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Sonata Software Ltd.

ITIT - Software
₹278.05BSE4.70%

16 Sep, 4:01 PM

₹278.05
₹7.72K Cr
16.68
3.87
25.97%
₹291.75
₹274.05
₹421.40
₹208.50

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Price Performance

Peer Comparison

Name
TCS LTD.

TCS

2,191.5015.927,92,903.885.0213,420.004.69%72,275.0013.93%66.25
INFOSYS LTD

INFY

1,060.6514.214,30,436.434.537,775.0012.29%48,211.0014.03%42.84
HCL TECHNO

HCLTECH

1,251.1519.493,39,520.214.324,626.0020.34%34,579.0013.94%31.20
WIPRO LTD.

WIPRO

166.7012.491,65,110.016.603,356.300.59%24,478.6010.59%18.49
TECH MAH

TECHM

1,555.1529.681,52,429.443.281,486.3031.67%15,711.9017.68%23.04
LTM

LTM

4,240.0024.051,25,767.441.771,468.6017.06%11,608.0017.96%30.25
ORACLE FIN

OFSS

11,523.0029.401,00,345.893.471,415.50120.52%3,125.2068.73%45.50
Sonata Software Ltd.

SONATSOFTW

278.0516.687,724.302.87108.11-1.12%3,279.1010.59%29.47

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
2,527.432,169.832,842.792,617.202,965.182,119.303,080.582,536.193,279.10
Expenses2,351.271,992.582,679.222,444.542,805.531,946.602,880.382,327.503,108.34
176.16177.25163.57172.66159.65172.70200.20208.69170.76
6.97%8.17%5.75%6.60%5.38%8.15%6.50%8.23%5.21%
18.8719.1821.4911.2124.2231.36-19.886.006.77
Interest20.0219.1715.9710.095.0814.2112.9919.1412.01
33.2732.9232.2723.0326.0826.2626.5425.3828.43
141.74144.34136.82150.75152.71163.59140.79170.17137.09
25.48%26.22%23.25%28.67%28.40%26.53%25.88%23.31%21.14%
105.63106.49105.01107.53109.34120.19104.36130.50108.11
3.813.843.783.873.944.333.764.713.91

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 Income5,553.377,449.128,613.0610,157.2510,701.24
Operating Income (Net)5,553.377,449.128,613.0610,157.2510,701.24
EXPENDITURE :
Stock Adjustments5.55-25.89-69.1850.7610.43
Raw Material Consumed4,017.525,481.635,888.877,031.067,820.20
Power & Fuel Cost3.164.054.784.504.73
Employee Cost737.02933.111,334.561,597.671,530.00
Cost of Software developments6.5211.7118.3124.3627.08
Operating Expenses94.69334.57550.29603.02384.03
General and Administration Expenses174.7269.8880.2894.0587.09
Selling and Marketing Expenses10.5716.1820.1314.97
Miscellaneous Expenses49.5340.2461.5451.84134.69
5,099.286,849.307,885.639,477.3910,013.22
Operating Profit (Excl OI)454.09599.82727.43679.86688.02
111.6475.13125.5580.54159.90
565.73674.95852.98760.40847.92
Interest18.0518.5485.0165.2553.55
PBDT547.68656.41767.97695.15794.37
47.3259.13131.93121.49104.26
Profit Before Taxation & Exceptional Items500.36597.28636.04573.66690.11
Exceptional Income / Expenses-174.66-62.85
500.36597.28461.38573.66627.26
Provision for Tax123.93145.38152.88148.99162.87
376.43451.90308.50424.67464.39
Extra items0.000.00
Consolidated Net Profit376.43451.90308.50424.67464.39
Profit Balance B/F723.02912.421,132.201,222.181,524.58
Appropriations1,099.451,364.321,440.701,646.851,988.97
Equity Dividend %2,100.00%1,575.00%790.00%440.00%790.00%
36.2332.5811.1215.3016.78
Adjusted EPS13.5916.2911.1215.3016.78

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)
10.3913.8727.7527.7627.68
Share Warrants & Outstandings2.659.4413.2716.1217.95
Total Reserves1,086.171,277.341,365.271,662.061,859.00
Reserve excluding Revaluation Reserve1,086.171,277.341,365.271,662.061,859.00
1,099.211,300.651,406.291,705.941,904.63
Secured Loans305.06431.01227.90284.04
Deferred Tax Assets / Liabilities-26.1370.6935.5313.74-6.00
Other Long Term Liabilities166.00517.1594.5787.53160.27
Total Non-Current Liabilities139.87892.90561.11329.17438.31
Trade Payables1,054.731,294.871,415.951,557.011,800.37
Other Current Liabilities114.56703.621,461.35902.04614.98
Short Term Borrowings38.0041.6448.80
Short Term Provisions335.21422.17510.57421.03682.46
Total Current Liabilities1,542.502,462.303,436.672,880.083,097.81
Total Liabilities2,781.584,655.855,404.074,915.195,440.75
Gross Block538.681,851.161,886.821,896.672,177.67
Less: Accumulated Depreciation111.76118.89215.82293.19354.22
Net Block426.921,732.271,671.001,603.481,823.45
Capital Work in Progress0.010.82
Non Current Investments13.8513.9612.993.483.14
Long Term Investment13.8513.9612.993.483.14
Long Term Loans & Advances127.51193.60299.09288.23300.24
Other Non Current Assets20.491.152.0316.721.94
Total Non-Current Assets588.781,941.801,985.111,937.922,203.16
Currents Investments144.76205.80232.08245.09183.08
Inventories2.9328.8298.0047.2436.81
Sundry Debtors921.951,236.221,605.081,740.931,849.36
Cash and Bank769.63730.26864.97449.43421.36
Other Current Assets66.7577.32136.1786.61110.88
Short Term Loans and Advances286.78435.63482.66407.97636.10
Total Current Assets2,192.802,714.053,418.962,977.273,237.59
Net Current Assets (Including Current Investments)650.30251.75-17.7197.19139.78
Total Assets2,781.584,655.855,404.074,915.195,440.75
Contingent Liabilities825.68870.80780.37746.991,519.14
Total Debt38.00493.58674.30441.56568.20
105.5493.0950.2060.8768.16
Adjusted Book Value39.5846.5550.2060.8768.16

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
500.36597.28461.38573.66627.26
Adjustment43.4623.18290.84131.2192.59
Changes In working Capital62.28-176.61-209.42103.01-15.88
Cash Flow after changes in Working Capital606.10443.85542.80807.88703.97
Cash Flow from Operating Activities450.18268.42280.54644.33538.02
Cash Flow from Investing Activities-83.33-855.34-54.31-435.60-217.32
Cash Flow from Financing Activitie-270.60186.75-108.50-433.30-266.46
Net Cash Inflow / Outflow96.25-400.17117.73-224.5754.24
Opening Cash & Cash Equivalents640.66733.69417.40536.02309.98
Cash & Cash Equivalent of Subsidiaries under liquidations87.59
Effect of Foreign Exchange Fluctuations-3.22-3.710.89-1.478.31
Closing Cash & Cash Equivalent733.69417.40536.02309.98372.53

Ratios

Valuation

16.68
3.87
9.38
0.70
16.52
71.15

Profitability

25.97
29.47
8.97
6.43
4.34

Leverage & Liquidity

0.30
1.05
12.71

Returns

2.87
2.07

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
28.1728.1728.1728.1728.1728.1728.1728.1728.17
33.9735.5136.5936.6135.2335.1735.0934.2833.84
37.8536.3335.2435.2236.5936.6636.7437.5538.00
71.8371.8371.8371.8371.8371.8371.8371.8371.83
No. of Shareholders1,65,8801,65,9351,65,8081,72,8012,05,8072,08,5392,02,4112,01,5192,01,974

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-06Ex DividendRs.1.2500 per share(125%)Interim Dividend2026-08-142026-08-14
2026-07-30Board Meeting Quarterly Results & Interim Dividend
2026-07-08AGM

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-08-14Sonata Software Ltd Employee Welfare TrustMarketBuy24,712
2026-08-14Sonata Software Ltd Employee Welfare TrustMarketBuy36,894

Sector Overview

ITIT - Software

Sonata Software Ltd. operates in the IT sector under the IT - Software 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

IT - Software

Founded

1994

Headquarters

Mumbai, Maharashtra

Group

Private

Chairman

Sanjay K Asher

Company Secretary

Mangal Kulkarni

Face Value

₹1

CIN

L72200MH1994PLC082110

Key Management

8 members across the board and senior leadership

Mangal Kulkarni

Company Secretary, Compliance Officer & Head Legal

Sanjay K Asher

Chairman

Sanjay Asher

Chairman

S B Ghia

Non Executive Director

Viren Raheja

Promoter & Non-Executive Director

P Srikar Reddy

Vice Chairman

Surin Shailesh Kapadia

Non Executive Independent Director

Mona Ninad Desai

Non Executive Independent Director

SONATSOFTW Latest News

SONATSOFTW

₹278.05

-4.7%