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Sreeleathers Ltd. (IN:SREEL)
:SREEL
India Market
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Sreeleathers Ltd. (SREEL) Financial Statements

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Sreeleathers Ltd. Financial Overview

Sreeleathers Ltd.'s market cap is currently ₹6.79B. The company's EPS TTM is ₹14.17; its P/E ratio is 20.75; and it has a dividend yield of 0.68%. Sreeleathers Ltd. is scheduled to report earnings on August 14, 2026, and the estimated EPS forecast is ₹―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue₹ 2.48B₹ 2.20B₹ 2.18B₹ 2.00B₹ 1.22B
Gross Profit₹ 477.37M₹ 420.34M₹ 538.50M₹ 501.61M₹ 328.75M
Operating Income₹ 323.90M₹ 308.06M₹ 454.28M₹ 350.82M₹ 230.65M
EBITDA₹ 398.62M₹ 335.40M₹ 378.80M₹ 363.18M₹ 241.27M
Net Income₹ 287.43M₹ 225.71M₹ 268.45M₹ 256.16M₹ 165.33M
Balance Sheet
Cash & Short-Term Investments₹ 101.21M₹ 62.63M₹ 89.92M₹ 63.53M₹ 54.20M
Total Assets₹ 5.28B₹ 4.86B₹ 4.39B₹ 3.94B₹ 3.55B
Total Debt₹ 22.14M₹ 25.61M₹ 29.34M₹ 30.05M₹ 33.33M
Net Debt₹ -79.08M₹ -53.07M₹ -25.43M₹ -33.48M₹ -20.86M
Total Liabilities₹ 307.33M₹ 238.66M₹ 217.25M₹ 219.09M₹ 177.50M
Stockholders' Equity₹ 4.98B₹ 4.62B₹ 4.18B₹ 3.72B₹ 3.37B
Cash Flow
Free Cash Flow₹ 317.85M₹ 248.34M₹ 288.80M₹ 280.26M₹ 164.17M
Operating Cash Flow₹ 318.76M₹ 274.94M₹ 295.11M₹ 290.80M₹ 165.50M
Investing Cash Flow₹ -274.74M₹ -271.82M₹ -295.99M₹ -248.88M₹ -155.20M
Financing Cash Flow₹ -25.44M₹ -5.26M₹ -7.89M₹ -6.34M₹ -8.41M
Currency in INR

Sreeleathers Ltd. Earnings and Revenue History

Sreeleathers Ltd. Debt to Assets

Sreeleathers Ltd. Cash Flow

Sreeleathers Ltd. Forecast EPS vs Actual EPS