Can Fin Homes Ltd

CANFINHOME
Finance
โ‚น 779.55
Price
โ‚น 10,373
Market Cap
Mid Cap
12.10
P/E Ratio

๐Ÿ“Š Score Snapshot

9.52 / 25
Performance
24.96 / 25
Valuation
2.83 / 20
Growth
7.0 / 30
Profitability
44.31 / 100
Risky

๐Ÿข Company Overview

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๐Ÿค– CARL Insights

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๐Ÿ“ˆ Net Profit (Yearly)

๐Ÿ“Š Sales (Yearly)

๐Ÿ“‰ Quarterly Sales Trend

๐Ÿ“‰ Quarterly Net Profit

๐Ÿ“ˆ Yearly Ratios

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018
Adj Cash EPS - -199.45 -317.27 -308.13 -78.21 -153.92 -191.36 -170.96
Adj Cash PAT - -2,657 -4,223 -4,101 -1,041 -2,049 -2,549 -2,276
Adj Cash PAT To PAT - -3.54 -6.80 -8.71 -2.28 -5.45 -8.58 -7.95
Adj Cash PE - - - - - - - -
Adj EPS 64.39 56.39 46.66 35.39 34.26 28.25 22.30 21.49
Adj Number Of Shares 13.31 13.32 13.31 13.31 13.31 13.31 13.32 13.31
Adj PE 10.30 14.16 11.34 18.53 17.87 9.28 16.16 20.99
Adj Peg 0.73 0.68 0.36 5.62 0.84 0.35 4.29 0.98
Bvps 380.77 326.13 274.08 230.43 196.09 161.53 133.86 111.72
Cash Revenue - 7,046 5,484 3,976 4,036 4,060 3,454 3,036
Cash Revenue To Revenue - 1.00 1.00 1.00 1.00 1.00 1.00 1.00
Dividend Yield 1.84 0.78 0.71 0.43 0.34 0.75 0.56 0.43
Fcfe - 347.26 256.15 1,212 -625.94 -219.71 190.04 -1,425
Fcfe Margin - 4.93 4.67 30.48 -15.51 -5.41 5.50 -46.92
Fcfe To Adj PAT - 0.46 0.41 2.57 -1.37 -0.58 0.64 -4.98
Market Cap 8,829 10,636 7,042 8,729 8,147 3,490 4,801 6,005
PB 1.74 2.45 1.93 2.85 3.12 1.62 2.69 4.04
PE 10.31 14.16 11.34 18.54 17.87 9.28 16.17 20.99
Peg 0.73 0.68 0.36 5.62 0.84 0.35 4.34 0.97
PS 2.28 1.51 1.28 2.20 2.02 0.86 1.39 1.98
ROE 18.21 18.80 18.50 16.59 19.16 19.12 18.17 22.32
Share Price 663.35 798.50 529.10 655.80 612.10 262.20 360.45 451.15

๐Ÿ“Š Quarterly Results

Metric Mar 2025 Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022 Dec 2021
Sales 999.00 1,972 1,924 1,862 1,854 1,802 1,742 1,648 1,528 1,420 1,314 1,222 1,122 508.00
Interest 634.00 636.00 616.00 603.00 584.00 566.00 548.00 533.00 491.00 453.00 401.00 356.00 319.00 296.00
Expenses - 82.00 78.00 70.00 71.00 70.00 77.00 122.00 54.00 72.00 49.00 50.00 35.00 76.00 54.00
Financing Profit 282.00 272.00 277.00 258.00 273.00 258.00 201.00 236.00 201.00 208.00 206.00 220.00 166.00 158.00
Financing Margin % 28.23 13.79 14.40 13.86 14.72 14.32 11.54 14.32 13.15 14.65 15.68 18.00 14.80 31.10
Other Income - 1.07 0.03 0.21 0.05 0.81 0.69 0.01 0.13 0.52 0.17 0.07 0.37 0.31 0.21
Depreciation 4.00 3.00 3.00 3.00 4.00 3.00 3.00 3.00 4.00 3.00 3.00 2.00 2.00 3.00
Profit Before Tax 279.00 269.00 274.00 255.00 270.00 256.00 198.00 234.00 198.00 205.00 203.00 219.00 164.00 156.00
Tax % 16.13 21.19 22.99 21.57 22.59 21.88 20.20 21.79 16.16 26.34 30.05 26.03 25.00 25.64
Net Profit - 234.00 212.00 211.00 200.00 209.00 200.00 158.00 183.00 166.00 151.00 142.00 162.00 123.00 116.00
Profit For PE 234.00 212.00 211.00 200.00 209.00 200.00 158.00 183.00 166.00 151.00 142.00 162.00 123.00 116.00
Profit For EPS 234.00 212.00 211.00 200.00 209.00 200.00 158.00 183.00 166.00 151.00 142.00 162.00 123.00 116.00
EPS In Rs 17.57 15.93 15.88 14.99 15.70 15.03 11.87 13.78 12.45 11.38 10.64 12.18 9.23 8.69
PAT Margin % 23.42 10.75 10.97 10.74 11.27 11.10 9.07 11.10 10.86 10.63 10.81 13.26 10.96 22.83
PBT Margin 27.93 13.64 14.24 13.69 14.56 14.21 11.37 14.20 12.96 14.44 15.45 17.92 14.62 30.71
Tax 45.00 57.00 63.00 55.00 61.00 56.00 40.00 51.00 32.00 54.00 61.00 57.00 41.00 40.00
Yoy Profit Growth % 12.00 6.00 34.00 9.00 26.00 32.00 12.00 13.00 35.00 31.00 15.00 49.00 20.00 -12.00
Adj PAT 234.00 212.00 211.00 200.00 209.00 200.00 158.00 183.00 166.00 151.00 142.00 162.00 123.00 116.00
Adj PAT Margin 23.42 10.75 10.97 10.74 11.27 11.10 9.07 11.10 10.86 10.63 10.81 13.26 10.96 22.83

๐Ÿ’ฐ Profit & Loss

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018 Mar 2017 Mar 2016 Mar 2015 Mar 2014
Sales 3,878 7,046 5,484 3,976 4,036 4,060 3,454 3,036 2,706 2,166 1,632 1,156
Interest 2,488 2,232 1,702 1,155 1,209 1,345 1,170 981.00 884.00 744.00 611.00 423.00
Expenses - 301.00 323.00 205.00 189.00 182.00 158.00 89.00 107.00 95.00 83.00 65.00 46.00
Financing Profit 1,089 969.00 835.00 644.00 627.00 528.00 468.00 430.00 373.00 257.00 140.00 109.00
Financing Margin % 28.08 13.75 15.23 16.20 15.54 13.00 13.55 14.16 13.78 11.87 8.58 9.43
Other Income - 1.36 1.27 1.02 0.68 0.29 0.04 4.34 3.70 - 0.36 0.36 0.26
Exceptional Items - 0.06 0.11 - -0.06 -0.02 0.05 0.12 0.55 0.25 0.37 -0.23
Depreciation 13.00 13.00 12.00 10.00 10.00 9.00 3.00 3.00 4.00 3.00 4.00 2.00
Profit Before Tax 1,077 958.00 824.00 635.00 618.00 518.00 470.00 431.00 370.00 254.00 137.00 107.00
Tax % 20.43 21.61 24.64 25.83 26.21 27.41 36.81 33.64 36.49 38.19 37.23 28.97
Net Profit - 857.00 751.00 621.00 471.00 456.00 376.00 297.00 286.00 235.00 157.00 86.00 76.00
Profit For PE 857.00 751.00 621.00 471.00 456.00 376.00 297.00 286.00 235.00 157.00 86.00 76.00
Profit For EPS 857.00 751.00 621.00 471.00 456.00 376.00 297.00 286.00 235.00 157.00 86.00 76.00
EPS In Rs 64.37 56.38 46.65 35.38 34.25 28.25 22.29 21.49 17.68 11.80 6.48 5.69
Dividend Payout % 19.00 11.00 8.00 8.00 6.00 7.00 9.00 9.00 11.00 17.00 22.00 18.00
PAT Margin % 22.10 10.66 11.32 11.85 11.30 9.26 8.60 9.42 8.68 7.25 5.27 6.57
PBT Margin 27.77 13.60 15.03 15.97 15.31 12.76 13.61 14.20 13.67 11.73 8.39 9.26
Tax 220.00 207.00 203.00 164.00 162.00 142.00 173.00 145.00 135.00 97.00 51.00 31.00
Adj PAT 857.00 751.05 621.08 471.00 455.96 375.99 297.03 286.08 235.35 157.15 86.23 75.84
Adj PAT Margin 22.10 10.66 11.33 11.85 11.30 9.26 8.60 9.42 8.70 7.26 5.28 6.56

๐Ÿฆ Balance Sheet

Metric Mar 2025 Sep 2024 Mar 2024 Sep 2023 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018
Accumulated Depreciation - - 56.82 - 50.07 43.77 37.89 30.46 21.34 18.79
Advance From Customers - - - - - - - - - -
Average Total Assets 38,784 37,036 34,836 - 30,507 25,009 21,559 19,886 17,230 14,554
Average Total Equity 4,706 4,332 3,996 - 3,358 2,838 2,380 1,966 1,635 1,282
Borrowing 35,051 - 31,863 - 29,068 24,648 19,293 18,748 16,880 13,921
Cash Equivalents 308.00 458.00 457.00 322.00 308.00 324.00 22.00 392.00 420.00 19.00
Fixed Assets 50.00 44.00 53.00 45.00 45.00 35.00 38.00 38.00 10.00 10.00
Gross Block - - 109.44 - 95.47 78.39 75.71 68.36 31.19 28.36
Investments 2,374 1,968 1,459 1,459 1,459 1,126 50.00 24.00 16.00 16.00
Loans N Advances 37,696 36,108 1.00 - 1.00 24.00 19.00 25.00 21.00 14.00
Long Term Borrowings - 33,790 - 30,628 - - - 16,724 13,962 -
Net Debt -2,682 31,364 29,947 28,847 27,301 23,198 19,221 18,332 16,444 13,886
Other Asset Items 538.00 607.00 34,631 33,058 31,256 26,435 21,945 20,564 18,262 15,671
Other Borrowings - - 31,863 - 29,068 24,648 19,293 - - 13,921
Other Liability Items 843.00 693.00 390.00 292.00 347.00 224.00 167.00 141.00 64.00 313.00
Reserves 5,041 4,675 4,317 3,935 3,621 3,040 2,583 2,123 1,756 1,460
Share Capital 27.00 27.00 27.00 27.00 27.00 27.00 27.00 27.00 27.00 27.00
Short Term Borrowings - - - - - - - 2,025 2,918 -
Short Term Loans And Advances - - 1.00 - 1.00 1.00 1.00 - - -
Total Assets 40,967 39,187 36,602 34,885 33,070 27,944 22,074 21,044 18,729 15,730
Total Borrowings - 33,790 31,863 30,628 29,068 24,648 19,293 18,748 16,880 13,921
Total Equity 5,068 4,702 4,344 3,962 3,648 3,067 2,610 2,150 1,783 1,487
Total Equity And Liabilities 40,967 39,187 36,602 34,885 33,070 27,944 22,074 21,044 18,729 15,730
Total Liabilities 35,899 34,485 32,258 30,923 29,422 24,877 19,464 18,894 16,946 14,243
Trade Payables 6.00 2.00 5.00 4.00 8.00 6.00 4.00 4.00 3.00 9.00
Trade Receivables 1.00 1.00 1.00 1.00 1.00 1.00 1.00 - - -

๐Ÿ’ต Cash Flows

Metric Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020 Mar 2019 Mar 2018 Mar 2017
Cash From Financing Activity 2,738 4,370 5,299 508.00 1,826 2,739 2,019 2,363
Cash From Investing Activity -170.00 -327.00 -1,380 -28.00 -13.00 -4.00 -2.00 -7.00
Cash From Operating Activity -2,570 -4,044 -3,916 -851.00 -1,842 -2,335 -2,018 -2,356
Cash Paid For Loan Advances -3,439 -4,857 -4,534 -1,434 -2,352 -2,642 -2,442 -
Cash Paid For Purchase Of Fixed Assets -20.00 -9.00 -3.00 -2.00 -4.00 -3.00 -3.00 -4.00
Cash Paid For Purchase Of Investments - -333.00 -1,076 -25.00 -8.00 - - -140.00
Cash Paid For Redemption Of Debentures - - - - -1,826 -1,450 - -
Cash Paid For Repayment Of Borrowings -4,154 -3,506 -3,344 -5,325 -1,380 -1,321 -5,987 -2,873
Cash Received From Borrowings 7,165 7,982 8,650 5,732 5,030 5,510 6,838 5,262
Cash Received From Issue Of Shares - - - - - - - -
Cash Received From Sale Of Fixed Assets - - - - - - - -
Cash Received From Sale Of Investments - - - - - - - 140.00
Change In Other Working Capital Items 33.77 10.61 -39.43 -62.21 -73.52 -197.91 -125.79 -2,633
Change In Payables -3.22 2.50 1.23 0.09 0.77 -6.54 6.37 -
Change In Receivables 0.25 -0.01 -0.42 -0.45 -0.12 0.07 -0.21 -
Change In Working Capital -3,408 -4,844 -4,572 -1,497 -2,425 -2,846 -2,562 -2,633
Direct Taxes Paid -214.00 -174.69 -137.43 -137.00 -124.20 -149.83 -139.60 -116.16
Dividends Paid -53.00 -40.00 -47.00 -27.00 -32.00 -32.00 -32.00 -32.00
Interest Received - - - - - - - -
Net Cash Flow -1.00 -1.00 2.00 -372.00 -29.00 401.00 -1.00 -
Other Cash Financing Items Paid -220.00 -66.00 -9.00 -9.00 -9.00 - 1,199 -
Other Cash Investing Items Paid -150.00 15.00 -252.00 136.00 43.00 33.00 2.00 4.00
Profit From Operations 1,052 974.58 793.27 782.66 706.78 660.89 682.97 392.94

๐Ÿงพ Shareholding Pattern

Nse Code Date Promoters Fii Dii Public Others
Canfinhome 2025-03-31 - 12.14 24.66 33.20 0.00
Canfinhome 2024-12-31 - 11.41 28.14 30.46 0.00
Canfinhome 2024-09-30 - 11.68 27.51 30.82 0.00
Canfinhome 2024-06-30 - 11.53 27.78 30.71 0.00
๐Ÿ’ฌ
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