Business Description
Nahar Capital & Financial Services Ltd is a non-deposit non-banking financial service (NBFC) company. It is engaged in investment and financial activities. The company's segment includes Investment/Financial activity and Real estate activity. It generates maximum revenue from the Investment/Financial activity segment which consists of Long Term investment and Strategic Investments and Short Term Investment activities. The Company also makes investments in equity and debt securities, both in Primary and Secondary Market directly as well as through Mutual Funds, Portfolio Management Services, Alternative Investment Funds etc.
Contact
375, Industrial Area - A Nahar Tower, Ludhiana, PB 141003
T +91 1612600701
www.owmnahar.com opens in a new tab
Sector
Financial Services
Industry
Capital Markets
Most Recent Earnings
Dec 31, 2024
Fiscal Year End
Mar 31, 2025
Employees
20

Key Metrics

Income Statement (in Mil, except ratios)
12/31/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Revenue
254.90 223.62 239.91 258.42 189.74 130.19
Revenue Growth %
-4.73% -6.79% -7.16% 66.35% 50.43% 36.14%
Gross Profit
183.64 158.73 177.97 206.82 151.86 89.60
Gross Profit Margin %
72.04% 70.98% 74.18% 80.03% 80.03% 68.82%
Operating Income
418.75 422.43 240.74 334.99 395.97 109.03
Operating Margin %
164.28% 188.91% 100.34% 129.63% 208.68% 83.75%
EBIT
479.94 150.76 928.64 3,053.52 834.33 35.39
EBIT Margin %
188.28% 67.42% 387.07% 1,181.62% 439.71% 27.19%
EBITDA
490.53 161.12 938.97 3,063.76 842.66 42.73
EBITDA Margin %
192.44% 72.05% 391.38% 1,185.59% 444.10% 32.82%
Net Income
374.70 117.66 1,067.18 2,264.65 609.71 36.95
Net Profit Margin %
147.00% 52.62% 444.82% 876.35% 321.34% 28.38%
Basic EPS
22.38 7.03 63.73 135.23 36.41 2.21
Diluted EPS
22.38 7.03 63.73 135.23 36.41 2.21
Normalized EPS
Total Dividends per Share
1.50 1.50 1.50 3.00 0.50 1.50
Balance Sheet (in Bil, except ratios)
09/30/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Total Assets
18.10 17.00 16.81 17.33 11.55 8.69
Total Liabilities
1.75 1.58 1.52 1.74 1.12 0.78
Total Debt
0.01 0.04 0.02 0.06 0.04
Total Equity
16.35 15.42 15.28 15.59 10.43 7.91
Cash And Cash Equivalents
0.01 0.01 0.01 0.01
Working Capital
0.16 -0.80 -0.84 3.01 -0.02 0.51
Shares Outstanding (Mil)
0.02 0.02 0.02 0.02
Book Value Per Share
920.71 912.70 931.13 623.08 472.35
Total Debt To Equity
0.00 0.00 0.00 0.01 0.01
Cash Flow Statement (in Mil, except ratios)
09/30/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Cash From Operating Activities
-560.16 -106.67 -229.25 -692.11 -548.45 1,375.28
Cash From Investing Activities
598.75 123.17 255.00 748.91 564.43 -1,340.40
Cash From Financing Activities
-27.63 -26.54 -26.45 -51.15 -10.11 -35.44
Capital Expenditures
71.38 4.60 0.71 88.33
Free Cash Flow
138.93 181.49 184.39 265.18 -58.88
Change in Cash
10.96 -10.03 -0.69 5.65 5.87 -0.56

Profile

There is no Key Executive Team data available.

Ownership


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