SRIT India Ltd

AI

SRIT India Ltd

₹
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  • Market Cap ₹ 836 Cr.
  • Current Price ₹
  • High / Low ₹ /
  • Stock P/E 27.0
  • Book Value ₹
  • Dividend Yield %
  • ROCE 39.1 %
  • ROE 39.1 %
  • Face Value ₹ 5.00

Pros

  • Company has a good return on equity (ROE) track record: 3 Years ROE 69.7%
  • Company's working capital requirements have reduced from 44.5 days to 10.5 days

Cons

  • Company has high debtors of 300 days.

* The pros and cons are machine generated. Pros / cons are based on a checklist to highlight important points. Please exercise caution and do your own analysis.

Peer comparison

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Quarterly Results

Standalone Figures in Rs. Crores / View Consolidated

Operating Profit
OPM %
Interest
Depreciation
Profit before tax
Tax %
EPS in Rs
Raw PDF

Profit & Loss

Standalone Figures in Rs. Crores / View Consolidated

Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
202 194 150 245 358
193 182 129 217 317
Operating Profit 9 11 21 28 41
OPM % 4.3% 6% 14% 11% 11%
5 7 60 5 4
Interest 2 1 2 4 4
Depreciation 0 0 0 0 1
Profit before tax 11 17 79 28 40
Tax % 26% 32% 8% 27% 25%
8 11 73 21 30
EPS in Rs
Dividend Payout % 0% 0% 0% 0% 0%
Compounded Sales Growth
10 Years: %
5 Years: %
3 Years: 23%
TTM: 46%
Compounded Profit Growth
10 Years: %
5 Years: %
3 Years: 40%
TTM: 50%
Stock Price CAGR
10 Years: %
5 Years: %
3 Years: %
1 Year: %
Return on Equity
10 Years: %
5 Years: 72%
3 Years: 70%
Last Year: 39%

Balance Sheet

Standalone Figures in Rs. Crores / View Consolidated

Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Equity Capital 14 27 27 27 20
Reserves -5 -12 27 48 63
80 70 14 23 51
176 274 290 336 346
Total Liabilities 266 359 358 433 480
53 35 1 1 12
CWIP 0 0 11 22 28
Investments 2 1 1 1 0
211 322 345 408 440
Total Assets 266 359 358 433 480

Cash Flows

Standalone Figures in Rs. Crores / View Consolidated

Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
-1 -6 12 27 4
-0 0 -10 -11 -18
0 3 0 6 5
Net Cash Flow -1 -3 1 22 -8
Free Cash Flow -1 -6 1 15 -14
CFO/OP 38% 2% 68% 123% 35%

Ratios

Standalone / View Consolidated

Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Debtor Days 302 516 694 472 300
Inventory Days
Days Payable
Cash Conversion Cycle 302 516 694 472 300
Working Capital Days 17 62 84 39 11
ROCE % 21% 106% 39% 39%

Shareholding Pattern

Numbers in percentages

Shareholding pattern is currently not available for this company.

Documents

Annual reports

No data available.