23402

544158

SRM

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SRM CONTRACTORS LIMITED Share Price Update

As of the latest trading session, SRM CONTRACTORS LIMITED is trading at ₹520.7, up by ₹13.95 or 2.75% from its previous close. The stock has moved between ₹502.55 and ₹524.45 today. Over the past year, the stock has delivered a return of 62.05%. In the last month, it has returned 32.01%.

SRM CONTRACTORS LIMITED performance

Today’s low Today’s high
₹ 502.55 ₹ 524.45
₹ 515.50
52 week low 52 week high
₹ 298.35 ₹ 649.95
₹ 515.50
Open Price ₹ 512.00
Prev. Close ₹ 506.75
Volume (Shares) 79793.00
Total traded value ₹ 411.33
Upper Circuit ₹ 608.10
Lower Circuit ₹ 405.40
info

Investment Returns

Over 1 Month 32.01% Over 3 Months 12.44% Over 6 Months -11.86% Over 1 Year 62.05%
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SRM CONTRACTORS LIMITED fundamentals


  • Market cap (Cr) 1,174.40
  • P/E Ratio (TTM) 15.54
  • Beta 0.99
  • Book Value / share 130.24
  • Return on equity 25.63%
  • EPS (TTM) 32.49
  • Dividend yield 0.00%
  • Net profit/quarter (Cr) 19.44
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  • Market cap (Cr) 1,185.30
  • P/E Ratio (TTM) 15.54
  • Beta 0.88
  • Book Value / share 130.24
  • Return on equity 25.63%
  • EPS (TTM) 32.49
  • Dividend yield 0.00%
  • Net profit/quarter (Cr) 19.44
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SRM CONTRACTORS LIMITED Financials

  • Key Results
  • Key Ratios
  • Balance sheet
  • Cash Flow
  • Competition
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Revenue
Net income
Particulars DEC 2025 (Values in Cr)
Revenue 202.95
Operating Expense 173.28
Net Profit 19.44
Net Profit Margin (%) 9.57
Earnings Per Share (EPS) 8.47
EBITDA 37.22
Effective Tax Rate (%) 35.51
Particulars SEP 2025 (Values in Cr)
Revenue 191.52
Operating Expense 168.04
Net Profit 19.44
Net Profit Margin (%) 10.15
Earnings Per Share (EPS) 8.47
EBITDA 29.66
Effective Tax Rate (%) 21.29
Particulars JUN 2025 (Values in Cr)
Revenue 143.09
Operating Expense 126.22
Net Profit 13.06
Net Profit Margin (%) 9.12
Earnings Per Share (EPS) 5.69
EBITDA 22.16
Effective Tax Rate (%) 29.25
Particulars MAR 2025 (Values in Cr)
Revenue 226.69
Operating Expense 200.50
Net Profit 22.61
Net Profit Margin (%) 9.97
Earnings Per Share (EPS) 9.85
EBITDA 37.69
Effective Tax Rate (%) 24.90
Particulars DEC 2024 (Values in Cr)
Revenue 150.44
Operating Expense 132.50
Net Profit 14.16
Net Profit Margin (%) 9.41
Earnings Per Share (EPS) 6.17
EBITDA 23.40
Effective Tax Rate (%) 24.80
Particulars MAR 2025 (Values in Cr)
Revenue 526.59
Operating Expense 466.34
Net Profit 50.16
Net Profit Margin (%) 9.52
Earnings Per Share (EPS) 21.86
EBITDA 87.92
Effective Tax Rate (%) 25.04
Particulars MAR 2024 (Values in Cr)
Revenue 342.42
Operating Expense 315.41
Net Profit 22.17
Net Profit Margin (%) 6.47
Earnings Per Share (EPS) 13.24
EBITDA 44.43
Effective Tax Rate (%) 25.62
Particulars MAR 2023 (Values in Cr)
Revenue 300.29
Operating Expense 275.60
Net Profit 19.16
Net Profit Margin (%) 6.38
Earnings Per Share (EPS) 11.45
EBITDA 39.08
Effective Tax Rate (%) 24.73
Particulars MAR 2022 (Values in Cr)
Revenue 263.61
Operating Expense 242.21
Net Profit 18.30
Net Profit Margin (%) 6.94
Earnings Per Share (EPS) 1202.70
EBITDA 31.57
Effective Tax Rate (%) 19.94
Particulars MAR 2021 (Values in Cr)
Revenue 161.13
Operating Expense 151.12
Net Profit 7.76
Net Profit Margin (%) 4.81
Earnings Per Share (EPS) 509.49
EBITDA 17.82
Effective Tax Rate (%) 24.80
Particulars MAR 2025 (Values in Cr)
Book Value / Share 120.09
ROE % 27.17
ROCE % 33.20
Total Debt to Total Equity 0.22
EBITDA Margin 18.08
Particulars MAR 2024 (Values in Cr)
Book Value / Share 53.95
ROE % 27.98
ROCE % 28.05
Total Debt to Total Equity 0.49
EBITDA Margin 14.37
Particulars MAR 2023 (Values in Cr)
Book Value / Share 37.85
ROE % 34.79
ROCE % 33.14
Total Debt to Total Equity 0.73
EBITDA Margin 12.88
Particulars MAR 2022 (Values in Cr)
Book Value / Share 2917.47
ROE % 49.32
ROCE % 38.45
Total Debt to Total Equity 0.89
EBITDA Margin 12.16
Particulars MAR 2021 (Values in Cr)
Book Value / Share 1763.38
ROE % 30.81
ROCE % 22.57
Total Debt to Total Equity 1.19
EBITDA Margin 11.52
Particulars MAR 2025 (Values in Cr)
Book Value / Share 116.07
ROE % 25.63
ROCE % 31.05
Total Debt to Total Equity 0.23
EBITDA Margin 16.72
Particulars MAR 2024 (Values in Cr)
Book Value / Share 51.34
ROE % 23.48
ROCE % 25.06
Total Debt to Total Equity 0.50
EBITDA Margin 12.98
Particulars MAR 2023 (Values in Cr)
Book Value / Share 38.10
ROE % 35.34
ROCE % 33.02
Total Debt to Total Equity 0.75
EBITDA Margin 13.01
Particulars MAR 2022 (Values in Cr)
Book Value / Share 2932.09
ROE % 51.59
ROCE % 36.54
Total Debt to Total Equity 0.96
EBITDA Margin 11.98
Particulars MAR 2021 (Values in Cr)
Book Value / Share 1729.39
ROE % 34.57
ROCE % 24.49
Total Debt to Total Equity 1.30
EBITDA Margin 11.05
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 92.95
Total Assets 407.63
Total Liabilities 407.63
Total Equity 275.54
Share Outstanding 2
Price to Book Ratio 2.80
Return on Assets (%) 13.49
Return on Capital (%) 17.38
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 59.29
Total Assets 235.00
Total Liabilities 235.00
Total Equity 129.39
Share Outstanding 1
Price to Book Ratio 0.00
Return on Assets (%) 11.47
Return on Capital (%) 15.24
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 19.70
Total Assets 136.03
Total Liabilities 136.03
Total Equity 63.37
Share Outstanding 1
Price to Book Ratio 0.00
Return on Assets (%) 13.78
Return on Capital (%) 16.99
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 16.65
Total Assets 120.21
Total Liabilities 120.21
Total Equity 44.41
Share Outstanding 0
Price to Book Ratio 0.00
Return on Assets (%) 14.61
Return on Capital (%) 23.13
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 18.15
Total Assets 121.22
Total Liabilities 121.22
Total Equity 28.25
Share Outstanding 0
Price to Book Ratio 0.00
Return on Assets (%) 6.64
Return on Capital (%) 12.91
Particulars MAR 2025 (Values in Cr)
Cash & Short Term Investments 92.95
Total Assets 394.95
Total Liabilities 394.95
Total Equity 266.32
Share Outstanding 2
Price to Book Ratio 2.80
Return on Assets (%) 12.70
Return on Capital (%) 16.33
Particulars MAR 2024 (Values in Cr)
Cash & Short Term Investments 59.29
Total Assets 230.63
Total Liabilities 230.63
Total Equity 125.02
Share Outstanding 1
Price to Book Ratio 0.00
Return on Assets (%) 9.61
Return on Capital (%) 12.85
Particulars MAR 2023 (Values in Cr)
Cash & Short Term Investments 19.70
Total Assets 136.45
Total Liabilities 136.45
Total Equity 63.78
Share Outstanding 1
Price to Book Ratio 0.00
Return on Assets (%) 14.04
Return on Capital (%) 17.3
Particulars MAR 2022 (Values in Cr)
Cash & Short Term Investments 15.69
Total Assets 119.93
Total Liabilities 119.93
Total Equity 44.63
Share Outstanding 0
Price to Book Ratio 0.00
Return on Assets (%) 15.25
Return on Capital (%) 23.27
Particulars MAR 2021 (Values in Cr)
Cash & Short Term Investments 15.32
Total Assets 112.98
Total Liabilities 112.98
Total Equity 26.32
Share Outstanding 0
Price to Book Ratio 0.00
Return on Assets (%) 6.86
Return on Capital (%) 12.83
Particulars MAR 2025 (Values in Cr)
Net Income 74.33
Cash from Operations 20.46
Cash from Investing -46.92
Cash from Financing 78.59
Net change in Cash 32.73
Free Cash Flow 66.87
Particulars MAR 2024 (Values in Cr)
Net Income 34.60
Cash from Operations 21.76
Cash from Investing -13.88
Cash from Financing 39.21
Net change in Cash 39.59
Free Cash Flow 31.05
Particulars MAR 2023 (Values in Cr)
Net Income 25.05
Cash from Operations 21.34
Cash from Investing -22.75
Cash from Financing 5.41
Net change in Cash 4.00
Free Cash Flow 39.24
Particulars MAR 2022 (Values in Cr)
Net Income 23.29
Cash from Operations 14.87
Cash from Investing -5.94
Cash from Financing -2.98
Net change in Cash 0.80
Free Cash Flow 20.41
Particulars MAR 2021 (Values in Cr)
Net Income 10.83
Cash from Operations 16.78
Cash from Investing -13.25
Cash from Financing 4.52
Net change in Cash 5.46
Free Cash Flow 27.77
Particulars MAR 2025 (Values in Cr)
Net Income 66.92
Cash from Operations 17.91
Cash from Investing -46.01
Cash from Financing 78.59
Net change in Cash 33.65
Free Cash Flow 63.40
Particulars MAR 2024 (Values in Cr)
Net Income 29.81
Cash from Operations 21.76
Cash from Investing -13.88
Cash from Financing 39.21
Net change in Cash 39.59
Free Cash Flow 31.05
Particulars MAR 2023 (Values in Cr)
Net Income 25.05
Cash from Operations 26.88
Cash from Investing -22.75
Cash from Financing 5.41
Net change in Cash 4.00
Free Cash Flow 44.78
Particulars MAR 2022 (Values in Cr)
Net Income 22.86
Cash from Operations 10.70
Cash from Investing -3.30
Cash from Financing -1.88
Net change in Cash 0.37
Free Cash Flow 16.24
Particulars MAR 2021 (Values in Cr)
Net Income 10.31
Cash from Operations 16.38
Cash from Investing -14.84
Cash from Financing 5.98
Net change in Cash 4.93
Free Cash Flow 27.37
Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
RELIANCE INFRASTRUCTURE LTD. 78.96 0.75 0.19 3226.55 64.25 425.00
Cemindia Projects Limited 814.55 23.41 5.83 13992.96 477.00 943.20
GAMMON INDIA LTD. 1.45 0.00 0.00 53.59 0.00 0.00
HINDUSTAN CONSTRUCTION CO 22.04 34.98 2.75 5773.31 13.60 31.47
Company Name Price P/E P/B Market Cap 52 Week Low 52 Week High
RELIANCE INFRASTRUCTURE LTD. 78.96 0.00 0.13 3226.55 64.25 425.00
Cemindia Projects Limited 814.55 23.57 5.84 13992.96 477.00 943.20
GAMMON INDIA LTD. 1.45 0.00 0.00 53.59 0.00 0.00
HINDUSTAN CONSTRUCTION CO 22.04 16.33 1.92 5773.31 13.60 31.47

SRM CONTRACTORS LIMITED shareholding pattern

Holding
25.86%
72.59%
0.43%
1.1%
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SRM CONTRACTORS LIMITED Technicals Summary

  • EMA & SMA
  • Resistance and Support
  • Delivery and Volume
  • Beta
  • Price Change Analysis
511.85 1.00 redarrow
red-green-graph indicator
4 Bearish
12 Bullish
  • 5 Days 515.30
  • 26 Days 480.50
  • 10 Days 511.20
  • 50 Days 463.60
  • 12 Days 507.40
  • 100 Days 466.50
  • 20 Days 490.40
  • 200 Days 462.20
517.65 PIVOT
First Support 496.30 First Resistance 530.30 Second Support 483.65 Second Resistance 551.65 Third Support 462.30 Third Resistance 564.30
RSI 59.90 ADX 63.57 MACD 26.89 Williams % R -47.00 Commodity Channel Index (CCI) 35.00
Date 2026-04-30 Week 74330.00 Same Day 46526.00 Month 94165.00
1 Year 1.00 3 Year 0.98
Over 1 Month
32.01% down
Over 1 Year
62.05% down
Over 3 Months
12.44% down
Over 3 Years
30.88% down
Over 6 Months
-11.86% down
Over 5 Years
0.00% down

SRM CONTRACTORS LIMITED Corporate Actions

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SRM CONTRACTORS LIMITED Share Price

SRM Contractors Limited was incorporated on September 4, 2008 as SRM Contractors Private Limited', issued by the Registrar of Companies, Jammu. Subsequently, Company was converted to Public Company and the name of Company changed to 'SRM Contractors Limited', pursuant to a fresh Certificate of Incorporation dated August 11, 2023 issued by the Registrar of Companies, Jammu.

SRM Contractors are an Engineering, Construction and Development (ECD) company engaged into construction of roads including bridges, tunnels, slope stabilisation works and other miscellaneous civil construction activities in the Union Territories of Jammu & Kashmir and Ladakh. The Company undertake construction works both as an EPC contractor for infrastructure projects. It undertakes sub-contracting assignments of infrastructure construction projects.

As an EPC contractor, their scope of services includes detailed engineering of the project, procurement of construction materials, plant and machinery, construction and execution of the project and its operation and maintenance in accordance with the contractual provisions. Established in 2008, the Company has gradually increased execution capabilities in terms of the size of projects that they are now bidding for and executing. At present, the Company is primarily bidding for construction of roads including bridges, tunnel works, slope stabilisation works and other miscellaneous civil construction activities in the Union Territories of Jammu & Kashmir and Ladakh.

The business of Company is segregated into the following independent business verticals comprising of Road Projects, Tunnel Projects, Slope Stabilization Works; and Other Miscellaneous Civil Construction Activities. In the year 2013-14, Company completed Widening
of Sakhi-Maidan-Kalai Road in Dist. Poonch, costing Rs. 7.74 Crores. In 2014-15, it completed a Road Project i.e. Construction of balance work of approach road from Kanthan to Dugga Village on the KatraDharam Section of USBRL Project, Dist. Reasi in J&K, by KRCL costing Rs. 17.28 Crores. It held 51% shareholding in subsidiary, Loran Valley Power Project Private Limited.

Later on in 2020-21, the Company completed Tunnel Project and ancillary work on the Katra-Dharam Section of the Udhampur-Srinagar-Baramulla New BG Railway Line Project, Jammu & Kashmir by KRCL, costing Rs. 32.26 Crores. In 2022-23, the Company completed a Tunnel Project i.e. construction of Tunnel T-15, Part Tunnel T-14 including Bridge No. 61 on Katra-Banihal Section of Udhampur-Srinagar-Baramulla New BG Railway Line Project costing Rs. 168.76 Crores and thereafter, it acquired 99% stake in SP Mangal Murti Enterprises Private Limited in 2023.

Company issued a fresh allotment of 62,00,000 equity shares of face value of Rs 10 by raising Rs 130.2 crore in March 2024.

The Company has completed Construction of road from Sangrampur to Gajansoo km 5th to km 14th by way of providing /lying of RBM filling, Construction of balance lining work of wider section of Tunnel T12 Adit lining of tunnel T6, Cut & Cover between tunnel T9 and T10 including miscellaneous works on Katra Dharam section of Udhampur-Srinagar-Baramulla new BG Railway Line Project, J&K State in FY 2025.

Parent organization Indian Private
NSE symbol SRM
Founded 2008
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Frequently Asked Questions

What is the Current Share Price of SRM Contractors Ltd?

Answer Field

SRM Contractors Ltd share price is for NSE ₹ 520.70 & for BSE ₹ 516.60 as on May 04 2026 03:29 PM.

What is the Market Cap of SRM Contractors Ltd Share?

Answer Field

The market cap of SRM Contractors Ltd for NSE ₹ 0.00 & for BSE ₹ 0.00 as on May 04 2026 03:29 PM.

What is the 52 Week High and Low of SRM Contractors Ltd?

Answer Field

The 52 Week High and Low of SRM Contractors Ltd for NSE is ₹ 649.95 and ₹ 298.35 and for BSE is ₹ 652.25 and ₹ 293.00.

What is 1 year return for SRM Contractors Ltd?

Answer Field

The 1 year returns on the stock has been 62.05%.

What is the P/E Ratio of SRM Contractors Ltd Share?

Answer Field

As on May 04 2026 03:29 PM the price-to-earnings (PE) ratio for SRM Contractors Ltd share is 15.54.

What is the PB ratio of SRM Contractors Ltd Share?

Answer Field

As on May 04 2026 03:29 PM, the price-to-book (PB) ratio for SRM Contractors Ltd share is 130.24.

How to Buy SRM Contractors Ltd Share?

Answer Field

You can trade in SRM Contractors Ltd shares with Bajaj Broking by opening a demat account.

How to Buy SRM Contractors Ltd Share on Bajaj Broking App?

Answer Field

To buy SRM Contractors Ltd shares on the Bajaj Broking app, follow these steps:

• Login to the Bajaj Broking App

• Click on the Search Icon

• Search “SRM Contractors Ltd”

• Click on the BUY icon

• Place a buy order specifying the desired quantity of shares.

• Click BUY again to complete the purchase

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