♥
ISIN : INE216P01012
NSE : AAVAS
BSE : 541988
Face Value : 10
Industry : Finance - Housing
EPS : 61.93
EPS (TTM) : 64.02
Price to Earning (P/E) : 33.65
Book Value : 470.28
Price to Bookvalue (P/B) : 4.43
Dividend Yield : 0 %
Return on Equity (ROE) : 14.13 %
Return on Capital Employed (ROCE) : 9.96 %
Aavas Financiers Limited
ISIN : INE216P01012
NSE : AAVAS
BSE : 541988
Face Value : 10
Industry : Finance - Housing
EPS : 61.93
EPS (TTM) : 64.02
Price to Earning (P/E) : 33.65
Book Value : 470.28
Price to Bookvalue (P/B) : 4.43
Dividend Yield : 0 %
Return on Equity (ROE) : 14.13 %
Return on Capital Employed (ROCE) : 9.96 %
Aavas Financiers share price(02-Apr-2026) | |
|---|---|
| Open / Close | 0 - 0 NAN % |
| Low / High | 0 - 0 NAN % |
| Trade Volume | 0 |
| 52 Week Low / High | 0 - 0 NAN % |
| Open / Close | 1130 - 1137.6 0.7 % |
| Low / High | 1103 - 1145 3.8 % |
| Trade Volume | 8,444 |
| 52 Week Low / High | 1050.25 - 2152 104.9 % |
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CONSOLIDATED QUARTERLY RESULT FOR AAVAS FINANCIERS LIMITED
| Date End | Dec 2021 | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 3425.8 | 3650.86 | 3528.61 | 3948.51 | 4113.66 | 4496.87 | 4669.73 | 4968.37 | 5080.66 | 5460.2 |
| Total Income | 3428.66 | 3653.05 | 3529.54 | 3951.83 | 4120.72 | 4503.99 | 4670.16 | 4976.19 | 5092.56 | 5468.02 |
| Total Expenditure | 970.23 | 885.78 | 976.13 | 1096.93 | 1170.59 | 1180.52 | 1322.7 | 1290.28 | 1342.21 | 1387.82 |
| Other Income | 2.86 | 2.19 | 0.94 | 3.32 | 7.06 | 7.12 | 0.43 | 7.82 | 11.91 | 7.82 |
| Operating Profit | 2458.43 | 2767.27 | 2553.41 | 2854.9 | 2950.13 | 3323.47 | 3347.46 | 3685.91 | 3750.35 | 4080.2 |
| Interest | 1250.51 | 1236.68 | 1346.76 | 1410.18 | 1503.52 | 1650.02 | 1866.34 | 2035.98 | 2165.65 | 2215.63 |
| PBDT | 1207.92 | 1530.59 | 1206.65 | 1444.72 | 1446.61 | 1673.45 | 1481.12 | 1649.93 | 1584.7 | 1864.57 |
| Depreciation | 57.37 | 72.52 | 62.28 | 69.16 | 68.95 | 86.81 | 72.77 | 76.3 | 86.55 | 90.98 |
| Profit Before Tax | 1150.55 | 1458.07 | 1144.37 | 1375.56 | 1377.66 | 1586.64 | 1408.35 | 1573.63 | 1498.15 | 1773.59 |
| Tax | 262.96 | 303.41 | 253.88 | 309.13 | 306.43 | 318.36 | 310.08 | 357.02 | 330.92 | 348.79 |
| Profit After Tax | 887.59 | 1154.66 | 890.49 | 1066.43 | 1071.23 | 1268.28 | 1098.27 | 1216.61 | 1167.23 | 1424.8 |
| Net Profit | 887.59 | 1154.66 | 890.49 | 1066.43 | 1071.23 | 1268.28 | 1098.27 | 1216.61 | 1167.23 | 1424.8 |
| Equity Capital | 789.32 | 789.36 | 789.61 | 790.26 | 790.39 | 790.57 | 790.86 | 791.24 | 791.36 | 791.4 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 11.25 | 14.63 | 11.28 | 13.49 | 13.55 | 16.04 | 13.89 | 15.38 | 14.75 | 18 |
| Diluted Eps After Extraordinary Items | 11.19 | 14.57 | 11.24 | 13.46 | 13.52 | 16.01 | 13.87 | 15.37 | 14.73 | 17.98 |
| Diluted Eps Before Extraordinary Items | 11.19 | 14.57 | 11.24 | 13.46 | 13.52 | 16.01 | 13.87 | 15.37 | 14.73 | 17.98 |
STANDALONE QUARTERLY RESULT FOR AAVAS FINANCIERS LIMITED
| Date End | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 3650.25 | 3527.91 | 3947.52 | 4112.57 | 4495.03 | 4668.11 | 4966.61 | 5080.06 | 5460.2 | 5423.88 |
| Total Income | 3652.44 | 3528.83 | 3950.84 | 4119.63 | 4502.15 | 4668.55 | 4974.43 | 5091.96 | 5468.02 | 5425.55 |
| Total Expenditure | 882.41 | 973.08 | 1093.56 | 1167.48 | 1179.73 | 1322.66 | 1296.76 | 1342.39 | 1386.47 | 1379.25 |
| Other Income | 2.19 | 0.94 | 3.32 | 7.06 | 7.12 | 0.43 | 7.82 | 11.91 | 7.82 | 1.67 |
| Operating Profit | 2770.03 | 2555.75 | 2857.28 | 2952.15 | 3322.42 | 3345.89 | 3677.67 | 3749.57 | 4081.55 | 4046.3 |
| Interest | 1236.68 | 1346.76 | 1410.18 | 1503.52 | 1650.02 | 1866.34 | 2035.98 | 2165.65 | 2215.63 | 2351.74 |
| PBDT | 1533.35 | 1208.99 | 1447.1 | 1448.63 | 1672.4 | 1479.55 | 1641.69 | 1583.92 | 1865.92 | 1694.56 |
| Depreciation | 72.51 | 62.28 | 69.16 | 68.95 | 86.81 | 72.77 | 76.3 | 86.55 | 90.98 | 85.08 |
| Profit Before Tax | 1460.84 | 1146.71 | 1377.94 | 1379.68 | 1585.59 | 1406.78 | 1565.39 | 1497.37 | 1774.94 | 1609.48 |
| Tax | 304.11 | 254.47 | 309.73 | 306.94 | 318.1 | 309.68 | 348.17 | 330.92 | 348.79 | 348.47 |
| Profit After Tax | 1156.73 | 892.24 | 1068.21 | 1072.74 | 1267.49 | 1097.1 | 1217.22 | 1166.45 | 1426.15 | 1261.01 |
| Net Profit | 1156.73 | 892.24 | 1068.21 | 1072.74 | 1267.49 | 1097.1 | 1217.22 | 1166.45 | 1426.15 | 1261.01 |
| Equity Capital | 789.36 | 789.61 | 790.26 | 790.39 | 790.57 | 790.86 | 791.24 | 791.36 | 791.4 | 791.4 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 14.65 | 11.3 | 13.52 | 13.57 | 16.03 | 13.87 | 15.38 | 14.74 | 18.02 | 15.93 |
| Diluted Eps After Extraordinary Items | 14.59 | 11.26 | 13.49 | 13.54 | 16 | 13.86 | 15.38 | 14.72 | 18 | 15.92 |
| Diluted Eps Before Extraordinary Items | 14.59 | 11.26 | 13.49 | 13.54 | 16 | 13.86 | 15.38 | 14.72 | 18 | 15.92 |
CONSOLIDATED ANNUAL RESULT FOR AAVAS FINANCIERS LIMITED
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 13044.5 | 16087.6 | 20178.9 |
| Total Income | 13056.5 | 16106.1 | 20206.9 |
| Total Expenditure | 3516.95 | 4424.16 | 5342.99 |
| Other Income | 11.99 | 18.44 | 27.98 |
| Operating Profit | 9539.53 | 11681.9 | 14863.9 |
| Interest | 4775.03 | 5910.48 | 8283.61 |
| PBDT | 4764.5 | 5771.44 | 6580.33 |
| Depreciation | 237.6 | 287.21 | 326.6 |
| Profit Before Tax | 4526.9 | 5484.23 | 6253.73 |
| Tax | 975.09 | 1187.8 | 1346.8 |
| Profit After Tax | 3551.81 | 4296.43 | 4906.93 |
| Net Profit | 3551.81 | 4296.43 | 4906.93 |
| Equity Capital | 789.36 | 790.57 | 791.4 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Calculated EPS | 45 | 54.35 | 62 |
| Diluted Eps After Extraordinary Items | 44.81 | 54.26 | 61.93 |
| Diluted Eps Before Extraordinary Items | 44.81 | 54.26 | 61.93 |
STANDALONE ANNUAL RESULT FOR AAVAS FINANCIERS LIMITED
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 13043.6 | 16083 | 20175 |
| Total Income | 13055.6 | 16101.5 | 20203 |
| Total Expenditure | 3494.39 | 4413.82 | 5348.26 |
| Other Income | 11.99 | 18.44 | 27.98 |
| Operating Profit | 9561.19 | 11687.6 | 14854.7 |
| Interest | 4775.03 | 5910.48 | 8283.61 |
| PBDT | 4786.16 | 5777.16 | 6571.09 |
| Depreciation | 237.58 | 287.2 | 326.6 |
| Profit Before Tax | 4548.58 | 5489.96 | 6244.49 |
| Tax | 980.58 | 1189.24 | 1337.55 |
| Profit After Tax | 3568 | 4300.72 | 4906.94 |
| Net Profit | 3568 | 4300.72 | 4906.94 |
| Equity Capital | 789.36 | 790.57 | 791.4 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Calculated EPS | 45.2 | 54.4 | 62 |
| Diluted Eps After Extraordinary Items | 45.02 | 54.32 | 61.93 |
| Diluted Eps Before Extraordinary Items | 45.02 | 54.32 | 61.93 |
CONSOLIDATED PROFIT / LOSS FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Operating Income | 1103.36 Cr | 1304.45 Cr | 1608.76 Cr | 2017.9 Cr |
| Interest income | 976.58 Cr | 1128.86 Cr | 1388.65 Cr | 1735.05 Cr |
| Brokerages & commissions | 3.11 Cr | 4.77 Cr | 7.54 Cr | 26.9 Cr |
| Processing fees and other charges | 33.44 Cr | 41.46 Cr | 51.14 Cr | 59.82 Cr |
| Operating Income (Net) | 1103.36 Cr | 1304.45 Cr | 1608.76 Cr | 2017.9 Cr |
| Employee Cost | 173.05 Cr | 234.29 Cr | 301.59 Cr | 355.91 Cr |
| Salaries, Wages & Bonus | 154.49 Cr | 200.93 Cr | 265.13 Cr | 325.66 Cr |
| Contributions to EPF & Pension Funds | 8.27 Cr | 11.32 Cr | 13.57 Cr | 14.49 Cr |
| Workmen and Staff Welfare Expenses | 1.79 Cr | 4.19 Cr | 6.46 Cr | 7.15 Cr |
| Operating & Establishment Expenses | 34.42 Cr | 49.56 Cr | 63.49 Cr | 82.82 Cr |
| Software & Technical expenses | 2.4 Cr | 5.23 Cr | 7.16 Cr | 20.72 Cr |
| Commission, Brokerage & Discounts | 3.02 Cr | 4.18 Cr | 7.87 Cr | 12.79 Cr |
| Rent , Rates & Taxes | 58 Lk | 75.28 Lk | 1.36 Cr | 2.88 Cr |
| Repairs and Maintenance | 3.36 Cr | 5.31 Cr | 8.29 Cr | 4.15 Cr |
| Electricity & Power | 2.7 Cr | 2.99 Cr | 4.17 Cr | 4.69 Cr |
| Administrations & Other Expenses | 20.56 Cr | 34.47 Cr | 52.39 Cr | 61.1 Cr |
| Printing and stationery | 87.56 Lk | 1.02 Cr | 1.52 Cr | 1.82 Cr |
| Professional and legal fees | 4.39 Cr | 7.44 Cr | 10 Cr | 11.78 Cr |
| Advertisement & Sales Promotion | 1.98 Cr | 6.64 Cr | 10.85 Cr | 10.84 Cr |
| Provisions and Contingencies | 41.72 Cr | 29.06 Cr | 19.83 Cr | 32.93 Cr |
| Total Expenditure | 269.76 Cr | 347.37 Cr | 437.3 Cr | 532.75 Cr |
| Other Income | 2.16 Cr | 1.2 Cr | 1.84 Cr | 3.05 Cr |
| Profit on sale of Fixed Assets | 9.1 Lk | 1.68 Lk | 28.37 Lk | 30.8 Lk |
| Operating Profit | 835.76 Cr | 958.28 Cr | 1173.31 Cr | 1488.2 Cr |
| Interest | 462.6 Cr | 481.83 Cr | 596.16 Cr | 830.16 Cr |
| Loans | 448.76 Cr | 468.67 Cr | 582.46 Cr | 675.18 Cr |
| Bonds / Debentures | 0 | 0 | 0 | 130.85 Cr |
| Depreciation | 20.61 Cr | 23.76 Cr | 28.72 Cr | 32.66 Cr |
| Profit Before Taxation & Exceptional Items | 352.55 Cr | 452.69 Cr | 548.42 Cr | 625.37 Cr |
| Profit Before Tax | 352.55 Cr | 452.69 Cr | 548.42 Cr | 625.37 Cr |
| Provision for Tax | 63.63 Cr | 97.51 Cr | 118.78 Cr | 134.68 Cr |
| Current Income Tax | 67.01 Cr | 91.23 Cr | 104.1 Cr | 123.68 Cr |
| Deferred Tax | -3.38 Cr | 6.28 Cr | 14.68 Cr | 10.99 Cr |
| Profit After Tax | 288.92 Cr | 355.18 Cr | 429.64 Cr | 490.69 Cr |
| Consolidated Net Profit | 288.92 Cr | 355.18 Cr | 429.64 Cr | 490.69 Cr |
| Profit Balance B/F | 547.19 Cr | 778.88 Cr | 1084.68 Cr | 1438.29 Cr |
| Appropriations | 836.11 Cr | 1134.06 Cr | 1514.32 Cr | 1928.99 Cr |
| Earnings Per Share | 36.8 | 45 | 54.35 | 62 |
| Adjusted EPS | 36.8 | 45 | 54.35 | 62 |
STANDALONE PROFIT / LOSS FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Operating Income | 1103.17 Cr | 1304.36 Cr | 1608.3 Cr | 2017.5 Cr |
| Interest income | 976.39 Cr | 1128.77 Cr | 1388.18 Cr | 1734.65 Cr |
| Brokerages & commissions | 3.11 Cr | 4.77 Cr | 7.54 Cr | 26.9 Cr |
| Processing fees and other charges | 33.44 Cr | 41.46 Cr | 51.14 Cr | 59.82 Cr |
| Operating Income (Net) | 1103.17 Cr | 1304.36 Cr | 1608.3 Cr | 2017.5 Cr |
| Employee Cost | 172.14 Cr | 232.24 Cr | 300.59 Cr | 355.91 Cr |
| Salaries, Wages & Bonus | 153.58 Cr | 198.88 Cr | 264.14 Cr | 325.66 Cr |
| Contributions to EPF & Pension Funds | 8.26 Cr | 11.32 Cr | 13.57 Cr | 14.49 Cr |
| Workmen and Staff Welfare Expenses | 1.79 Cr | 4.19 Cr | 6.46 Cr | 7.15 Cr |
| Operating & Establishment Expenses | 34.42 Cr | 49.56 Cr | 63.49 Cr | 82.82 Cr |
| Software & Technical expenses | 2.4 Cr | 5.23 Cr | 7.16 Cr | 20.72 Cr |
| Commission, Brokerage & Discounts | 3.02 Cr | 4.18 Cr | 7.87 Cr | 12.79 Cr |
| Rent , Rates & Taxes | 58 Lk | 75.28 Lk | 1.36 Cr | 2.88 Cr |
| Repairs and Maintenance | 3.36 Cr | 5.31 Cr | 8.29 Cr | 4.15 Cr |
| Electricity & Power | 2.7 Cr | 2.99 Cr | 4.17 Cr | 4.69 Cr |
| Administrations & Other Expenses | 20.52 Cr | 34.27 Cr | 52.35 Cr | 60.77 Cr |
| Printing and stationery | 87.56 Lk | 1.02 Cr | 1.52 Cr | 1.82 Cr |
| Professional and legal fees | 4.37 Cr | 7.28 Cr | 9.99 Cr | 11.47 Cr |
| Advertisement & Sales Promotion | 1.98 Cr | 6.64 Cr | 10.85 Cr | 10.84 Cr |
| Provisions and Contingencies | 41.72 Cr | 29.06 Cr | 19.83 Cr | 33.52 Cr |
| Total Expenditure | 268.8 Cr | 345.12 Cr | 436.27 Cr | 533.02 Cr |
| Other Income | 2.16 Cr | 1.2 Cr | 1.84 Cr | 2.8 Cr |
| Profit on sale of Fixed Assets | 9.1 Lk | 1.68 Lk | 28.37 Lk | 30.8 Lk |
| Operating Profit | 836.53 Cr | 960.44 Cr | 1173.88 Cr | 1487.27 Cr |
| Interest | 462.6 Cr | 481.83 Cr | 596.16 Cr | 830.16 Cr |
| Loans | 448.76 Cr | 468.67 Cr | 582.46 Cr | 675.18 Cr |
| Bonds / Debentures | 0 | 0 | 0 | 130.85 Cr |
| Depreciation | 20.6 Cr | 23.76 Cr | 28.72 Cr | 32.66 Cr |
| Profit Before Taxation & Exceptional Items | 353.33 Cr | 454.86 Cr | 549 Cr | 624.45 Cr |
| Profit Before Tax | 353.33 Cr | 454.86 Cr | 549 Cr | 624.45 Cr |
| Provision for Tax | 63.83 Cr | 98.06 Cr | 118.92 Cr | 133.76 Cr |
| Current Income Tax | 67.01 Cr | 91.23 Cr | 104.1 Cr | 123.68 Cr |
| Deferred Tax | -3.18 Cr | 6.83 Cr | 14.82 Cr | 10.07 Cr |
| Profit After Tax | 289.5 Cr | 356.8 Cr | 430.07 Cr | 490.69 Cr |
| Consolidated Net Profit | 289.5 Cr | 356.8 Cr | 430.07 Cr | 490.69 Cr |
| Profit Balance B/F | 547.2 Cr | 779.47 Cr | 1086.89 Cr | 1438.29 Cr |
| Appropriations | 836.7 Cr | 1136.27 Cr | 1516.96 Cr | 1928.99 Cr |
| Earnings Per Share | 36.88 | 45.2 | 54.4 | 62 |
| Adjusted EPS | 36.88 | 45.2 | 54.4 | 62 |
CONSOLIDATED CASH FLOW FOR AAVAS FINANCIERS LIMITED
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 352.55 Cr | 452.69 Cr | 548.42 Cr | 625.37 Cr |
| Adjustment | 49.99 Cr | 23.76 Cr | 20.33 Cr | 4.51 Cr |
| Changes In working Capital | -1419.51 Cr | -1536.74 Cr | -2390.29 Cr | -2485.92 Cr |
| Cash Flow after changes in Working Capital | -1016.97 Cr | -1060.29 Cr | -1821.53 Cr | -1856.03 Cr |
| Cash Flow from Operating Activities | -1071.17 Cr | -1135.11 Cr | -1914.5 Cr | -1986.59 Cr |
| Cash Flow from Investing Activities | -264.92 Cr | -462.61 Cr | 186.08 Cr | -646.8 Cr |
| Cash Flow from Financing Activitie | 1007.59 Cr | 1623.43 Cr | 1858.26 Cr | 2477.28 Cr |
| Net Cash Inflow / Outflow | -328.5 Cr | 25.71 Cr | 129.84 Cr | -156.11 Cr |
| Opening Cash & Cash Equivalents | 350.59 Cr | 22.1 Cr | 47.81 Cr | 177.65 Cr |
| Cash & Cash Equivalent of Subsidiaries under liquidations | 0 | 0 | 0 | -97.89 Lk |
| Closing Cash & Cash Equivalent | 22.1 Cr | 47.81 Cr | 177.65 Cr | 20.56 Cr |
STANDALONE CASH FLOW FOR AAVAS FINANCIERS LIMITED
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 353.33 Cr | 454.86 Cr | 549 Cr | 624.45 Cr |
| Adjustment | 49.98 Cr | 23.76 Cr | 20.33 Cr | 5.43 Cr |
| Changes In working Capital | -1419.82 Cr | -1539.71 Cr | -2386.6 Cr | -2485.92 Cr |
| Cash Flow after changes in Working Capital | -1016.51 Cr | -1061.1 Cr | -1817.27 Cr | -1856.03 Cr |
| Cash Flow from Operating Activities | -1070.7 Cr | -1135.91 Cr | -1910.2 Cr | -1986.59 Cr |
| Cash Flow from Investing Activities | -265.22 Cr | -467.11 Cr | 186.31 Cr | -646.8 Cr |
| Cash Flow from Financing Activitie | 1007.59 Cr | 1623.43 Cr | 1858.26 Cr | 2477.28 Cr |
| Net Cash Inflow / Outflow | -328.33 Cr | 20.42 Cr | 134.36 Cr | -156.11 Cr |
| Opening Cash & Cash Equivalents | 350.22 Cr | 21.89 Cr | 42.31 Cr | 176.67 Cr |
| Closing Cash & Cash Equivalent | 21.89 Cr | 42.31 Cr | 176.67 Cr | 20.56 Cr |
CONSOLIDATED BALANCE SHEET FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Equity - Authorised | 85 Cr | 85 Cr | 85 Cr | 85 Cr |
| Equity - Issued | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Equity Paid Up | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 2304.22 Cr | 2696.36 Cr | 3146.4 Cr | 3642.63 Cr |
| Securities Premium | 1334.03 Cr | 1348.87 Cr | 1359.63 Cr | 1363.07 Cr |
| Profit & Loss Account Balance | 778.88 Cr | 1084.68 Cr | 1438.29 Cr | 1832.92 Cr |
| Reserve excluding Revaluation Reserve | 2304.22 Cr | 2696.36 Cr | 3146.4 Cr | 3642.63 Cr |
| Shareholder's Funds | 2400.81 Cr | 2806.43 Cr | 3269.66 Cr | 3773.32 Cr |
| Secured Loans | 4184.41 Cr | 5136.26 Cr | 6644.25 Cr | 8312.23 Cr |
| Non Convertible Debentures | 1365.43 Cr | 1252.46 Cr | 1016.91 Cr | 945.32 Cr |
| Term Loans - Banks | 2737.2 Cr | 3814.8 Cr | 5571.05 Cr | 7273.28 Cr |
| Term Loans - Institutions | 81.17 Cr | 68.69 Cr | 56.21 Cr | 93.63 Cr |
| Unsecured Loans | 198.97 Cr | 556.83 Cr | 507.53 Cr | 458.19 Cr |
| Deferred Tax Assets / Liabilities | 28.29 Cr | 34.58 Cr | 49.25 Cr | 60.25 Cr |
| Deferred Tax Assets | 24 Cr | 29.24 Cr | 24.95 Cr | 26.51 Cr |
| Deferred Tax Liability | 52.29 Cr | 63.82 Cr | 74.2 Cr | 86.76 Cr |
| Other Long Term Liabilities | 24.19 Cr | 29.07 Cr | 35.81 Cr | 54.49 Cr |
| Long Term Provisions | 3.72 Cr | 4.07 Cr | 6.6 Cr | 8.4 Cr |
| Total Non-Current Liabilities | 4439.59 Cr | 5760.81 Cr | 7243.44 Cr | 8893.56 Cr |
| Trade Payables | 2.85 Cr | 3.7 Cr | 8.61 Cr | 30.94 Cr |
| Sundry Creditors | 2.85 Cr | 3.7 Cr | 8.61 Cr | 30.94 Cr |
| Other Current Liabilities | 153.96 Cr | 167.13 Cr | 198.98 Cr | 255.56 Cr |
| Interest Accrued But Not Due | 16.15 Cr | 16.7 Cr | 11.92 Cr | 13.61 Cr |
| Short Term Borrowings | 1962.04 Cr | 2279.41 Cr | 2688.91 Cr | 3566.07 Cr |
| Secured ST Loans repayable on Demands | 1962.04 Cr | 2279.41 Cr | 2688.91 Cr | 3566.07 Cr |
| Working Capital Loans- Sec | 1,000 | 0 | 27.42 Cr | 133.42 Cr |
| Total Current Liabilities | 2118.86 Cr | 2450.24 Cr | 2896.51 Cr | 3852.58 Cr |
| Total Liabilities | 8959.26 Cr | 11017.5 Cr | 13409.6 Cr | 16519.5 Cr |
| Loans (Non - Current Assets) | 7523.29 Cr | 9053.42 Cr | 11476.3 Cr | 14004.4 Cr |
| Gross Block | 117.93 Cr | 148.41 Cr | 187.89 Cr | 254.04 Cr |
| Less: Accumulated Depreciation | 59.67 Cr | 82.25 Cr | 109.52 Cr | 138.04 Cr |
| Net Block | 58.26 Cr | 66.16 Cr | 78.37 Cr | 116 Cr |
| Non Current Investments | 0 | 52.52 Cr | 110.72 Cr | 182.16 Cr |
| Long Term Investment | 0 | 52.52 Cr | 110.72 Cr | 182.16 Cr |
| Quoted | 0 | 52.52 Cr | 110.72 Cr | 182.16 Cr |
| Long Term Loans & Advances | 3.2 Cr | 3.79 Cr | 4.91 Cr | 5.29 Cr |
| Other Non Current Assets | 92,000 | 0 | 0 | 0 |
| Total Non-Current Assets | 7585.16 Cr | 9178 Cr | 11690.6 Cr | 14319 Cr |
| Sundry Debtors | 0 | 0 | 0 | 12.22 Cr |
| Debtors Others | 0 | 0 | 0 | 12.22 Cr |
| Cash and Bank | 1125.17 Cr | 1545.73 Cr | 1392.83 Cr | 1797.82 Cr |
| Cash in hand | 1.24 Cr | 2.65 Cr | 2.92 Cr | 3.37 Cr |
| Balances at Bank | 1123.93 Cr | 1543.08 Cr | 1389.92 Cr | 1794.45 Cr |
| Other Current Assets | 53.54 Cr | 47.73 Cr | 25.67 Cr | 39.49 Cr |
| Interest accrued on Investments | 16.56 Cr | 19.35 Cr | 17.84 Cr | 26.99 Cr |
| Prepaid Expenses | 2.89 Cr | 3.61 Cr | 4.96 Cr | 11.37 Cr |
| Short Term Loans and Advances | 195.38 Cr | 246.02 Cr | 287.97 Cr | 349 Cr |
| Advances recoverable in cash or in kind | 3.08 Cr | 4.37 Cr | 4.8 Cr | 5.09 Cr |
| Advance income tax and TDS | 92.06 Lk | 5.69 Cr | 3.05 Cr | 11.76 Cr |
| Total Current Assets | 1374.09 Cr | 1839.48 Cr | 1706.47 Cr | 2198.53 Cr |
| Net Current Assets (Including Current Investments) | -744.76 Cr | -610.76 Cr | -1190.04 Cr | -1654.05 Cr |
| Total Assets | 8959.26 Cr | 11017.5 Cr | 13409.6 Cr | 16519.5 Cr |
| Total Debt | 6345.42 Cr | 7972.5 Cr | 9840.69 Cr | 12336.5 Cr |
| Book Value | 303.51 | 351.59 | 407.99 | 470.28 |
| Adjusted Book Value | 303.51 | 351.59 | 407.99 | 470.28 |
STANDALONE BALANCE SHEET FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Equity - Authorised | 85 Cr | 85 Cr | 85 Cr | 85 Cr |
| Equity - Issued | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Equity Paid Up | 78.5 Cr | 78.94 Cr | 79.06 Cr | 79.14 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 2304.82 Cr | 2698.58 Cr | 3146.4 Cr | 3642.63 Cr |
| Securities Premium | 1334.03 Cr | 1348.87 Cr | 1359.63 Cr | 1363.07 Cr |
| Profit & Loss Account Balance | 779.47 Cr | 1086.89 Cr | 1438.29 Cr | 1832.92 Cr |
| Reserve excluding Revaluation Reserve | 2304.82 Cr | 2698.58 Cr | 3146.4 Cr | 3642.63 Cr |
| Shareholder's Funds | 2401.4 Cr | 2808.64 Cr | 3269.66 Cr | 3773.32 Cr |
| Secured Loans | 4184.41 Cr | 5136.26 Cr | 6644.25 Cr | 8312.23 Cr |
| Non Convertible Debentures | 1365.43 Cr | 1252.46 Cr | 1016.91 Cr | 945.32 Cr |
| Term Loans - Banks | 2737.2 Cr | 3814.8 Cr | 5571.05 Cr | 7273.28 Cr |
| Term Loans - Institutions | 81.17 Cr | 68.69 Cr | 56.21 Cr | 93.63 Cr |
| Unsecured Loans | 198.97 Cr | 556.83 Cr | 507.53 Cr | 458.19 Cr |
| Deferred Tax Assets / Liabilities | 28.52 Cr | 35.36 Cr | 50.18 Cr | 60.25 Cr |
| Deferred Tax Assets | 23.77 Cr | 28.46 Cr | 24.02 Cr | 26.51 Cr |
| Deferred Tax Liability | 52.29 Cr | 63.82 Cr | 74.2 Cr | 86.76 Cr |
| Other Long Term Liabilities | 24.19 Cr | 29.07 Cr | 35.81 Cr | 54.49 Cr |
| Long Term Provisions | 3.72 Cr | 4.02 Cr | 6.6 Cr | 8.4 Cr |
| Total Non-Current Liabilities | 4439.82 Cr | 5761.54 Cr | 7244.37 Cr | 8893.56 Cr |
| Trade Payables | 2.84 Cr | 3.68 Cr | 8.6 Cr | 30.94 Cr |
| Sundry Creditors | 2.84 Cr | 3.68 Cr | 8.6 Cr | 30.94 Cr |
| Other Current Liabilities | 153.94 Cr | 167.11 Cr | 199 Cr | 255.56 Cr |
| Interest Accrued But Not Due | 16.15 Cr | 16.7 Cr | 11.92 Cr | 13.61 Cr |
| Short Term Borrowings | 1962.04 Cr | 2279.41 Cr | 2688.91 Cr | 3566.07 Cr |
| Secured ST Loans repayable on Demands | 1962.04 Cr | 2279.41 Cr | 2688.91 Cr | 3566.07 Cr |
| Working Capital Loans- Sec | 1,000 | 0 | 27.42 Cr | 133.42 Cr |
| Total Current Liabilities | 2118.82 Cr | 2450.2 Cr | 2896.51 Cr | 3852.58 Cr |
| Total Liabilities | 8960.05 Cr | 11020.4 Cr | 13410.5 Cr | 16519.5 Cr |
| Loans (Non - Current Assets) | 7523.29 Cr | 9053.42 Cr | 11476.3 Cr | 14004.4 Cr |
| Gross Block | 117.92 Cr | 148.4 Cr | 187.87 Cr | 254.02 Cr |
| Less: Accumulated Depreciation | 59.66 Cr | 82.24 Cr | 109.51 Cr | 138.03 Cr |
| Net Block | 58.26 Cr | 66.16 Cr | 78.37 Cr | 116 Cr |
| Non Current Investments | 4.5 Cr | 67.52 Cr | 123.08 Cr | 182.16 Cr |
| Long Term Investment | 4.5 Cr | 67.52 Cr | 123.08 Cr | 182.16 Cr |
| Quoted | 0 | 52.52 Cr | 110.72 Cr | 182.16 Cr |
| Unquoted | 4.5 Cr | 15 Cr | 15 Cr | 0 |
| Long Term Loans & Advances | 3.2 Cr | 3.79 Cr | 4.9 Cr | 5.29 Cr |
| Total Non-Current Assets | 7589.65 Cr | 9192.99 Cr | 11703 Cr | 14319 Cr |
| Unquoted | 4.5 Cr | 15 Cr | 15 Cr | 0 |
| Sundry Debtors | 0 | 0 | 0 | 12.22 Cr |
| Debtors Others | 0 | 0 | 0 | 12.22 Cr |
| Cash and Bank | 1120.96 Cr | 1530.23 Cr | 1381.63 Cr | 1797.82 Cr |
| Cash in hand | 1.24 Cr | 2.65 Cr | 2.92 Cr | 3.37 Cr |
| Balances at Bank | 1119.72 Cr | 1527.58 Cr | 1378.71 Cr | 1794.45 Cr |
| Other Current Assets | 54.07 Cr | 48.51 Cr | 25.5 Cr | 39.49 Cr |
| Interest accrued on Investments | 16.55 Cr | 19.23 Cr | 17.68 Cr | 26.99 Cr |
| Prepaid Expenses | 2.89 Cr | 3.61 Cr | 4.96 Cr | 11.37 Cr |
| Short Term Loans and Advances | 195.36 Cr | 248.65 Cr | 287.91 Cr | 349 Cr |
| Advances recoverable in cash or in kind | 3.08 Cr | 4.37 Cr | 4.8 Cr | 5.09 Cr |
| Advance income tax and TDS | 90.45 Lk | 5.66 Cr | 2.99 Cr | 11.76 Cr |
| Total Current Assets | 1370.4 Cr | 1827.39 Cr | 1695.04 Cr | 2198.53 Cr |
| Net Current Assets (Including Current Investments) | -748.42 Cr | -622.8 Cr | -1201.47 Cr | -1654.05 Cr |
| Total Assets | 8960.05 Cr | 11020.4 Cr | 13410.5 Cr | 16519.5 Cr |
| Total Debt | 6345.42 Cr | 7972.5 Cr | 9840.69 Cr | 12336.5 Cr |
| Book Value | 303.59 | 351.87 | 407.99 | 470.28 |
| Adjusted Book Value | 303.59 | 351.87 | 407.99 | 470.28 |
FINANCIAL RATIOS (CONSOLIDATED) FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 36.8 | 45 | 54.35 | 62 |
| CEPS(Rs) | 39.43 | 48.01 | 57.98 | 66.13 |
| Book NAV/Share(Rs) | 303.51 | 351.59 | 407.99 | 470.28 |
| Tax Rate(%) | 18.05 | 21.54 | 21.66 | 21.54 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 75.55 | 73.37 | 72.82 | 73.6 |
| EBIT Margin(%) | 73.88 | 71.64 | 71.15 | 72.13 |
| Pre Tax Margin(%) | 31.95 | 34.7 | 34.09 | 30.99 |
| PAT Margin (%) | 26.19 | 27.23 | 26.71 | 24.32 |
| Cash Profit Margin (%) | 28.05 | 29.05 | 28.49 | 25.94 |
| Performance Ratios | ||||
| ROA(%) | 3.48 | 3.56 | 3.52 | 3.28 |
| ROE(%) | 12.93 | 13.77 | 14.32 | 14.13 |
| ROCE(%) | 10.07 | 9.57 | 9.58 | 9.96 |
| Asset Turnover(x) | 0.13 | 0.13 | 0.13 | 0.13 |
| Sales/Fixed Asset(x) | 10.14 | 9.8 | 9.57 | 9.13 |
| Working Capital/Sales(x) | -1.48 | -2.14 | -1.35 | -1.22 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.1 | 0.1 | 0.1 | 0.11 |
| Receivable days | 0 | 0 | 0 | 1.22 |
| Payable days | 15.92 | 0 | 0 | 0 |
| Valuation Parameters | ||||
| PER(x) | 65.73 | 57.02 | 29.55 | 21.22 |
| PCE(x) | 61.35 | 53.44 | 27.7 | 19.9 |
| Price/Book(x) | 7.97 | 7.3 | 3.94 | 2.8 |
| EV/Net Sales(x) | 21.94 | 20.45 | 13.14 | 10.38 |
| EV/Core EBITDA(x) | 28.97 | 27.84 | 18.02 | 14.08 |
| EV/EBIT(x) | 29.7 | 28.55 | 18.47 | 14.39 |
| EV/CE(x) | 2.7 | 2.42 | 1.58 | 1.3 |
| M Cap / Sales | 17.21 | 15.53 | 7.89 | 5.16 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 22.25 | 18.23 | 23.33 | 25.43 |
| Core EBITDA Growth(%) | 22.69 | 14.66 | 22.44 | 27.19 |
| EBIT Growth(%) | 23.2 | 14.64 | 22.48 | 27.53 |
| PAT Growth(%) | 16.01 | 22.93 | 20.96 | 14.21 |
| EPS Growth(%) | 15.74 | 22.26 | 20.78 | 14.09 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 2.66 | 2.87 | 3.05 | 3.31 |
| Current Ratio(x) | 0.65 | 0.75 | 0.59 | 0.57 |
| Quick Ratio(x) | 0.65 | 0.75 | 0.59 | 0.57 |
| Interest Cover(x) | 1.76 | 1.94 | 1.92 | 1.75 |
| Total Debt/Mcap(x) | 0.33 | 0.39 | 0.78 | 1.18 |
FINANCIAL RATIOS (STANDALONE) FOR AAVAS FINANCIERS LIMITED
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 36.88 | 45.2 | 54.4 | 62 |
| CEPS(Rs) | 39.5 | 48.21 | 58.03 | 66.13 |
| Book NAV/Share(Rs) | 303.59 | 351.87 | 407.99 | 470.28 |
| Tax Rate(%) | 18.07 | 21.56 | 21.66 | 21.42 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 75.63 | 73.54 | 72.87 | 73.58 |
| EBIT Margin(%) | 73.96 | 71.81 | 71.2 | 72.1 |
| Pre Tax Margin(%) | 32.03 | 34.87 | 34.14 | 30.95 |
| PAT Margin (%) | 26.24 | 27.35 | 26.74 | 24.32 |
| Cash Profit Margin (%) | 28.11 | 29.18 | 28.53 | 25.94 |
| Performance Ratios | ||||
| ROA(%) | 3.48 | 3.57 | 3.52 | 3.28 |
| ROE(%) | 12.95 | 13.83 | 14.33 | 14.13 |
| ROCE(%) | 10.08 | 9.59 | 9.59 | 9.96 |
| Asset Turnover(x) | 0.13 | 0.13 | 0.13 | 0.13 |
| Sales/Fixed Asset(x) | 10.14 | 9.8 | 9.57 | 9.13 |
| Working Capital/Sales(x) | -1.47 | -2.09 | -1.34 | -1.22 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.1 | 0.1 | 0.1 | 0.11 |
| Receivable days | 0 | 0 | 0 | 1.22 |
| Payable days | 15.97 | 0 | 0 | 0 |
| Valuation Parameters | ||||
| PER(x) | 65.6 | 56.76 | 29.52 | 21.22 |
| PCE(x) | 61.24 | 53.22 | 27.67 | 19.9 |
| Price/Book(x) | 7.97 | 7.29 | 3.94 | 2.8 |
| EV/Net Sales(x) | 21.95 | 20.47 | 13.15 | 10.38 |
| EV/Core EBITDA(x) | 28.95 | 27.79 | 18.02 | 14.09 |
| EV/EBIT(x) | 29.68 | 28.5 | 18.47 | 14.4 |
| EV/CE(x) | 2.7 | 2.42 | 1.58 | 1.3 |
| M Cap / Sales | 17.21 | 15.53 | 7.89 | 5.16 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 22.26 | 18.24 | 23.3 | 25.44 |
| Core EBITDA Growth(%) | 22.78 | 14.81 | 22.22 | 27.05 |
| EBIT Growth(%) | 23.3 | 14.8 | 22.26 | 27.38 |
| PAT Growth(%) | 16.21 | 23.25 | 20.54 | 14.1 |
| EPS Growth(%) | 15.94 | 22.57 | 20.35 | 13.98 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 2.66 | 2.87 | 3.05 | 3.31 |
| Current Ratio(x) | 0.65 | 0.75 | 0.59 | 0.57 |
| Quick Ratio(x) | 0.65 | 0.75 | 0.59 | 0.57 |
| Interest Cover(x) | 1.76 | 1.94 | 1.92 | 1.75 |
| Total Debt/Mcap(x) | 0.33 | 0.39 | 0.78 | 1.18 |
SHARE HOLDING PATTERN FOR AAVAS FINANCIERS LIMITED
| Date | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| Promoters % | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
| FII % | 39.03 | 37.63 | 37.87 | 38.79 | 34.96 | 35.44 | 32.32 | 34.80 | 35.88 | 35.50 |
| DII % | 1.80 | 2.01 | 2.11 | 1.55 | 1.39 | 1.36 | 1.44 | 1.57 | 1.56 | 1.47 |
| Public % | 11.57 | 12.14 | 12.02 | 9.53 | 11.51 | 11.24 | 13.28 | 14.75 | 13.25 | 12.48 |
PEER COMPARISON FOR AAVAS FINANCIERS LIMITED
CORPORATE ACTIONS FOR AAVAS FINANCIERS
| Exchange Date | Purpose | Book Closure Dates |
|---|---|---|
| BSE 21-Oct-2024 | Board Meeting - Quarterly Results | 07-Nov-2024 |
| BSE 16-Sep-2024 | Board Meeting - Fund Raising | 18-Sep-2024 |
| BSE 15-Jul-2024 | Board Meeting - Quarterly Results | 25-Jul-2024 |
| BSE 15-Apr-2024 | Board Meeting - Audited Results Inter alia, to consider and approve:- 1. Increase in limits to raise funds by way of issuance of Non-Convertible Debentures, bonds and/or other debt securities etc. on private placement basis in one or more tranches/issuances/series as per the business requirement of the Company. | 25-Apr-2024 |
| BSE 18-Jan-2024 | Board Meeting - Quarterly Results | 01-Feb-2024 |
| BSE 19-Dec-2023 | Board Meeting - Inter alia, to consider the proposal for issuance of Non-convertible Debentures (NCDs) on private placement basis in compliance with applicable laws. The above issuance shall be within the existing borrowings limits under section 180(1)(c) of the Companies Act, 2013, as approved by the members on July 19, 2023. | 22-Dec-2023 |
| BSE 18-Oct-2023 | Board Meeting - Quarterly Results | 26-Oct-2023 |
| BSE 17-Jul-2023 | Board Meeting - Quarterly Results | 03-Aug-2023 |
| BSE 26-Jun-2023 | Board Meeting - Inter alia, to consider and approve the terms and conditions and other matters in relations to the proposed issue of Rated, Listed, Senior, Secured, Redeemable, Non-convertible Debentures (NCDs) on private placement basis in compliance with applicable provisions of the Securities and Exchange Board of India (Issue and Listing of Non-Convertible Securities) Regulations 2021, Securities and Exchange... | 28-Jun-2023 |
| BSE 18-Apr-2023 | Board Meeting - Audited Results & Inter alia, to consider and approve- 1. Raising of funds by way of debt by issuance of Non-convertible Debentures, bonds, and/ or other debt securities etc. on private placement basis. | 03-May-2023 |
| BSE 20-Jan-2023 | Board Meeting - Quarterly Results | 02-Feb-2023 |
| BSE 10-Oct-2022 | Board Meeting - Quarterly Results | 20-Oct-2022 |
| BSE 18-Jul-2022 | Board Meeting - Quarterly Results | 28-Jul-2022 |
| BSE 25-Apr-2022 | Board Meeting - Audited Results | 05-May-2022 |
| BSE 02-Mar-2022 | Board Meeting - Inter-alia, to consider the issue of Non-Convertible Debentures (NCDs) having a face value of INR 10,00,000(Indian Rupees Ten lakh) each, aggregating up to an amount of INR 100,00,00,000(Indian Rupees One Hundred Crore only) on private placement basis in terms of applicable provisions of the Companies Act, 2013, SEBI (Issue and Listing of Non- Convertible Securities) Regulations, 2021 and other ap... | 07-Mar-2022 |
| BSE 07-Feb-2022 | Board Meeting - Inter alia, to consider and approve the issue of External Commercial Borrowing in the form of Rupee Denominated Bonds (RDB) on private placement basis upto an amount of INR 360 Crores (Indian Rupees three hundred and sixty crores) in terms of applicable provisions of the Companies Act, 2013 and other applicable laws. | 09-Feb-2022 |
| BSE 21-Jan-2022 | Board Meeting - Quarterly Results | 03-Feb-2022 |
| BSE 17-Nov-2021 | Board Meeting - Inter-alia, to consider the issue of Non-Convertible Debentures (NCDs) on private placement basis in terms of applicable provisions of the Companies Act, 2013 and other applicable laws. | 20-Nov-2021 |
| BSE 19-Oct-2021 | Board Meeting - Quarterly Results | 28-Oct-2021 |
CORPORATE ANNOUNCEMENTS FOR AAVAS FINANCIERS
| Exchange Date | Category File | Description |
|---|---|---|
| BSE 29-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Allotment Intimation for allotment of Non-Convertible Debentures (NCDs) by Executive Committee of Board of Directors |
| BSE 23-Oct-2024 | General Announcements FILE | Intimation Under Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations 2015 Intimation under Regulation 30 of Securities and Exchange Board of India (Listing Obligations and Disclosures Requirements) Regulations 2015- Approval of Competition Commission of India (CCI) for the Proposed transaction. |
| BSE 21-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Pursuant to Regulation 30 of Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations 2015 we hereby inform you that Company will hold an Earnings Conference Call on Thursday November 07 2024 at 06:00 P.M. (IST) to discuss with the investors/analysts the Financial and Operational Performance of the Company for the Quarter and Half Year ended September 30 2024. |
| BSE 21-Oct-2024 | Intimation FILE | Board Meeting Intimation for Intimation Of Board Meeting Under Regulation 29 And 50 Of Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations 2015 AAVAS Financiers Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 07/11/2024 inter alia to consider and approve the Unaudited Standalone Financial Results of the Company for the Quarter and Half Year ended September 30 2024. |
| BSE 19-Oct-2024 | General Announcements FILE | Compliances-Reg. 57 (1) - Certificate of interest payment/Principal in case of NCD Intimation of Interest and Part Redemption of Non-convertible Debentures Pursuant to Regulation 57 of SEBI (LODR) Regulations 2015. |
| BSE 18-Oct-2024 | General Announcements FILE | Intimation Under Regulation 30 Of SEBI (LODR) Regulations 2015-Grant Of Stock Options Under The Performance Stock Option Plan- 2023 ('PSOP 2023') Intimation Under Regulation 30 of SEBI (LODR) Regulations 2015- Grant of Stock Options under the Performance Stock Option Plan-2023 ("PSOP 2023") |
| BSE 15-Oct-2024 | General Announcements FILE | Intimation Under Regulation 30 Of SEBI (LODR) Regulations 2015-Grant Of Stock Options Under The Equity Stock Option Plan For Employees-2016 ('ESOP-2016-I') And Performance Stock Option Plan- 2023 ('PSOP 2023') Intimation under Regulation 30 of SEBI (LODR) Regulations 2015. |
| BSE 15-Oct-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 Submission of Certificate under Regulation 74 (5) of SEBI (Depositories And Participants) Regulations 2018 for the Quarter ended September 30 2024. |
| BSE 01-Oct-2024 | General Announcements FILE | Intimation Under Regulation 30 And 51 Of The SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015 Disclosure under Regulation 30 and 51 of SEBI (Listing Obligation and Disclosure Requirements) Regulations 2015 |
| BSE 01-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Credit Rating Intimation of Credit Rating Reaffirmation |
| BSE 30-Sep-2024 | General Announcements FILE | Compliances-Reg. 57 (1) - Certificate of interest payment/Principal in case of NCD Certificate of Payment of Interest and Part Redemption of Non-Convertible Debentures pursuant to Regulation 57 of SEBI (LODR) Regulations 2015. |
| BSE 25-Sep-2024 | Intimation FILE | Closure of Trading Window Intimation of Closure of Trading Window |
| BSE 25-Sep-2024 | General Announcements FILE | Compliances-Reg. 57 (1) - Certificate of interest payment/Principal in case of NCD Certificate of Payment of Interest and Part Redemption of Non-Convertible Debentures pursuant to Regulation 57 of SEBI (LODR) Regulations 2015. |
| BSE 19-Sep-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Intimation of Schedule of Investor/Analysts Meet under SEBI (LODR) Regulations 2015 to be held on September 24 2024 and September 26 2024. |
| BSE 18-Sep-2024 | General Announcements FILE | Outcome Of Executive Committee Meeting Of Board Of Directors Of The Company And Disclosure Under Regulation 30 And 51 Of Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations 2015 ('SEBI LODR Regulations') Outcome of Executive Committee Meeting of Board of Directors of the Company and Disclosure under Regulation 30 and 51 of Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations 2015 |
| BSE 18-Sep-2024 | Outcome FILE | Board Meeting Outcome for Outcome Of Executive Committee Meeting Of The Board Of Directors Held On September 18 2024. Pursuant to the provisions of Regulation 30 and 51 of the SEBI LODR Regulations we wish to inform you that the Executive Committee of the Board of Directors of the Company at their Meeting held today i.e. September 18 2024 has pursuant to the authority entrusted by the Board of Directors and within the limits as approved by the Members of the Company vide Special Resolution passed at the 14th Annual General Meeting held on August 07 2024 inter-alia approved the issuance of up to 63 000 Rated Listed Senior Unsubordinated Secured Transferable Redeemable Indian Rupee Denominated Non-Convertible Debentures (NCDs) having a face value of INR 1 00 000 (Indian Rupees One lakh) each aggregating up to an amount of INR 630.00 crore (Indian Rupees Six hundred and thirty crore) on a Private Placement basis. |
| BSE 16-Sep-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Intimation of Schedule of Investor/Analysts Meet under SEBI (LODR) Regulations 2015 to be held on September 19 2024. |
| BSE 15-Sep-2024 | Intimation FILE | Board Meeting Intimation for The Meeting Of Executive Committee Of The Board Of Directors. AAVAS Financiers Ltdhas informed BSE that the meeting of the Board of Directors of the Company is scheduled on 18/09/2024 inter alia to consider and approve the proposal for issuance of Non-convertible Debentures (NCDs) on private placement basis in compliance with applicable rules and regulations. |
| BSE 10-Sep-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Intimation of Schedule of Investor/Analysts Meet under SEBI (LODR) Regulations 2015 to be held on September 18 2024 and September 19 2024. |
| BSE 05-Sep-2024 | General Announcements FILE | Intimation Under Regulation 30 Of SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015 Intimation under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015 |
| BSE 27-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Open Offer - Updates Please find attached the Draft letter of offer received by the Company from JM Financial Limited in relation to the open offer to the public Shareholders of the Company. |
| BSE 26-Aug-2024 | General FILE | Draft Letter of Offer JM Financial Ltd ("Manager to the Offer") has submitted to BSE a copy of Draft Letter of Offer to the Public Shareholders of AAVAS Financiers Ltd ("Target Company"). |
| BSE 20-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Allotment of ESOP / ESPS Intimation of allotment of 1 875 Equity Shares pursuant to exercise of Employee Stock Options. |
| BSE 20-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Intimation of Schedule of Investor/Analysts Call under SEBI (LODR) Regulations 2015 to be held on August 23 2024. |
| BSE 20-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Open Offer - Updates Please find attached copy of the Detailed Public Statement received by the Company from JM Financial Limited in relation to the open offer to the public shareholders of the Company. |
| BSE 19-Aug-2024 | General FILE | Detailed Public Statement JM Financial Ltd ("Manager to the Offer") has submitted to BSE a copy of Detailed Public Statement to the Public Shareholders of AAVAS Financiers Ltd ("Target Company") in terms of Regulations 3(1) and Regulation 4 read with Regulation 13(4) Regulation 14(3) and Regulation 15(2) of SEBI (Substantial Acquisition of Shares and Takeovers) Regulations 2011 as amended. |
| BSE 16-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Change in Management Disclosure under Regulation 30 of SEBI (LODR) Regulations 2015- Resignation of Senior Management Personnel of the Company |
| BSE 12-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Analyst / Investor Meet - Intimation Intimation of Schedule of Investor/Analysts Meet under SEBI (LODR) Regulations 2015 to be held on August 16 2024 and August 20 2024. |
| BSE 11-Aug-2024 | General Announcements FILE | Intimation Under Regulation 30 Of The Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations 2015 Please find attached copy of Public Announcement received by the Company from JM Financial Limited in relation to an open offer to the public shareholders of the Company. |
| BSE 10-Aug-2024 | General FILE | Public Announcement - Open Offer JM Financial Ltd ("Manager to the Offer") has submitted to BSE a copy of Public Announcement for the attention of the Public Shareholders of AAVAS Financiers Ltd ("Target Company") under Regulations 3(1) and 4 read with Regulation 13(1) 14 and 15(1) of the Securities and Exchange Board of India (Substantial Acquisition of Shares and Takeovers) Regulations 2011 as amended. |
INSIDER TRADING FOR AAVAS FINANCIERS
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 05-Mar-2024 05-Mar-2024 | Sell Market | 5,839,580 @ 0.00 (7.38 %) | Lake District Holdings Ltd |
| BSE 05-Mar-2024 05-Mar-2024 | Sell Market | 2,889,370 @ 0.00 (3.66 %) | PARTNERS GROUP ESCL LTD |
| BSE 05-Mar-2024 05-Mar-2024 | Sell Market | 1,268,000 @ 0.00 (1.60 %) | Partners Group Private Equity Master Fund LLC |
BULK BLOCK DEALS FOR AAVAS FINANCIERS LIMITED
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 27-Aug-2024 | Sell BULK | 1,750,929 @ 1690.00 | AMANSA HOLDINGS PRIVATE LIMITED |
| BSE 27-Aug-2024 | Buy BULK | 1,000,000 @ 1690.00 | NIPPON INDIA MUTUAL FUND A/C - NIPPON INDIA MULTI CAP FUND |
| BSE 04-Apr-2024 | Sell BULK | 582,973 @ 1420.19 | SMALLCAP WORLD FUND INC |
| BSE 14-Jun-2023 | Sell BULK | 1,284,778 @ 1349.94 | SMALLCAP WORLD FUND INC |
| BSE 13-Dec-2022 | Sell BLOCK | 190,701 @ 1925.55 | C WORLDWIDE |
| BSE 13-Dec-2022 | Buy BLOCK | 190,701 @ 1925.55 | C WORLDWIDE ASIA |
| BSE 25-Oct-2022 | Sell BLOCK | 95,875 @ 2010.95 | ISHARES CORE EMERGING MARKETS MAURITIUS CO |
| BSE 25-Oct-2022 | Buy BLOCK | 95,875 @ 2010.95 | ISHARES CORE MSCI EMERGING MARKETS ETF |
| BSE 25-Oct-2022 | Sell BLOCK | 17,406 @ 2010.95 | ISHARES INDIA SC MAURITIUS COMPANY |
| BSE 25-Oct-2022 | Buy BLOCK | 17,406 @ 2010.95 | ISHARES MSCI INDIA SMALL-CAP ETF |
| BSE 17-Oct-2022 | Sell BLOCK | 95,781 @ 2076.50 | ISHARES CORE EMERGING MARKETS MAURITIUS CO |
| BSE 17-Oct-2022 | Buy BLOCK | 95,781 @ 2076.50 | ISHARES CORE MSCI EMERGING MARKETS ETF |
| BSE 17-Oct-2022 | Sell BLOCK | 17,387 @ 2076.50 | ISHARES INDIA SC MAURITIUS COMPANY |
| BSE 17-Oct-2022 | Buy BLOCK | 17,387 @ 2076.50 | ISHARES MSCI INDIA SMALL-CAP ETF |
| BSE 11-Oct-2022 | Sell BLOCK | 46,829 @ 2091.55 | ISHARES CORE EMERGING MARKETS MAURITIUS CO |
| BSE 11-Oct-2022 | Buy BLOCK | 46,829 @ 2091.55 | ISHARES CORE MSCI EMERGING MARKETS ETF |
| BSE 11-Oct-2022 | Sell BLOCK | 8,500 @ 2091.55 | ISHARES INDIA SC MAURITIUS COMPANY |
| BSE 11-Oct-2022 | Buy BLOCK | 8,500 @ 2091.55 | ISHARES MSCI INDIA SMALL-CAP ETF |
| BSE 19-Sep-2022 | Sell BLOCK | 60,834 @ 2164.40 | ISHARES CORE EMERGING MARKETS MAURITIUS CO |
| BSE 19-Sep-2022 | Buy BLOCK | 60,834 @ 2164.40 | ISHARES CORE MSCI EMERGING MARKETS ETF |
| BSE 19-Sep-2022 | Sell BLOCK | 10,948 @ 2164.40 | ISHARES INDIA SC MAURITIUS COMPANY |
| BSE 19-Sep-2022 | Buy BLOCK | 10,948 @ 2164.40 | ISHARES MSCI INDIA SMALL-CAP ETF |
| BSE 04-May-2022 | Buy BLOCK | 72,525 @ 2289.40 | ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF |
| BSE 04-May-2022 | Sell BLOCK | 72,525 @ 2289.40 | ISHARES CORE TOTAL INTERNATIONAL STOCK MAURITIUS CO |
| BSE 20-Dec-2021 | Buy BLOCK | 235,992 @ 2529.25 | IMCO EMERGING MARKETS PUBLIC EQUITY LP |
| BSE 20-Dec-2021 | Sell BLOCK | 235,992 @ 2529.25 | ONTARIO PENSION BOARD |
DIVIDEND BY AAVAS FINANCIERS LIMITED
No dividend details found
SPLIT / BONUS BY AAVAS FINANCIERS LIMITED
No Split / Bonus details found
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