HomeNewsBusinessStocksPrestige Estates Projects shares fall 2.38%; stock among top losers on Nifty Midcap 150
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Prestige Estates Projects shares fall 2.38%; stock among top losers on Nifty Midcap 150

Moneycontrol analysis as of September 19, 2025, indicates a bullish sentiment on the stock.

September 25, 2025 / 15:20 IST
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Shares of Prestige Estates Projects declined by 2.38% to Rs 1,535.30 in Thursday's session. The stock is among the top losers on the Nifty Midcap 150 index.

Quarterly Financial Highlights

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Prestige Estates Projects' consolidated revenue for the quarter-ending June 2025 stood at Rs 2,307.30 Crore, an increase compared to Rs 1,528.40 Crore in March 2025. The net profit for the quarter-ending June 2025 was Rs 328.00 Crore, compared to Rs 55.20 Crore in the previous quarter.

Key financial figures for recent quarters include:

HeadingJun 2024Sep 2024Dec 2024Mar 2025Jun 2025
RevenueRs 1,862.10 CroreRs 2,304.40 CroreRs 1,654.50 CroreRs 1,528.40 CroreRs 2,307.30 Crore
Net ProfitRs 319.80 CroreRs 245.70 CroreRs 39.20 CroreRs 55.20 CroreRs 328.00 Crore
EPSRs 5.80Rs 4.70Rs 0.41Rs 0.58Rs 6.79
Annual Financial Performance

The company's consolidated annual revenue for the year-ending March 2025 was Rs 7,349.40 Crore. The net profit for the same period was Rs 659.90 Crore. The revenue has decreased by 6.69 percent in 2025 compared to 2024.

Key annual financial metrics include:

Heading20212022202320242025
RevenueRs 7,264.40 CroreRs 6,389.50 CroreRs 8,315.00 CroreRs 7,877.10 CroreRs 7,349.40 Crore
Net ProfitRs 1,577.10 CroreRs 1,231.30 CroreRs 1,050.00 CroreRs 1,617.40 CroreRs 659.90 Crore
EPSRs 36.32Rs 28.69Rs 23.49Rs 34.28Rs 11.19
BVPSRs 176.98Rs 238.14Rs 255.89Rs 281.59Rs 358.09
ROE21.8112.649.4412.173.03
Debt to Equity0.540.720.811.020.69
Income Statement (Annual)

Here is a summary of the annual income statement:

Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
SalesRs 7,349 CroreRs 7,877 CroreRs 8,315 CroreRs 6,389 CroreRs 7,264 Crore
Other IncomeRs 386 CroreRs 1,548 CroreRs 457 CroreRs 210 CroreRs 237 Crore
Total IncomeRs 7,735 CroreRs 9,425 CroreRs 8,772 CroreRs 6,600 CroreRs 7,501 Crore
Total ExpenditureRs 5,602 CroreRs 6,095 CroreRs 6,567 CroreRs 4,519 CroreRs 4,415 Crore
EBITRs 2,132 CroreRs 3,330 CroreRs 2,204 CroreRs 2,081 CroreRs 3,086 Crore
InterestRs 1,333 CroreRs 1,219 CroreRs 806 CroreRs 555 CroreRs 989 Crore
TaxRs 138 CroreRs 493 CroreRs 347 CroreRs 294 CroreRs 519 Crore
Net ProfitRs 659 CroreRs 1,617 CroreRs 1,050 CroreRs 1,231 CroreRs 1,577 Crore
Income Statement (Quarterly)

Here is a summary of the quarterly income statement:

Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
SalesRs 2,307 CroreRs 1,528 CroreRs 1,654 CroreRs 2,304 CroreRs 1,862 Crore
Other IncomeRs 161 CroreRs 60 CroreRs 43 CroreRs 119 CroreRs 162 Crore
Total IncomeRs 2,468 CroreRs 1,589 CroreRs 1,697 CroreRs 2,423 CroreRs 2,024 Crore
Total ExpenditureRs 1,629 CroreRs 1,203 CroreRs 1,269 CroreRs 1,873 CroreRs 1,256 Crore
EBITRs 839 CroreRs 385 CroreRs 428 CroreRs 550 CroreRs 768 Crore
InterestRs 383 CroreRs 286 CroreRs 345 CroreRs 356 CroreRs 346 Crore
TaxRs 127 CroreRs 44 CroreRs 44 CroreRs -51 CroreRs 102 Crore
Net ProfitRs 328 CroreRs 55 CroreRs 39 CroreRs 245 CroreRs 319 Crore
Cash Flow

Here is a summary of the Cash Flow:

Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Operating ActivitiesRs 130 CroreRs 1,297 CroreRs 1,539 CroreRs 2,139 CroreRs 1,852 Crore
Investing ActivitiesRs -1,348 CroreRs -2,548 CroreRs -2,756 CroreRs -4,045 CroreRs 491 Crore
Financing ActivitiesRs 959 CroreRs 1,969 CroreRs 545 CroreRs 1,598 CroreRs -645 Crore
OthersRs 0 CroreRs 93 CroreRs 59 CroreRs 29 CroreRs -138 Crore
Net Cash FlowRs -258 CroreRs 811 CroreRs -612 CroreRs -277 CroreRs 1,560 Crore
Balance Sheet

Here is a summary of the Balance Sheet:

Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Share CapitalRs 430 CroreRs 400 CroreRs 400 CroreRs 400 CroreRs 400 Crore
Reserves & SurplusRs 14,992 CroreRs 10,887 CroreRs 9,574 CroreRs 8,693 CroreRs 6,274 Crore
Current LiabilitiesRs 35,470 CroreRs 29,698 CroreRs 21,467 CroreRs 15,878 CroreRs 16,250 Crore
Other LiabilitiesRs 7,901 CroreRs 7,531 CroreRs 5,140 CroreRs 5,471 CroreRs 3,793 Crore
Total LiabilitiesRs 58,795 CroreRs 48,518 CroreRs 36,582 CroreRs 30,444 CroreRs 26,718 Crore
Fixed AssetsRs 11,915 CroreRs 10,753 CroreRs 9,125 CroreRs 7,528 CroreRs 6,466 Crore
Current AssetsRs 44,230 CroreRs 35,341 CroreRs 23,958 CroreRs 19,571 CroreRs 17,039 Crore
Other AssetsRs 2,649 CroreRs 2,424 CroreRs 3,498 CroreRs 3,343 CroreRs 3,212 Crore
Total AssetsRs 58,795 CroreRs 48,518 CroreRs 36,582 CroreRs 30,444 CroreRs 26,718 Crore
Contingent LiabilitiesRs 2,699 CroreRs 1,049 CroreRs 2,690 CroreRs 3,379 CroreRs 7,729 Crore
Key Financial Ratios