Power Finance Corporation shares gain 1.22% amid volume surge
Shares of Power Finance Corporation experienced a notable surge in trading activity, rising by 1.22% to Rs 434.70 in Friday's session. The stock demonstrated significant momentum, driven by high volume trading, and is included as one of the stocks in the NIFTY NEXT 50 index.Financial SnapshotHere's a look at Power Finance Corporation's recent financial performance:Consolidated Quarterly Results
The following table presents the consolidated quarterly results for key financial metrics:
HeadingMar 2024Jun 2024Sep 2024Dec 2024
Mar 2025
RevenueRs 24,141.40 CroreRs 24,716.76 CroreRs 25,721.79 CroreRs 26,798.04 Crore
Rs 29,265.03 CroreNet ProfitRs 7,556.61 CroreRs 7,182.06 CroreRs 7,214.90 CroreRs 7,759.56 Crore
Rs 8,358.14 CroreEPS17.0416.8016.0717.66
19.14
The revenue for Power Finance Corporation has increased from Rs 24,141.40 Crore in March 2024 to Rs 29,265.03 Crore in March 2025. Similarly, the net profit has increased from Rs 7,556.61 Crore to Rs 8,358.14 Crore during the same period. The EPS has also increased from 17.04 to 19.14.Consolidated Yearly Results
The following table presents the consolidated yearly results for key financial metrics:
Heading2021202220232024
2025
RevenueRs 71,655.94 CroreRs 76,261.66 CroreRs 77,568.30 CroreRs 91,096.72 Crore
Rs 106,501.62 CroreNet ProfitRs 15,709.96 CroreRs 18,790.61 CroreRs 21,178.58 CroreRs 26,461.36 Crore
Rs 30,514.66 CroreEPS44.5053.0860.1959.88
69.67BVPS309.80364.67424.16406.92
356.77ROE19.3319.5518.8819.53
19.52Debt to Equity10.869.218.938.52
8.25
The yearly revenue for Power Finance Corporation has shown consistent growth, increasing from Rs 71,655.94 Crore in 2021 to Rs 106,501.62 Crore in 2025. The net profit has also increased significantly, from Rs 15,709.96 Crore to Rs 30,514.66 Crore during the same period. The EPS has risen from 44.50 to 69.67.Consolidated Yearly Income Statement
The following table presents key details from the consolidated yearly income statement:
Mar 2025Mar 2024Mar 2023Mar 2022
Mar 2021
Sales106,50191,09677,56876,261
71,655Other Income97785683
44Total Income106,59891,17477,62576,344
71,700Total Expenditure3,296-3754,1128,231
7,132EBIT103,30291,55073,51268,113
64,568Interest64,66957,96247,01644,708
44,683Tax8,1177,1265,3174,614
4,174Net Profit30,51426,46121,17818,790
15,709
Consolidated Quarterly Income Statement
The following table presents key details from the consolidated quarterly income statement:
Mar 2025Dec 2024Sep 2024Jun 2024
Mar 2024
Sales29,26526,79825,72124,716
24,141Other Income20233219
34Total Income29,28526,82125,75424,736
24,176Total Expenditure2,146445380323
-573EBIT27,13826,37625,37424,413
24,749Interest16,58416,56016,00615,519
15,152Tax2,1962,0562,1521,711
2,040Net Profit8,3587,7597,2147,182
7,556
Consolidated Balance Sheet
The following table presents key details from the consolidated balance sheet:
Mar 2025Mar 2024Mar 2023Mar 2022
Mar 2021
Share Capital3,3003,3002,6402,640
2,640Reserves & Surplus114,43897,84681,51869,036
58,127Current Liabilities1,021,246903,132783,174227,922
196,829Other Liabilities39,10134,59728,779491,402
518,109Total Liabilities1,178,0861,038,877896,111791,000
775,707Fixed Assets848803804772
677Current Assets1,168,7131,030,521886,782781,864
767,083Other Assets8,5237,5528,5248,362
7,946Total Assets1,178,0861,038,877896,111791,000
775,707Contingent Liabilities09,8926,86712,360
5,155
Consolidated Cash Flow
The following table presents key details from the consolidated cash flow statement:
Mar 2025Mar 2024Mar 2023Mar 2022
Mar 2021
Operating Activities-92,269-97,820-74,6981,632
-59,142Investing Activities-2,312-3,408-1,693-366
1,741Financing Activities94,257101,26175,518-5,279
60,424Others0000
0Net Cash Flow-32331-874-4,013
3,022
Key Financial Ratios
The following table presents key financial ratios:
Mar 2025Mar 2024Mar 2023Mar 2022
Mar 2021
Basic EPS (Rs.)69.6759.8860.1953.08
44.50Diluted Eps (Rs.)69.6759.8860.1953.08
44.50Book Value [Excl. Reval Reserve]/Share (Rs.)356.77406.92424.16364.67
309.80Dividend/Share (Rs.)15.8013.5013.2512.00
10.00Face Value10101010
10Gross Profit Margin (%)97.04100.5594.8389.36
90.14Operating Margin (%)96.99100.4994.7789.31
90.10Net Profit Margin (%)28.6529.0427.3024.63
21.92Return on Networth / Equity (%)19.5219.5318.8819.55
19.33ROCE (%)65.8667.4465.0912.09
11.15Return On Assets (%)1.951.901.771.77
1.51Current Ratio (X)1.141.141.133.43
3.90Quick Ratio (X)1.141.141.133.43
3.90Debt to Equity (x)8.258.528.939.21
10.86Interest Coverage Ratios (X)1.601.581.561.52
1.45Asset Turnover Ratio (%)0.100.090.060.07
9.23Inventory Turnover Ratio (X)0.000.000.000.00
0.003 Yr CAGR Sales (%)27.4329.7849.6622.14
33.803 Yr CAGR Net Profit (%)18.1712.7511.6818.72
21.40P/E (x)5.956.522.021.70
2.04P/B (x)1.161.270.480.41
0.49EV/EBITDA (x)10.9911.1411.0810.39
10.88P/S (x)1.281.410.520.39
0.42
Corporate Actions
Power Finance Corporation Limited has been actively involved in several corporate actions. On June 25, 2025, the company informed the Exchange regarding the Trading Window closure pursuant to SEBI (Prohibition of Insider Trading) Regulations, 2015. Additionally, PFC Consulting Limited, a wholly-owned subsidiary of Power Finance Corporation Limited, incorporated a wholly-owned subsidiary named SASWAD TRANSMISSION LIMITED on June 16, 2025.
The company has also announced dividends. A final dividend of Rs.2.0500 per share (20.5%) was announced on May 21, 2025, with an effective date of June 13, 2025. Prior to that, several interim dividends were declared, including Rs.3.5000 per share (35%) on March 12, 2025, February 12, 2025, and November 8, 2024, and Rs.3.2500 per share (32.5%) on August 6, 2024.
Furthermore, Power Finance Corporation had a bonus issue with a ratio of 1:4, announced on August 11, 2023, with the ex-bonus date on September 21, 2023. Another bonus issue with a ratio of 1:1 was announced on July 14, 2016, with the ex-bonus date on August 26, 2016.With the stock's last traded price at Rs 434.70, Power Finance Corporation has demonstrated a positive movement, reflecting the recent surge in trading volume.