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Sheela Foam Ltd. (Industry - Household & Personal Products)

601 76.40 (14.56%)

Market Cap
₹ 6,533.52 Cr.
P/E Ratio
67.87
Current Price
₹ 601
Open
₹ 578.95
High
₹ 629.5
Prev Close
₹ 524.6
Quantity Traded
1,54,588
52 High
₹ 903.3
52 Low
₹ 505.05
Dividend Yield
0%
EBITDA Margin
10.34%
ROE
1.74%
Book Value
₹ 257.26
Face Value
₹ 5

Shareholding

Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters65.6965.6965.6965.6965.70
Mutual Funds UTI20.3921.1121.1321.1721.03
FII/Banks4.184.074.636.236.56
Others9.749.138.556.916.71

Quarterly Results

(All figures In ₹ Cr.)Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Trend 2024-25
Sales486.88503.69602.02791.21690.59696.59666.8841.64
Other Income30.5725.1628.849.0620.089.797.698.17
Operating Profit80.7672.7899.3680.3465.7476.470.3392.51
Interest20.0921.6921.5122.7928.4622.6221.7611.29
Depreciation20.3419.3121.7723.3624.2121.5132.7530.78
Taxation12.7711.6313.169.260.898.172.3311.74
Net Profit / Loss56.3332.0642.9224.9312.1824.15.6538.7

Annual Results

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Sales1,693.862,008.212,038.571,879.522,587.51
Other Income47.4370.2275.0996.8883.14
Operating Profit284.66304.06283.32306.73318.22
Interest8.687.118.1343.7594.45
Depreciation32.5332.3941.0858.4488.65
Taxation62.3167.2563.0254.1334.94
Net Profit / Loss181.15197.31171.09168.23112.09

Cash Flow

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Cash from Operating Activity178.11195.64146.59245.77227.68
Cash from Investing Activity-163.12-210.33-186.59-2,160.45-52.54
Cash from Financing Activity-8.85-6.0438.081,914.58-165.11
Net Cash Flow6.14-20.72-1.92-0.110.03

Balance Sheet

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Share Capital24.3924.3948.7854.3554.35
Reserve988.981,185.131,313.332,617.522,730.47
Borrowings--32.92139.41108.71
Other Liabilities158.63150.4207.88416.531,188.11
Total Liabilities1,312.411,531.291,634.413,618.483,416.19
Fixed Assets273.7253.37307.42500.91558.11
CWIP1.170.64103.480.2239.36
Investments919.091,190.381,206.173,287.43,376.61
Other Assets17.9543.0210.3221.0660.11
Total Assets1,312.411,531.291,634.413,618.483,416.19

Financial Ratios

Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2018-25
Total Debt Mcap-----0.010.090.12
EPS Growth13.25-1.833.839.458.92-56.64-11.75-33.37
EV_EBITA16.2114.2812.2416.8127.8334.734.4126.05
EBIT_Margin11.110.0912.7214.4412.4710.8312.728.5
PAT_Margin7.436.829.4310.379.067.658.043.95
ROA15.1412.9415.112.7911.228.785.322.54

Peer Companies

Company
Market Cap (₹Cr.)
CMP (₹)
% Change
52 Week H/L
Book Value (₹)
PE (x)
5,702.97
601
(14.56%)
903.3 / 505.05
257.26
106.76
5,56,700.43
2,371.2
(0.08%)
2,692.1 / 2,155.95
208.33
50.64
1,17,222.89
1,154.4
(0.77%)
1,297.5 / 989.45
82.5
65.73
88,764.32
502.5
(0.41%)
552.9 / 451.45
43.51
48.61
58,168.21
2,120.95
(-0.83%)
2,761 / 2,045.7
70.08
43.63
38,751.63
12,017
(0.66%)
14,615.55 / 11,763.45
379.76
44.53
28,868.71
8,702.3
(-1.77%)
11,251.95 / 7,580.95
409.7
45.57
21,080.77
482.3
(-0.13%)
646.45 / 480.35
71.79
27.58
11,168.75
429.85
(3.50%)
524.9 / 57.6
15.4
131.78
10,210.48
2,083.15
(-0.05%)
2,494.55 / 1,881.3
197.45
58.90

Broker Report

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