
Srm Contractors (SRM) | Financial Analysis & Statements
Srm Contractors Ltd. | Industrials
Srm Contractors Ltd. | Industrials
TL;DR: Financial Overview - Revenue, Profits & Key Metrics
Latest Quarterly: Mar 2025Métriques de revenus
Chiffre d'affaires
2,3B
Bénéfice brut
557,6M
24,50 %
Résultat d'exploitation
284,5M
12,50 %
Bénéfice net
238,9M
10,50 %
Métriques du bilan
Total des actifs
4,1B
Total des passifs
1,3B
Capitaux propres
2,8B
Dette sur capitaux propres
0,48
Métriques de flux de trésorerie
Flux de trésorerie d'exploitation
-133,9M
Flux de trésorerie disponible
-125,7M
Tendance des revenus et de la rentabilité
Compte de résultat Srm Contractors de 2021 à 2025
Métrique | 2025 | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|---|
Chiffre d'affaires | 5,3B | 3,4B | 3,0B | 2,6B | 1,6B |
Coût des marchandises vendues | 3,8B | 2,6B | 2,2B | 1,9B | 1,1B |
Bénéfice brut | 1,5B | 827,1M | 818,5M | 780,2M | 490,8M |
Gross Margin % | 28.0% | 24.2% | 27.3% | 29.6% | 30.7% |
Charges d'exploitation | |||||
Research & Development | - | - | - | - | - |
Selling, General & Administrative | - | 41,0M | 35,5M | 10,0M | 15,0M |
Other Operating Expenses | 461,7M | 180,4M | 274,9M | 372,1M | 212,2M |
Total Operating Expenses | 461,7M | 221,3M | 310,4M | 382,1M | 227,2M |
Résultat d'exploitation | 678,8M | 329,5M | 305,0M | 240,0M | 113,9M |
Operating Margin % | 12.9% | 9.6% | 10.2% | 9.1% | 7.1% |
Non-Operating Items | |||||
Interest Income | - | 20,2M | 6,3M | 5,8M | 6,2M |
Interest Expense | 74,7M | 57,1M | 58,1M | 21,6M | 18,0M |
Other Non-Operating Income | - | - | - | - | - |
Bénéfice avant impôts | 743,4M | 346,1M | 250,5M | 232,9M | 108,3M |
Impôt sur le revenu | 193,3M | 76,4M | 63,0M | 57,3M | 25,6M |
Effective Tax Rate % | 26.0% | 22.1% | 25.2% | 24.6% | 23.6% |
Bénéfice net | 550,0M | 269,7M | 187,5M | 175,7M | 82,7M |
Net Margin % | 10.4% | 7.9% | 6.2% | 6.7% | 5.2% |
Key Metrics | |||||
EBITDA | 953,6M | 491,7M | 385,1M | 316,1M | 176,0M |
EPS (Basic) | 23,97 ₹ | 11,75 ₹ | 0,82 ₹ | 7,66 ₹ | 3,61 ₹ |
BPA (dilué) | 23,97 ₹ | 11,75 ₹ | 0,82 ₹ | 7,66 ₹ | 3,61 ₹ |
Basic Shares Outstanding | 22946516 | 22944200 | 229442000 | 22944200 | 22944200 |
Diluted Shares Outstanding | 22946516 | 22944200 | 229442000 | 22944200 | 22944200 |
Tendance du compte de résultat
Bilan Srm Contractors de 2021 à 2025
Métrique | 2025 | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|---|
Actifs | |||||
Actifs courants | |||||
Cash & Equivalents | 929,5M | 592,9M | 197,0M | 83,4M | 70,6M |
Short-term Investments | 194,3M | 76,5M | 67,9M | 22,8M | 43,3M |
Accounts Receivable | 392,6M | 313,0M | 153,8M | 162,1M | 225,4M |
Inventory | 850,7M | 274,6M | 103,7M | 84,3M | 46,6M |
Other Current Assets | 1,4M | 1,8M | 1,8M | 482,0K | 465,0K |
Total Current Assets | 3,3B | 1,9B | 947,7M | 893,8M | 808,3M |
Actifs non courants | |||||
Property, Plant & Equipment | - | - | - | - | - |
Goodwill | - | - | - | - | - |
Intangible Assets | - | - | - | - | - |
Long-term Investments | - | - | - | - | - |
Other Non-Current Assets | - | - | 1,0K | - | - |
Total Non-Current Assets | 796,1M | 444,4M | 412,7M | 308,3M | 316,4M |
Total des actifs | 4,1B | 2,3B | 1,4B | 1,2B | 1,1B |
Passifs | |||||
Passifs courants | |||||
Accounts Payable | 682,1M | 322,8M | 111,5M | 272,0M | 422,0M |
Short-term Debt | 267,9M | 218,6M | 213,9M | 138,5M | 124,0M |
Current Portion of Long-term Debt | - | - | - | - | - |
Other Current Liabilities | - | 68,3K | 68,3K | 15,0M | 18,2M |
Total Current Liabilities | 1,2B | 794,0M | 467,5M | 573,9M | 659,1M |
Passifs non courants | |||||
Long-term Debt | 141,0M | 257,3M | 255,7M | 176,7M | 195,5M |
Deferred Tax Liabilities | 4,2M | 4,8M | 3,5M | 7,4M | 1,6M |
Other Non-Current Liabilities | -24,0K | - | -2,0K | - | - |
Total Non-Current Liabilities | 145,2M | 262,1M | 259,1M | 184,2M | 197,1M |
Total des passifs | 1,3B | 1,1B | 726,6M | 758,0M | 856,2M |
Capitaux propres | |||||
Common Stock | 229,4M | 167,4M | 167,4M | 15,2M | 15,2M |
Retained Earnings | - | 735,9M | 466,3M | 428,9M | 253,2M |
Treasury Stock | - | - | - | - | - |
Other Equity | - | - | - | - | - |
Total des capitaux propres | 2,8B | 1,3B | 633,7M | 444,1M | 268,5M |
Key Metrics | |||||
Total Debt | 408,9M | 475,8M | 469,6M | 315,2M | 319,6M |
Working Capital | 2,1B | 1,1B | 480,2M | 320,0M | 149,2M |
Composition du bilan
État des flux de trésorerie Srm Contractors de 2021 à 2025
Métrique | 2025 | 2024 | 2023 | 2022 | 2021 |
---|---|---|---|---|---|
Activités d'exploitation | |||||
Bénéfice net | 743,4M | 346,1M | 250,5M | 232,9M | 108,3M |
Depreciation & Amortization | - | - | - | - | - |
Stock-Based Compensation | - | - | - | - | - |
Working Capital Changes | -1,0B | -428,9M | 116,8M | -80,7M | -130,8M |
Flux de trésorerie d'exploitation | -290,1M | -82,8M | 431,5M | 183,7M | 7,0M |
Activités d'investissement | |||||
Dépenses en capital | -464,0M | -92,9M | -179,0M | -55,4M | -109,9M |
Acquisitions | - | - | - | - | - |
Investment Purchases | -5,2M | 0 | -45,2M | - | - |
Investment Sales | - | - | - | - | - |
Flux de trésorerie d'investissement | -469,3M | -92,9M | -224,2M | -55,4M | -109,9M |
Activités de financement | |||||
Share Repurchases | - | - | - | - | - |
Dividendes versés | - | - | - | - | - |
Debt Issuance | - | 1,6M | 54,2M | - | - |
Debt Repayment | -116,3M | - | - | -18,8M | -31,7M |
Flux de trésorerie de financement | 795,1M | 1,6M | 129,6M | -4,3M | 68,5M |
Flux de trésorerie disponible | -453,3M | 49,8M | 34,4M | 41,9M | 31,9M |
Net Change in Cash | 35,7M | -174,1M | 336,9M | 123,9M | -34,4M |
Tendance des flux de trésorerie
Ratios financiers clés Srm Contractors
Ratios de valorisation
Ratio P/E (12 derniers mois)
25,89
P/E prévisionnel
22,89
Prix sur valeur comptable
4,27
Prix sur ventes
1,92
Ratio PEG
1,53
Ratios de rentabilité
Marge bénéficiaire
20,22 %
Santé financière
Ratio de liquidité
2,05
Données par action
Comparaison financière avec les pairs
Entreprise | Capitalisation boursière | Ratio P/E | Ratio P/B | RCP | Marge bénéficiaire | Dette/Capitaux propres |
---|---|---|---|---|---|---|
srm | 187,5B | 25,89 | 4,27 | 0,00 % | 20,22 % | - |
Larsen & Toubro | 4,9T | 31,78 | 4,89 | 15,78 % | 5,79 % | 114,74 |
Rail Vikas Nigam | 811,2B | 62,46 | 8,35 | 13,99 % | 6,43 % | 56,62 |
Nbcc India | 317,2B | 57,23 | 12,50 | 21,93 % | 4,49 % | 0,02 |
Kec International | 237,2B | 40,47 | 4,39 | 12,09 % | 2,61 % | 74,01 |
Kalpataru Projects | 203,3B | 33,55 | 3,12 | 9,80 % | 2,63 % | 66,68 |
Les données financières sont mises à jour régulièrement. Tous les chiffres sont dans la devise de déclaration de l'entreprise.