HomeNewsBusinessStocksSRF share price falls 2.03% in early trade

SRF share price falls 2.03% in early trade

Moneycontrol analysis indicates a very bullish sentiment for SRF as of today.

July 10, 2025 / 10:00 IST
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Disclaimer This is an AI-assisted live blog with updates from multiple sources Disclaimer

Shares of SRF declined by 2.03% to Rs 3,214 in early trade. This decline reflects a shift in investor sentiment as of 09:34 am, compared to the previous day's closing price.

Financial Snapshot

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Here is a summary of SRF's financial performance:

Heading20212022202320242025
RevenueRs 8,400.04 CroreRs 12,433.66 CroreRs 14,870.25 CroreRs 13,138.52 CroreRs 14,693.07 Crore
Net ProfitRs 1,198.25 CroreRs 1,888.92 CroreRs 2,162.34 CroreRs 1,335.71 CroreRs 1,250.78 Crore
EPS40.5763.7572.9545.0642.20
BVPS1,137.81287.97347.20385.93424.50
ROE17.4722.0520.9311.639.90
Debt to Equity0.430.410.420.430.37

The company's revenue for the year 2025 was Rs 14,693.07 Crore compared to Rs 13,138.52 Crore in 2024.

Standalone Income Statement

The following table shows the standalone income statement:

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Sales11,69710,78612,0739,9536,988
Other Income17411910613563
Total Income11,87210,90612,17910,0887,051
Total Expenditure9,8728,9529,3487,8395,630
EBIT2,0001,9532,8312,2491,421
Interest29623517594111
Tax436343632648384
Net Profit1,2681,3742,0231,507925
Quarterly Income Statement

The following table presents the quarterly income statement:

Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025
Sales2,9192,7362,7032,7613,496
Other Income3235435243
Total Income2,9522,7712,7472,8143,540
Total Expenditure2,4252,3592,3712,3632,778
EBIT527412375451761
Interest6875727672
Tax21867895176
Net Profit437249225279513
Cash Flow

The cash flow details are as follows:

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Operating Activities1,4211,6372,7881,9022,264
Investing Activities-1,789-1,279-2,328-2,074-1,313
Financing Activities356-125-2525-998
Others00000
Net Cash Flow-11232207-165-47
Balance Sheet

The balance sheet details are as follows:

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Share Capital60297297297297
Reserves & Surplus6,2357,3278,95610,21611,271
Current Liabilities2,5643,2173,4844,0423,633
Other Liabilities1,8512,0962,8122,8082,828
Total Liabilities10,71112,93815,55117,36418,030
Fixed Assets6,3317,7319,80311,18311,511
Current Assets3,6574,3355,0034,9895,158
Other Assets7228727441,1911,361
Total Assets10,71112,93815,55117,36418,030
Contingent Liabilities7699738896751,190
Key Financial Ratios (Standalone)

Key financial ratios for SRF are as follows. The basic EPS stands at Rs 42.78 as of March 2025. The book Value per share is Rs 388.94 as of March 2025. Debt to Equity is 0.28 as of March 2025.