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SRM Contractors Ltd.
Infrastructure₹509.001.60%
24 Jul, 4:01 PM
CMP₹509.00
Mkt Cap₹1.15K Cr
P/E10.37
P/B3.10
ROE30.07%
52W High₹652.25
52W Low₹361.55
Customise metrics bar
Stock DNA
Key Ratios
P/E Ratio
10.37
P/B Ratio
3.10
EV/EBITDA
6.22
Price/Sales
1.12
Dividend Yield (%)
0.00
EPS (TTM ₹)
48.39
Book Value (₹)
161.74
ROE (%)
30.07
ROCE (%)
33.16
ROA (%)
17.12
EBITDA Margin (%)
15.42
Net Profit Margin (%)
10.41
Debt/Equity
0.15
Current Ratio
2.79
Interest Coverage
10.96
Asset Turnover
1.64
Working Capital/Sales
2.51
Core EBITDA Growth (%)
93.75
P&L
| Particulars | FY 2020-21 (Mar) | FY 2021-22 (Mar) | FY 2022-23 (Mar) | FY 2023-24 (Mar) | FY 2024-25 (Mar) |
|---|---|---|---|---|---|
| Gross Sales | 16005.89 | 26361.14 | 30029.08 | 34242.1 | 52812.93 |
| Net Sales | 16005.89 | 26361.14 | 30029.08 | 34242.1 | 52812.93 |
| Total Income | 16194.74 | 26550.88 | 30065.09 | 35001.52 | 54204.86 |
| Total Expenditure | 14350.35 | 23344.54 | 26198.91 | 30079.73 | 44669.07 |
| Operating Profit | 1844.39 | 3206.34 | 3866.18 | 4921.79 | 9535.79 |
| Depreciation | 516.82 | 616.45 | 780.8 | 892.22 | 1355.51 |
| Exceptional Items | — | — | — | — | — |
| Profit Before Tax | 1083.3 | 2329.48 | 2504.86 | 3460.99 | 7433.75 |
| Tax | 256.02 | 572.71 | 630.24 | 764.35 | 1933.48 |
| Profit After Tax (PAT) | 827.28 | 1756.77 | 1874.62 | 2696.64 | 5500.27 |
| EPS (₹) | 543.47 | 1154.1 | 90.82 | 16.1 | 23.97 |
| Dividend Payout % | — | — | — | — | — |
Balance Sheet
| Particulars | FY 2020-21 (Mar) | FY 2021-22 (Mar) | FY 2022-23 (Mar) | FY 2023-24 (Mar) | FY 2024-25 (Mar) |
|---|---|---|---|---|---|
| Share Capital | 152.22 | 152.22 | 1674.4 | 1674.42 | 2294.42 |
| Reserves | 2531.99 | 4288.76 | 4641.18 | 7359.48 | 25259.75 |
| Shareholders Funds | 2684.21 | 4440.98 | 6315.58 | 12939.69 | 27554.17 |
| Total Debt | 3195.75 | 3152.4 | 4715.82 | 4758.44 | 4088.72 |
| Total Liabilities | 11246.95 | 12021.59 | 13736.18 | 23501 | 40763.27 |
| Total Assets | 11246.95 | 12021.59 | 13736.18 | 23501 | 40763.27 |
| Book Value / Share | 1763.3754 | 2917.4747 | 37.7185 | 53.9524 | 120.0921 |
| Assets | 11246.95 | 12021.59 | 13736.18 | 23501 | 40763.27 |
Cash Flows
| Particulars | FY 2020-21 (Mar) | FY 2021-22 (Mar) | FY 2022-23 (Mar) | FY 2023-24 (Mar) | FY 2024-25 (Mar) |
|---|---|---|---|---|---|
| Operating Activities | 1418.62 | 973.23 | 1304.54 | 1426.52 | 107.3 |
| Investing Activities | -1325 | -594.02 | -1886.69 | -1388.82 | -4692.95 |
| Financing Activities | 452.57 | -298.7 | 983.4 | 3921.48 | 7951.49 |
| Net Cash Flow | 546.19 | 80.51 | 401.25 | 3959.18 | 3365.84 |
SRM
₹509.00
+1.6%