PFC351.70

Power Finance Corporation Ltd.

· Banking & Finance
₹ CrorePeersRECLTDIREDAIRFCMUTHOOTFINBAJAJHLDNGCHOLAFINHDFCAMCTATACAPMcap ₹1.16L Cr
ProfitabilityGrowthCreditLiquidityWorking CapitalYield AnalysisDuPont
Ratios — % unless marked ×
12 Months Ending
FY24
31/03/2024
FY25
31/03/2025
FY26
31/03/2026
Last 12M
30/06/2026
Returns
Return on Common Equity14.7214.8214.9314.93
Return on Assets2.552.592.702.70
Margins
EBITDA Margin100.4796.9697.2497.40
Operating Margin100.4196.9097.1997.19
Incremental Operating Margin76.16100.59
Pretax Margin36.8736.2737.1237.17
Net Income Margin29.0528.6529.1329.14
Net Income to Common Margin21.6921.5922.4422.56
FCF Margin-107.74-87.42-4.19-4.19
Additional
Effective Tax Rate21.2221.0121.5321.60
Dvd Payout Ratio23.2426.690.01
Sustainable Growth Rate11.3010.8614.9314.93
Incremental Operating Margin %76.16100.59-1,388.92
No consensus estimates → no Est columns. Click any row to chart it.
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Data & compliance. Descriptive financial information from official NSE/BSE filings — for information and education only, not investment advice, a recommendation, or a valuation. Standalone = parent entity; consolidated includes subsidiaries. Historical multiples pair each fiscal year's filed figures with that FY-end market close; the Current column uses the last close with the latest filed annuals. Figures are cross-verified via accounting identities and NSE×BSE agreementXBRL cross-verified ✓ 95%.