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Sobha Ltd.

RealtyConstruction - Real Estate
₹1,248.10BSE2.55%

07 Sep, 4:01 PM

₹1,248.10
₹13.37K Cr
57.99
2.80
4.17%
₹1,280.80
₹1,243.05
₹1,730.90
₹1,131.10

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Price Performance

Peer Comparison

Name
DLF LIMITED

DLF

672.3037.431,66,415.211.19793.904.09%1,280.34-52.87%6.81
LODHA

LODHA

1,213.2029.321,21,225.760.351,373.10103.39%4,996.7043.10%16.89
PHOENIX MILL

PHOENIXLTD

1,920.6553.4268,697.400.13394.5122.95%1,074.9412.80%15.41
OBEROI REAL

OBEROIRLTY

1,857.7025.6967,546.390.43543.5129.02%1,300.8931.73%17.69
PRESTIGE

PRESTIGE

1,558.8558.9667,144.380.13271.40-12.87%2,675.1015.94%11.51
GODREJ PROP

GODREJPROP

1,915.0036.0557,684.870.52349.38-41.61%506.1716.48%8.37
ANANTRAJ

ANANTRAJ

641.1039.8723,071.710.16149.1918.50%631.406.58%12.23
Sobha Ltd.

SOBHA

1,248.1057.9913,374.040.4850.85273.37%1,278.1550.03%6.96

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
640.40933.591,224.091,240.62851.931,407.62943.111,987.831,278.15
Expenses584.48856.471,156.861,146.56828.121,311.97904.361,835.661,200.44
55.9177.1167.2494.0623.8295.6438.75152.1777.72
8.73%8.26%5.49%7.58%2.80%6.79%4.11%7.66%6.08%
29.4631.7032.7930.1249.4761.7139.9942.0952.02
Interest53.9249.3747.2844.9930.9832.2330.2843.9332.11
20.3623.2223.2722.9723.6626.2127.6828.4728.36
11.1036.2329.4656.2118.6598.9220.53121.7669.12
45.42%27.99%26.40%27.32%26.98%26.68%24.87%24.58%26.44%
6.0626.0921.6940.8613.6272.5315.4391.8450.85
0.642.592.153.821.276.781.448.594.75

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 Income2,561.263,310.113,096.954,038.695,190.50
Operating Income (Net)2,561.263,310.113,096.954,038.695,190.50
EXPENDITURE :
Increase/Decrease in Stock-1,237.04-684.65-634.35-1,392.22-1,287.36
Cost of Construction and Development2,008.651,957.611,616.173,091.103,556.20
Power & Fuel Cost56.3269.2071.0276.2166.89
Employee Cost251.20294.48352.63405.21504.05
Operating Expenses667.35859.18962.461,006.531,291.30
General and Administration Expenses154.49219.88250.41250.77476.37
Selling and Distribution Expenses79.96100.93126.00179.77221.79
Miscellaneous Expenses47.53123.9875.57127.0050.88
2,028.452,940.602,819.923,744.374,880.11
Operating Profit (Excl OI)532.81369.52277.02294.33310.39
83.9792.32120.94124.07193.27
616.78461.84397.96418.39503.65
Interest308.33249.02245.51195.57137.41
PBDT308.45212.81152.45222.83366.25
71.8367.8478.2289.83106.03
Profit Before Taxation & Exceptional Items236.63144.9874.23133.00260.22
236.63144.9874.23133.00259.87
Provision for Tax63.4440.7725.1138.3266.46
173.19104.2149.1194.69193.41
Extra items0.000.00
Consolidated Net Profit173.19104.2149.1194.69193.41
Profit Balance B/F964.44949.231,014.561,024.211,076.91
Appropriations1,137.631,053.431,063.671,118.901,270.32
Equity Dividend %30.00%30.00%30.00%30.00%60.00%
18.2610.995.188.8518.09
Adjusted EPS17.7810.705.048.8518.09

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)
94.8594.8594.85106.94106.94
Total Reserves2,328.072,399.832,419.234,453.574,612.99
Reserve excluding Revaluation Reserve2,328.072,399.832,419.234,453.574,612.99
2,422.912,494.672,514.074,560.514,719.93
Secured Loans364.79613.46617.04766.07407.10
Unsecured Loans99.31
Deferred Tax Assets / Liabilities-13.04-9.66-110.69-238.30-373.44
Other Long Term Liabilities20.2820.4821.34142.9771.13
Long Term Provisions17.4722.8924.5525.8436.72
Total Non-Current Liabilities389.50647.17651.56696.58141.51
Trade Payables446.97598.68616.55564.81827.56
Other Current Liabilities6,918.227,999.338,964.9810,820.1312,943.04
Short Term Borrowings1,303.86805.89735.71230.32414.99
Short Term Provisions35.7520.2887.9993.9778.28
Total Current Liabilities8,704.799,424.1710,405.2311,709.2214,263.87
Total Liabilities11,517.2112,566.0113,570.8616,966.3019,125.31
Gross Block837.84887.10999.151,127.651,311.25
Less: Accumulated Depreciation388.79440.48500.00576.61655.91
Less: Impairment of Assets5.872.950.430.40
Net Block449.05440.75496.21550.61654.94
Non Current Investments114.90114.95114.93114.62120.10
Long Term Investment114.90114.95114.93114.62120.10
Long Term Loans & Advances556.351,069.321,260.321,138.211,605.73
Other Non Current Assets32.341.1142.5534.55
Total Non-Current Assets1,555.342,085.442,328.112,300.532,863.90
Inventories7,651.588,760.989,376.4111,252.2512,826.30
Sundry Debtors350.45158.02164.53186.38276.82
Cash and Bank178.31451.40673.301,808.871,503.59
Other Current Assets261.13238.28261.27233.17295.40
Short Term Loans and Advances1,520.40871.89767.251,185.111,359.29
Total Current Assets9,961.8710,480.5711,242.7514,665.7716,261.41
Net Current Assets (Including Current Investments)1,257.081,056.40837.522,956.551,997.54
Total Assets11,517.2112,566.0113,570.8616,966.3019,125.31
Contingent Liabilities197.53375.73411.39465.69438.86
Total Debt2,503.732,003.551,913.511,130.881,002.31
255.46263.02265.07426.47441.35
Adjusted Book Value248.69256.06258.05426.47441.35

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
236.63144.9874.23133.00259.87
Adjustment320.13315.56252.41266.4675.51
Changes In working Capital321.18757.58397.97-41.79324.50
Cash Flow after changes in Working Capital877.941,218.11724.61357.67659.88
Cash Flow from Operating Activities826.461,150.21647.44199.92429.87
Cash Flow from Investing Activities38.21-236.84-474.93-1,179.94-97.07
Cash Flow from Financing Activitie-889.34-773.05-338.16992.84-285.01
Net Cash Inflow / Outflow-24.67140.32-165.6612.8347.80
Opening Cash & Cash Equivalents163.74139.06279.39113.73126.56
Closing Cash & Cash Equivalent139.07279.39113.73126.56174.36

Ratios

Valuation

57.99
2.80
22.98
2.38
21.56
446.07

Profitability

4.17
6.96
1.07
5.98
3.73

Leverage & Liquidity

0.21
1.14
2.89

Returns

0.48
0.29

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
52.2852.7752.7752.8852.8852.8852.8852.8852.88
30.0734.3634.1832.8932.7132.4532.0332.3332.11
17.6512.8713.0514.2414.4114.6815.0814.7915.00
47.7247.2347.2347.1247.1247.1247.1247.1247.12
No. of Shareholders1,04,9941,11,6761,17,1931,26,9311,25,5481,25,8131,26,2551,24,1101,22,305

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-14Board Meeting Quarterly Results
2026-06-29AGM
2026-05-04Ex DividendRs.6.0000 per share(60%)Dividend2026-07-102026-07-10

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)

No insider trading data available.

Sector Overview

RealtyConstruction - Real Estate

Sobha Ltd. operates in the Realty sector under the Construction - Real Estate 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

Construction - Real Estate

Founded

1995

Headquarters

Bengaluru, Karnataka

Group

Sobha Developers - MNC

Chairman

Ravi Pnc Menon

Managing Director

Jagadish Nangineni

Company Secretary

Bijan Kumar Dash

Face Value

₹10

CIN

L45201KA1995PLC018475

Key Management

9 members across the board and senior leadership

Bijan Kumar Dash

Company Secretary & Compliance Officer

Srivathsala KN

Non Executive Independent Director

Ravi Pnc Menon

Chairman

Raman Mangalorkar

Non Executive Independent Director

Jagadish Nangineni

Managing Director

Gopal Bhimrao Hosur

Non Executive Independent Director

Subba Rao Amarthaluru

Non Executive Independent Director

Nisanth MN

Deputy Managing Director

Gopal B Hosur

Non Executive Independent Director

SOBHA Latest News

SOBHA

₹1,248.10

-2.55%