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SRM Contractors Ltd Share Price

Construction - Civil / Turnkey - Medium / Small

NSE: SRM Small Cap ISIN: INE0R6Z01013
As on 31 January 2025 at 13:53 IST
As on 31 January 2025 at 13:53 IST
358
-0.35
(-0.10%)
Over 1 Month
-8.42%
Over 6 Months
32.78%
Over 1 Year
58.56%
Over 3 Years
0%

SRM Contractors Ltd Summary

Close ₹ 358
Open ₹ 352.50
High ₹ 366.55
Low ₹ 346.05
Volume 5,491
Net Turnover (in ₹ Cr) ₹ 0.34
52Wk High ₹ 430.90
52Wk Low ₹ 142.85
52Wk High / Low
142.85
430.90

SRM Contractors Ltd Fundamentals

Key Financial Data

Market Cap (in ₹Cr) ₹ 822.21
EPS (TTM) 10.61
Book Value (BV) 100.13
Div. Yield -
P/E (TTM) 33.74
Price/Book Value 3.58
Delivery % -
Face Value 10

Key Ratios

PE Ratio -
PB Ratio -
EV to Sales -
PEG Ratio -
ROA 12.84
ROE 23.48
Debt-Equity 0.50
Net Profit Margin 6.47
Operating Profit Margin 12.98

SRM Contractors Ltd Financials

Profit and Loss

Particulars (in ₹ Cr.) FY 2024FY 2023FY 2022FY 2021FY 2020
Total Revenue350.02300.65265.51205.6187.41
Total Expenses315.41275.60242.21195.3182.26
Profit Before Tax34.6125.0523.2910.295.15
Profit After Tax26.9718.7517.578.053.66
Operating Profit after Depreciation40.3030.8525.8512.637.23

Balance Sheet

Particulars (in ₹ Cr.) FY 2024FY 2023FY 2022FY 2021FY 2020
Fixed Assets39.8439.4729.3830.1524.18
Total Non Current Assets46.2341.2730.8330.0424.02
Total Current Assets188.7894.7789.3891.1860.61
TOTAL ASSETS235.01136.04120.22121.2284.63
Total Shareholder's Fund129.4063.3744.4128.2518.58

Cash Flow

Particulars (in ₹ Cr.) FY 2023FY 2022FY 2021FY 2020FY 2019
Net Cash from Operating Activities21.359.7314.19--
Net Cash used in Investing Activities-22.76-5.94-13.25--
Net Cash used in Financing Activities5.42-2.994.53--

Particulars (in ₹ Cr.) FY 2024FY 2023FY 2022FY 2021FY 2020
Total Revenue345.22301.07265.07161.4387.41
Total Expenses315.41275.60242.21151.1182.26
Profit Before Tax29.8225.4722.8610.325.15
Profit After Tax22.1719.1618.307.763.66
Operating Profit after Depreciation35.5031.2725.4112.647.23

Balance Sheet

Particulars (in ₹ Cr.) FY 2024FY 2023FY 2022FY 2021FY 2020
Fixed Assets39.8439.4729.383024.18
Total Non Current Assets46.2341.2733.1235.3927.44
Total Current Assets184.4095.1986.8277.6057.18
TOTAL ASSETS230.63136.45119.93112.9984.62
Total Shareholder's Fund125.0263.7944.6326.3218.57

Cash Flow

Particulars (in ₹ Cr.) FY 2024FY 2023FY 2022FY 2021FY 2020
Net Cash from Operating Activities-21.355.56--
Net Cash used in Investing Activities--22.76-3.30--
Net Cash used in Financing Activities-5.42-1.89--

Particulars (in ₹ Cr.) 2024-09 2024-06 2024-03 2023-12 2023-09
Total Revenue95.2554.87107.8786.70107.87
Total Expenses80.0645.0495.1578.7193.40
Profit Before Tax13.776.277.076.4116.99
Profit After Tax10.354.776.174.7712.88
Operating Profit after Depreciation18.0110.8612.599.5820.74

Particulars (in ₹ Cr.) 2024-09 2024-06 2024-03 2023-12 2023-09
Total Revenue95.2554.22107.8786.70107.87
Total Expenses80.0544.4595.1578.7193.67
Profit Before Tax11.836.167.995.2112
Profit After Tax8.904.686.863.908.24
Operating Profit after Depreciation16.0710.7513.518.3815.75

SRM Contractors Ltd Technicals

Support and Resistance

S3 S2 S1 Pivot R1 R2 R3
S1 347.28
S2 336.22
S3 329.43
Pivot 354.07
R1 365.13
R2 371.92
R3 382.98

Moving Average

20 SMA 375.40
50 SMA 363.56
100 SMA 315.89
200 SMA 264.30

SRM Contractors Ltd Corporate Actions

No available data

SRM Contractors Ltd Peer Comparison

Company Price Market Cap (in ₹ Cr)
SRM Contractors Ltd ₹358 ₹821.40
Larsen & Toubro Ltd ₹3,419.80 ₹4,70,267.17
Rail Vikas Nigam Ltd ₹437.05 ₹91,125.80
IRB Infrastructure Developers Ltd ₹53.56 ₹32,344.88
NBCC (India) Ltd ₹93.16 ₹25,153.20
K E C International Ltd ₹811.80 ₹21,610.12

SRM Contractors Ltd News

SRM Contractors to conduct board meeting

On 17 January 2025

15 Jan 2025, 10:47 am

SRM Contractors rises after securing work order from NHAI worth Rs 106 crore

SRM Contractors added 1.60% to Rs 378.50 after the company announced the receipt of a letter of acceptance (LOA) from the National Highways Authority of India (NHAI) for a road construction project valued at Rs 105.96 crore.

23 Dec 2024, 10:24 am

SRM Contractors to conduct board meeting

On 19 December 2024

16 Dec 2024, 09:27 am

SRM Contractors to conduct board meeting

On 14 November 2024

09 Nov 2024, 02:54 pm

SRM Contractors AGM scheduled

On 30 September 2024

21 Sep 2024, 10:08 am

SRM Contractors Ltd Stock Analysis

  1. Annual revenue for SRM Contractors Ltd increased by 14.67% to ₹345.22 crore in FY 2024 from ₹301.07 crore in FY 2023.
  2. Annual Net Profit for SRM Contractors Ltd increased by 15.69% to ₹22.17 crore in FY 2024 from ₹19.16 crore in FY 2023.
  3. Promoter Shareholding in SRM Contractors Ltd remains unchanged by 0.00% in the most recent quarter, from 72.92% in September 2024 to 72.92% in December 2024.
  4. SRM Contractors Ltd delivered a 1-year return of 58.56% compared to the Nifty 50, which provided a return of 8.03% as of the last trading session.
  5. SRM Contractors Ltd share price moved down by 0.10% from its previous close of INR ₹358.35. The latest SRM Contractors Ltd share price is INR ₹358.
  6. SRM Contractors Ltd share price today has been at a low of 346.05 and a high of 366.55. Over the past 52 weeks, the SRM Contractors Ltd share price has seen a low of 142.85 and a high of 430.90.

FAQ’s

What is the share price of SRM Contractors Ltd today?

SRM Contractors Ltd share price as on 31 Jan 2025 is ₹ 358

What is the Market Cap of SRM Contractors Ltd?

The market cap of SRM Contractors Ltd stock is ₹822.21 Cr.

What is the PE Ratio of SRM Contractors Ltd?

The Price to Earnings (P/E) Ratio of SRM Contractors Ltd is -

What is the PB Ratio of SRM Contractors Ltd?

The Price to Book (P/B) Ratio of SRM Contractors Ltd is -

What is the 52 week high of SRM Contractors Ltd Share Price?

The 52 week high of SRM Contractors Ltd share price stands at ₹430.90

What is the 52 week low of SRM Contractors Ltd Share Price?

The 52 week low of SRM Contractors Ltd share price stands at ₹142.85

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