Shree Vasu Logistics Limited

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Key metrics

Price as of 2026-06-10

Stock price
₹740.05
Market cap
850 Cr
Stock P/E
147.1
P/B
21.32

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Share price

NSE closing price from historical market data.

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Statement tables · Consolidated

Switches quarterly, P&L, balance sheet, and cash flow. Key metrics and ratios stay on consolidated when available.

Only consolidated filings are available for this company — standalone cannot be selected.

Amounts in ₹ Cr · NSE preferred when both exchanges report the same period · tap + to expand rows

Quarterly results

Quarterly · ₹ Cr · tap + rows to expand

MetricMar 2025Jun 2025Sept 2025Dec 2025Mar 2026
Sales41 Cr50 Cr56 Cr56 Cr62 Cr
Operating expenses (approx.)30 Cr36 Cr42 Cr43 Cr43 Cr
EBITDA11 Cr14 Cr14 Cr13 Cr20 Cr
OPM %27.0%27.8%24.7%23.5%31.6%
Other income0.25 Cr1 Cr0.21 Cr0.32 Cr2 Cr
Interest3 Cr4 Cr4 Cr5 Cr5 Cr
Depreciation6 Cr7 Cr8 Cr10 Cr10 Cr
Profit before tax1 Cr2 Cr1 Cr-1 Cr5 Cr
Tax %22.9%22.5%21.3%15.3%13.0%
Net profit1 Cr2 Cr1 Cr-1 Cr4 Cr
EPS (₹)₹0.96₹1.62₹0.90₹-0.98₹3.48

Profit & loss (annual)

Annual · last column is TTM · ₹ Cr · tap + to expand

MetricMar 2025Mar 2026TTM
Sales146 Cr224 CrSign in for TTM
Operating expenses (approx.)107 Cr163 CrSign in for TTM
EBITDA39 Cr61 CrSign in for TTM
OPM %26.9%27.0%Sign in for TTM
Other income1 Cr4 CrSign in for TTM
Interest12 Cr18 CrSign in for TTM
Depreciation24 Cr36 CrSign in for TTM
Profit before tax3 Cr7 CrSign in for TTM
Tax %22.0%17.4%Sign in for TTM
Net profit2 Cr6 CrSign in for TTM
EPS (₹)₹1.90₹5.03Sign in for TTM
Dividend payout %0.0%0.0%Sign in for TTM
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Trailing twelve months totals and margin rows

Balance sheet

Annual · ₹ Cr · tap + rows to expand

MetricMar 2025Mar 2026
Equity capital11 Cr11 Cr
Reserves23 Cr28 Cr
Borrowings31 Cr32 Cr
Other liabilities116 Cr190 Cr
Total liabilities181 Cr222 Cr
Fixed assets (net)55 Cr70 Cr
CWIP2 Cr2 Cr
Investments0.0000 Cr0.0000 Cr
Other assets52 Cr69 Cr
Total assets181 Cr222 Cr

Cash flows

Annual · ₹ Cr · tap + rows to expand · last column includes FCF

MetricMar 2025Mar 2026
Cash from operating activity18 Cr32 Cr
Cash from investing-14 Cr-24 Cr
Cash from financing-4 Cr-8 Cr
Net cash flow-0.13 Cr0.40 Cr
Free cash flow (OCF − Capex)5 Cr6 Cr

Ratios

Ratios as reported or derived per annual period.

MetricMar 2025Mar 2026
ROCE %23.0%34.5%
ROE %6.4%14.5%
Debtor days
Inventory days107
Days payable
Cash conversion cycle107
Debt / equity0.910.80
Current ratio0.980.99
Net debt / EBITDA0.780.51