SRF Limited Financial Results Summary (Q3 FY 2024-25)

Overview

SRF Limited, a diversified chemicals and industrial materials manufacturer, announced its unaudited financial results for the quarter and nine months ended December 31, 2024. The results were reviewed by the Board of Directors on January 29, 2025.


Key Financial Highlights

Standalone Financials (Q3 FY 2024-25)

  • Revenue from Operations: ₹2,761.64 crores (up from ₹2,506.34 crores YoY)
  • Total Income: ₹2,814.42 crores
  • Net Profit After Tax: ₹279.86 crores
  • EBITDA Margin: 16.35%
  • Earnings Per Share (EPS): ₹9.44 (not annualized)
  • Net Worth: ₹11,088.75 crores
  • Debt-Equity Ratio: 0.38

Consolidated Financials (Q3 FY 2024-25)

  • Revenue from Operations: ₹3,491.31 crores (up from ₹3,053.04 crores YoY)
  • Total Income: ₹3,530.95 crores
  • Net Profit After Tax: ₹271.08 crores
  • EBITDA Margin: 13.32%
  • Earnings Per Share (EPS): ₹9.15 (not annualized)
  • Net Worth: ₹12,117.04 crores
  • Debt-Equity Ratio: 0.45

Segment-Wise Performance

1. Chemicals Business

  • Revenue: ₹1,495.65 crores (Q3 FY24) vs ₹1,394.13 crores (Q3 FY23)
  • Segment Profit: ₹363.76 crores

2. Packaging Films Business

  • Revenue: ₹1,384.75 crores (Q3 FY24) vs ₹1,090.65 crores (Q3 FY23)
  • Segment Profit: ₹90.35 crores

3. Technical Textiles Business

  • Revenue: ₹509.79 crores (Q3 FY24) vs ₹458.36 crores (Q3 FY23)
  • Segment Profit: ₹58.91 crores

4. Other Businesses

  • Revenue: ₹101.14 crores (Q3 FY24)
  • Segment Profit: ₹15.67 crores

Dividend Declaration

  • The Board approved a second interim dividend of ₹3.60 per share, amounting to ₹106.71 crores.

Key Financial Ratios

  • Operating Margin: 13.32% (Consolidated)
  • Net Profit Margin: 7.76% (Consolidated

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