation Ltd.

PFC

353.404.481,16,625.605.258,997.920.18%28,526.86-0.04%10.05
RECLTD

RECLTD

316.505.2083,341.545.864,192.76-6.11%14,434.92-2.58%9.71
IFCI LTD

IFCI

102.62158.5127,649.050.0060.27-3.46%327.06-19.68%7.56
TOURISM FINA

TFCILTD

140.7576.126,516.400.4318.38-8.25%51.00-17.46%10.45
SATIN

SATIN

216.255.862,388.930.00122.65171.94%762.148.39%12.15
TRU

TRU

4.0948.610.00-10.58-16.29%11.27-62.55%3.48
IRFC

IRFC

83.08

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsSep 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
22,374.6324,141.4024,716.7625,721.7926,798.0429,265.0328,539.0428,890.2429,094.8128,919.5228,526.86
Expenses-567.26-589.35309.84365.95431.462,147.78219.451,514.311,030.79415.7934.69
22,941.8924,730.7524,406.9225,355.8426,366.5827,117.2528,319.5927,375.9328,064.0228,503.7328,492.17
102.54%102.44%98.75%98.58%98.39%92.66%99.23%94.76%96.46%98.56%99.88%
12.6934.9419.9232.9423.8020.4289.7410.9827.48-62.9236.31
Interest14,313.1115,153.6615,520.8616,007.8816,559.5216,567.3217,196.0917,314.2317,572.1017,333.4617,250.42
12.6814.8512.3113.0414.5715.7614.2515.3217.8515.5417.98
8,628.799,597.008,893.679,367.869,816.3010,554.3311,198.9910,057.3610,501.5511,091.7911,260.08
23.19%21.26%19.25%22.98%20.95%20.81%19.80%22.10%21.80%22.49%20.09%
4,833.085,624.365,543.145,302.435,828.796,316.456,866.265,743.256,292.466,998.997,012.01
14.6517.0416.8016.0717.6619.1420.8117.4019.0721.2121.25

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 Income76,261.6677,568.3091,096.721,06,501.621,15,443.61
Operating Income (Net)76,261.6677,568.3091,096.721,06,501.621,15,443.61
EXPENDITURE :
Employee Cost407.32438.88491.06550.77570.27
Operating & Establishment Expenses126.92112.00232.30236.47367.96
Administrations & Other Expenses126.79171.37204.23236.23225.45
Provisions and Contingencies7,931.533,737.22859.912,811.564,060.02
8,592.564,459.471,787.503,835.035,223.70
Operating Profit (Excl OI)67,669.1073,108.8389,309.221,02,666.591,10,219.91
482.39464.852,321.02675.762,126.35
68,151.4973,573.6891,630.241,03,342.351,12,346.26
Interest44,712.1047,025.8257,988.5464,654.2669,415.32
34.7751.8053.4055.6862.96
Profit Before Taxation & Exceptional Items23,404.6226,496.0633,588.3038,632.4142,867.98
Exceptional Income / Expenses-18.28
23,382.2226,496.0733,588.1238,632.1642,849.68
Provision for Tax4,614.015,317.487,126.948,117.769,224.34
18,768.2121,178.5926,461.1830,514.4033,625.34
Extra items0.000.00
Minority Interest-4,753.42-5,289.26-6,700.02-7,523.59-7,724.39
Consolidated Net Profit14,014.7915,889.3319,761.1622,990.8125,900.95
Profit Balance B/F9,760.5212,757.1018,236.2823,413.3329,090.03
Appropriations23,775.3128,646.4337,997.4446,404.1454,990.98
Equity Dividend %120.00%132.50%135.00%158.00%185.50%
53.0860.1959.8869.6778.49
Adjusted EPS42.4748.1559.8869.6778.49

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)
2,640.082,640.083,300.103,300.103,300.10
Total Reserves69,036.1681,518.4197,846.671,14,438.251,29,560.84
Reserve excluding Revaluation Reserve69,036.1681,518.4197,846.671,14,438.251,29,560.84
71,676.2484,158.491,01,146.771,17,738.351,32,860.94
Minority Interest24,598.9127,822.7933,141.7737,416.8840,580.08
Secured Loans74,721.4182,606.11
Unsecured Loans5,69,917.346,45,823.277,20,094.848,27,417.688,27,563.71
Deferred Tax Assets / Liabilities-7,315.37-7,340.03-6,055.95-6,217.46-6,895.55
Other Long Term Liabilities30,676.7229,447.8130,093.1630,776.8243,112.12
Long Term Trade Payables2.781.360.26
Long Term Provisions446.00338.83188.79168.65227.40
Total Non-Current Liabilities6,68,446.107,50,875.997,44,323.628,52,147.058,64,007.94
Trade Payables49.7564.28118.33150.79210.31
Other Current Liabilities17,373.2618,766.5611,781.2719,579.2013,913.03
Short Term Borrowings1,410.936,851.081,41,866.221,44,340.351,84,939.75
Short Term Provisions129.70232.62443.46496.421,170.95
Total Current Liabilities18,963.6425,914.541,54,209.281,64,566.762,00,234.04
Total Liabilities7,83,684.908,88,771.8310,32,821.4411,71,869.0412,37,683.00
Loans (Non - Current Assets)7,32,850.768,32,903.369,69,111.1510,91,898.4011,53,254.58
Gross Block867.34963.46970.25989.371,009.79
Less: Accumulated Depreciation148.16181.16205.90229.67255.93
Net Block719.18782.30764.35759.70753.86
Capital Work in Progress53.3610.6628.0676.21128.34
Non Current Investments2,948.134,984.928,192.0010,016.9111,037.36
Long Term Investment2,948.134,984.928,192.0010,016.9111,037.36
Long Term Loans & Advances30,525.3330,263.46544.77628.06452.73
Other Non Current Assets205.17232.0843,807.7151,492.1752,889.76
Total Non-Current Assets7,67,301.938,69,187.9810,22,459.2411,54,884.4412,18,533.51
Currents Investments825.88988.482,779.352,775.574,511.50
Sundry Debtors125.63171.46191.87274.06326.57
Cash and Bank6,684.504,101.023,365.559,500.054,672.68
Other Current Assets8,598.0614,021.363,978.824,402.179,583.24
Short Term Loans and Advances129.45284.1217.5614.3220.24
Total Current Assets16,363.5219,566.4410,333.1516,966.1719,114.23
Net Current Assets (Including Current Investments)-2,600.12-6,348.10-1,43,876.13-1,47,600.59-1,81,119.81
Total Assets7,83,684.908,88,771.8310,32,821.4411,71,869.0412,37,683.00
Contingent Liabilities11,532.305,991.458,409.3710,472.619,278.30
Total Debt6,46,049.687,35,280.468,61,961.069,71,758.0310,12,503.46
271.49318.77306.50356.77402.60
Adjusted Book Value217.19255.02306.50356.77402.60

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
23,382.2226,496.0733,588.1238,632.1642,849.68
Adjustment7,795.574,976.60-2,908.58810.376,185.34
Changes In working Capital-20,932.01-1,01,090.95-1,22,134.05-1,23,879.01-46,079.36
Cash Flow after changes in Working Capital10,245.78-69,618.28-91,454.51-84,436.482,955.66
Cash Flow from Operating Activities4,904.48-74,717.23-97,820.41-92,270.02-4,504.50
Cash Flow from Investing Activities-547.39-1,693.58-3,408.99-2,212.03-3,441.05
Cash Flow from Financing Activitie-8,370.5975,536.571,01,261.3094,158.599,264.84
Net Cash Inflow / Outflow-4,013.50-874.2431.90-323.461,319.29
Opening Cash & Cash Equivalents4,927.74914.2440.0071.90-251.55
Closing Cash & Cash Equivalent914.2440.0071.90-251.561,067.74

Ratios

Valuation

4.48
0.82
4.06
1.02
78.93
433.11

Profitability

26.84
10.05
2.79
95.48
29.13

Leverage & Liquidity

7.62
0.10
1.62

Returns

5.25
0.10

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
55.9955.9955.9955.9955.9955.9955.9955.9955.99
34.9735.1735.1634.9834.7434.8333.7734.6535.01
9.048.838.849.039.269.1710.249.359.00
44.0144.0144.0144.0144.0144.0144.0144.0144.01
No. of Shareholders10,04,15210,34,39110,91,10811,26,25911,28,20310,97,21711,30,35110,54,19610,04,992

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-10AGM
2026-08-07Ex DividendRs.3.9000 per share(39%)Interim Dividend2026-08-272026-08-27
2026-07-28Board Meeting Quarterly Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

FinanceFinance Term Lending

Power 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

Parminder Chopra

Managing Director

Parminder Chopra

Company Secretary

Manish Kumar Agarwal

Face Value

₹10

CIN

L65910DL1986GOI024862

Key Management

7 members across the board and senior leadership

Manish Kumar Agarwal

Company Secretary & Compliance Officer

Shashank Misra

Government Nominee Director

Rajesh Kumar Agarwal

Whole Time Director - Finance

V Packirisamy

Whole Time Director - Commercial

Sudhir Mehta

Non Executive Independent Director

Parminder Chopra

Chairman & Managing Director

Pankaj Gupta

Non Executive Independent Director

PFC Latest News

PFC

₹353.40

-0.53%