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SURANAT&P

Surana Telecom and Power share price & financials

Price
₹16.39
Market cap
₹223 Cr
Sector
Power
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Quarterly results

Q1 FY27: revenue up 0.0%, net profit up 450.0% against the same quarter last year.

₹ Cr · quarterly
Line itemQ2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Revenue3 4 5 4 9 +200%23 +475%24 +380%4 +0%
EBITDA1 2 -2 2 0 −100%0 −100%-5 −150%1 −50%
Net profit2 0 19 2 0 −100%4 15 −21%11 +450%
How to read this

₹ crore, as filed. The percentage beside a figure is the change against the same quarter a year earlier — never the quarter before, which would make every seasonal business look like it collapses and booms each year.

Performance −31.0% 1Y

₹16.0₹18.0₹20.0₹22.0₹24.0Sept 25Nov 25Dec 25Feb 26Mar 26May 26Jun 26Aug 26Sept 26

1Y: ₹23.77 on 17 Sept 2025 → ₹16.39. High ₹23.91 (19 Sept 2025), low ₹15.73 (30 Mar 2026).

Valuation and ratios

Current values use the same calculations as the financial screener. Compare FY and TTM where available. Each ratio shows its reporting period.

Return on capital employed
18.29%
TTM to Jun 2026
How it is calculated

Adjusted EBIT ÷ average capital employed, including minority equity and deposits.

13.26%
FY ending Mar 2026
How it is calculated

Adjusted EBIT ÷ average capital employed, including minority equity and deposits.

Return on equity
19.47%
TTM to Jun 2026
How it is calculated

Adjusted profit attributable to owners ÷ average owners’ equity.

14.75%
FY ending Mar 2026
How it is calculated

Adjusted profit attributable to owners ÷ average owners’ equity.

Return on assets
13.30%
TTM to Jun 2026
How it is calculated

Total profit excluding exceptional items after tax ÷ average total assets.

9.76%
FY ending Mar 2026
How it is calculated

Total profit excluding exceptional items after tax ÷ average total assets.

Operating margin (EBITDA)
-6.67%
TTM to Jun 2026
How it is calculated

Operating profit ÷ revenue.

-4.92%
FY ending Mar 2026
How it is calculated

Operating profit ÷ revenue.

Net margin
50.00%
TTM to Jun 2026
How it is calculated

Total profit excluding exceptional items after tax ÷ revenue.

36.07%
FY ending Mar 2026
How it is calculated

Total profit excluding exceptional items after tax ÷ revenue.

Free cash flow margin
-154.10%
FY ending Mar 2026
How it is calculated

(Operating cash flow − fixed-asset purchases + disposals) ÷ revenue.

Cash conversion (CFO/PAT)
-131.82%
FY ending Mar 2026
How it is calculated

Operating cash flow ÷ reported total net profit.

Capex intensity
145.90%
FY ending Mar 2026
How it is calculated

Fixed-asset purchases ÷ revenue.

Revenue growth (YoY)
275.00%
TTM to Jun 2026
How it is calculated

Revenue change against the same period one year earlier.

281.25%
FY ending Mar 2026
How it is calculated

Revenue change against the same period one year earlier.

PAT growth (YoY)
43.48%
TTM to Jun 2026
How it is calculated

Adjusted profit attributable to owners vs the same period one year earlier.

FY ending Mar 2026
How it is calculated

Adjusted profit attributable to owners vs the same period one year earlier.

EBITDA growth (YoY)
-233.33%
TTM to Jun 2026
How it is calculated

Operating profit vs the same period one year earlier.

-150.00%
FY ending Mar 2026
How it is calculated

Operating profit vs the same period one year earlier.

Debt to equity
0.37×
FY ending Mar 2026
How it is calculated

Borrowings ÷ owners’ equity.

Interest coverage
10.00×
TTM to Jun 2026
How it is calculated

Adjusted EBIT ÷ interest expense.

14.50×
FY ending Mar 2026
How it is calculated

Adjusted EBIT ÷ interest expense.

Asset turnover
0.27×
TTM to Jun 2026
How it is calculated

Revenue ÷ average total assets.

0.27×
FY ending Mar 2026
How it is calculated

Revenue ÷ average total assets.

Net debt
₹65.00 Cr
FY ending Mar 2026
How it is calculated

Borrowings less cash equivalents.

Net debt / EBITDA
1.41×
TTM to Jun 2026
How it is calculated

(Borrowings − cash equivalents) ÷ adjusted EBITDA.

1.81×
FY ending Mar 2026
How it is calculated

(Borrowings − cash equivalents) ÷ adjusted EBITDA.

Financial leverage (average assets/equity)
1.24×
FY ending Mar 2026
How it is calculated

Average total assets ÷ closing owners’ equity.

Net interest income
TTM to Jun 2026
How it is calculated

Interest earned less interest expense.

FY ending Mar 2026
How it is calculated

Interest earned less interest expense.

Deposit growth
FY ending Mar 2026
How it is calculated

Deposits vs the same period one year earlier.

Price to earnings
6.76×
TTM to Jun 2026
How it is calculated

Current market cap ÷ adjusted profit attributable to owners for the selected income period. Uses current market cap, not the share price at the period end.

8.92×
FY ending Mar 2026
How it is calculated

Current market cap ÷ adjusted profit attributable to owners for the selected income period. Uses current market cap, not the share price at the period end.

Price to book
1.23×
TTM to Jun 2026
How it is calculated

Market cap ÷ owners’ equity from the balance sheet selected for the TTM inputs. Uses current market cap, not the share price at the period end.

EV / EBITDA
6.26×
TTM to Jun 2026
How it is calculated

(Market cap + borrowings + deposits − cash equivalents) ÷ adjusted EBITDA. Uses current market cap, not the share price at the period end.

8.00×
FY ending Mar 2026
How it is calculated

(Market cap + borrowings + deposits − cash equivalents) ÷ adjusted EBITDA. Uses current market cap, not the share price at the period end.

Earnings yield
13.89%
TTM to Jun 2026
How it is calculated

Adjusted EBIT ÷ enterprise value. Uses current market cap, not the share price at the period end.

10.07%
FY ending Mar 2026
How it is calculated

Adjusted EBIT ÷ enterprise value. Uses current market cap, not the share price at the period end.

Debtor days
258.00 days
FY ending Mar 2026
How it is calculated

Reported receivable days from the annual accounts.

Inventory days
0.00 days
FY ending Mar 2026
How it is calculated

Reported inventory days, using material cost / cost of goods sold.

Days payable
FY ending Mar 2026
How it is calculated

Reported payable days, using material cost / cost of goods sold.

Cash conversion cycle
258.00 days
FY ending Mar 2026
How it is calculated

Reported debtor days plus inventory days less payable days.

Working capital days
156.00 days
FY ending Mar 2026
How it is calculated

Reported net working capital days from the annual accounts.

Dividend payout
0.00%
FY ending Mar 2026
How it is calculated

Reported dividend payout as a percentage of annual profit.

Market cap
₹223.00 Cr
Current market cap
How it is calculated

Market capitalisation from the current stock record.

A dash means inputs are missing or too old, the ratio does not apply, or the value is outside our supported range. FY uses the reported fiscal period; TTM uses the latest twelve months. Valuations use current market cap with the selected earnings period.

Screen Indian stocks using these ratios →
Annual ratio history
Period endingMar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Return on capital employed4.85% 7.22% 0.88% 3.96% 0.51% 13.26%
Return on equity2.80% 6.11% -0.83% 3.10% 0.00% 14.75%
Return on assets1.82% 4.26% -0.65% 2.63% 0.00% 9.76%
Operating margin (EBITDA)65.52% 68.97% 28.57% 48.00% 37.50% -4.92%
Net margin10.34% 24.14% -3.57% 16.00% 0.00% 36.07%
Free cash flow margin3.45% 51.72% 39.29% 64.00% -154.10%
Cash conversion (CFO/PAT)175.00% 280.00% 187.50% 17.39% -131.82%
Capex intensity58.62% 3.45% 10.71% 0.00% 43.75% 145.90%
Revenue growth (YoY)0.00% 0.00% -3.45% -10.71% -36.00% 281.25%
PAT growth (YoY)50.00% 133.33% -114.29% -100.00%
EBITDA growth (YoY)5.56% 5.26% -60.00% 50.00% -50.00% -150.00%
Debt to equity0.41× 0.21× 0.10× 0.01× 0.04× 0.37×
Interest coverage1.96× 2.93× 0.68× 5.97× 14.50×
Asset turnover0.18× 0.18× 0.18× 0.16× 0.10× 0.27×
Net debt₹42.00 Cr ₹23.00 Cr ₹10.00 Cr ₹0.00 Cr ₹1.00 Cr ₹65.00 Cr
Net debt / EBITDA2.12× 1.01× 0.88× 0.00× 0.10× 1.81×
Financial leverage (average assets/equity)1.48× 1.39× 1.25× 1.13× 1.06× 1.24×
Net interest income
Deposit growth
Debtor days93.00 days 146.00 days 87.00 days 64.00 days 68.00 days 258.00 days
Inventory days0.00 days
Days payable
Cash conversion cycle93.00 days 146.00 days 87.00 days 64.00 days 68.00 days 258.00 days
Working capital days-33.00 days 61.00 days 68.00 days 119.00 days 169.00 days 156.00 days
Dividend payout0.00% 0.00% 0.00% 0.00% 0.00% 0.00%

The same formulas applied to each reported year. Periods longer or shorter than twelve months are labelled and are not annualised. Current prices are not used for historical valuations.

Financials, as filed

Year endingFY23FY24FY25FY26
Revenue₹28 Cr₹26 Cr₹16 Cr₹60 Cr
Operating profit₹8 Cr₹12 Cr₹3 Cr₹-3 Cr
Interest₹1 Cr₹0 Cr₹0 Cr₹2 Cr
Depreciation₹10 Cr₹8 Cr₹8 Cr₹7 Cr
Net profit₹4 Cr₹9 Cr₹23 Cr₹21 Cr
Cash from operations₹14 Cr₹15 Cr₹4 Cr₹-29 Cr
Free cash flow₹16 Cr₹16 Cr₹29 Cr₹-94 Cr
How to read this

Reported financial amounts. Ratios and their reporting periods are shown above.

Balance sheet

Year endingMar 2022Mar 2023Mar 2024Mar 2025Sept 2025Mar 2026
Equity capital₹14 Cr₹14 Cr₹14 Cr₹14 Cr₹14 Cr₹14 Cr
Reserves₹104 Cr₹110 Cr₹120 Cr₹143 Cr₹148 Cr₹168 Cr
Borrowings₹25 Cr₹12 Cr₹2 Cr₹6 Cr₹7 Cr₹67 Cr
Other liabilities₹15 Cr₹16 Cr₹17 Cr₹17 Cr₹29 Cr₹23 Cr
Total liabilities₹158 Cr₹151 Cr₹153 Cr₹180 Cr₹197 Cr₹271 Cr
Fixed assets₹79 Cr₹72 Cr₹61 Cr₹48 Cr₹45 Cr₹124 Cr
Capital work in progress₹14 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr₹0 Cr
Investments₹24 Cr₹35 Cr₹37 Cr₹47 Cr₹45 Cr₹30 Cr
Other assets₹42 Cr₹45 Cr₹55 Cr₹85 Cr₹107 Cr₹117 Cr
Total assets₹158 Cr₹151 Cr₹153 Cr₹180 Cr₹197 Cr₹271 Cr
How to read this

As filed on each reporting date, including interim balance sheets. A line the company does not report — deposits for a non-lender, for instance — is left out rather than shown as a row of dashes.

Who owns it

As disclosed at Jun 2026

Since Jun 2025, promoters added +1.12 pp while the public trimmed −1.05 pp. The shareholder count shrank 9% to 66,430.

Promoters
72.0%
DIIs
0.1%
Government
0.1%
Public
27.8%

Since Jun 2025

  • Promoters +1.12 pp
  • Public −1.05 pp
  • FIIs −0.05 pp

How it drifted, 12 quarters

Over this window promoters fell from 75.0% to 72.0% — −2.9 pp.

Sep '23Dec '24Jun '26

Ownership split by quarter, oldest first. Sep '23: Promoters 75.0%, DIIs 0.1%, Government 0.1%, Public 24.9%.Dec '23: Promoters 74.4%, FIIs 0.0%, DIIs 0.0%, Government 0.1%, Public 25.4%.Mar '24: Promoters 73.0%, FIIs 0.0%, DIIs 0.0%, Government 0.1%, Public 26.8%.Jun '24: Promoters 71.1%, FIIs 0.1%, DIIs 0.0%, Government 0.1%, Public 28.7%.Sep '24: Promoters 69.6%, FIIs 0.0%, DIIs 0.0%, Government 0.1%, Public 30.2%.Dec '24: Promoters 69.6%, FIIs 0.1%, DIIs 0.0%, Government 0.1%, Public 30.2%.Mar '25: Promoters 70.2%, FIIs 0.0%, DIIs 0.0%, Government 0.1%, Public 29.7%.Jun '25: Promoters 70.9%, FIIs 0.1%, DIIs 0.1%, Government 0.1%, Public 28.9%.Sep '25: Promoters 71.2%, FIIs 0.1%, DIIs 0.1%, Government 0.1%, Public 28.6%.Dec '25: Promoters 71.5%, DIIs 0.1%, Government 0.1%, Public 28.4%.Mar '26: Promoters 71.9%, DIIs 0.1%, Government 0.1%, Public 28.0%.Jun '26: Promoters 72.0%, DIIs 0.1%, Government 0.1%, Public 27.8%.

Who was buying across the market this quarter →

Who bought this quarter

since Mar 2026

Disclosed holders that added to a position or appeared on the register for the first time, biggest addition first.

The same filing shows 0 holders trimming and 1 off the list — both are in the register beside this.

Who is on the register

Named in the Jun 2026 filing

Every holder of Surana Telecom and Power Limited above SEBI's 1% disclosure line, and what changed since Mar 2026.

HolderStakeChange
Mangilal Narender Surana 18.29%unchanged
Devendra Surana - 2 14.64%newly disclosed
Namrata Surana 7.75%unchanged
Sunita Surana 7.24%unchanged
Manish Surana 5.71%unchanged
Surana Infocom Private Limited 5.70%unchanged
Vinita Surana 2.73%unchanged
Sresha Surana 2.61%unchanged
Rahul Surana 2.50%unchanged
Investor Education And Protection Fund Authority 2.37%unchanged
Advait Surana 2.05%unchanged
Mitali Surana Saraogi 1.20%unchanged

A holder disappearing from this list has fallen below the 1% line — it is not necessarily a sale. Percentages are of total shares, as disclosed in the company's own filing. Who was buying across the market this quarter.