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SRM Contractors Ltd. (IN:SRM)
:SRM
India Market
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SRM Contractors Ltd. (SRM) Financial Statements

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SRM Contractors Ltd. Financial Overview

SRM Contractors Ltd.'s market cap is currently ₹11.37B. The company's EPS TTM is ₹48.39; its P/E ratio is 9.36; SRM Contractors Ltd. is scheduled to report earnings on August 13, 2026, and the estimated EPS forecast is ₹―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue₹ 10.26B₹ 5.28B₹ 3.42B₹ 3.00B₹ 2.64B
Gross Profit₹ 3.28B₹ 1.48B₹ 817.83M₹ 818.49M₹ 780.20M
Operating Income₹ 1.52B₹ 678.84M₹ 671.03M₹ 304.96M₹ 909.79M
EBITDA₹ 1.68B₹ 953.58M₹ 423.49M₹ 386.62M₹ 316.20M
Net Income₹ 1.11B₹ 550.03M₹ 269.66M₹ 187.46M₹ 175.68M
Balance Sheet
Cash & Short-Term Investments₹ 1.84B₹ 1.12B₹ 669.42M₹ 264.98M₹ 189.32M
Total Assets₹ 9.95B₹ 4.08B₹ 2.35B₹ 1.36B₹ 1.20B
Total Debt₹ 1.35B₹ 408.87M₹ 475.84M₹ 469.60M₹ 315.24M
Net Debt₹ -493.26M₹ -520.66M₹ -117.11M₹ 272.56M₹ 231.88M
Total Liabilities₹ 5.82B₹ 1.32B₹ 1.06B₹ 726.64M₹ 758.01M
Stockholders' Equity₹ 3.71B₹ 2.76B₹ 1.29B₹ 633.73M₹ 444.10M
Cash Flow
Free Cash Flow₹ -245.98M₹ -453.32M₹ 49.76M₹ 34.45M₹ 41.92M
Operating Cash Flow₹ 1.40B₹ 10.73M₹ 142.65M₹ 213.46M₹ 97.32M
Investing Cash Flow₹ -1.47B₹ -469.30M₹ -138.88M₹ -227.59M₹ -59.40M
Financing Cash Flow₹ 979.24M₹ 795.15M₹ 1.57M₹ 54.18M₹ -29.87M
Currency in INR

SRM Contractors Ltd. Earnings and Revenue History

SRM Contractors Ltd. Debt to Assets

SRM Contractors Ltd. Cash Flow

SRM Contractors Ltd. Forecast EPS vs Actual EPS