# Capital Infra Trus (CAPINVIT) > Exchange: NSE | Sector: Industrials | ISIN: ## Price Current Price: ₹69.95 Day Change: -0.34% 52W High: ₹109.99 52W Low: ₹69.82 Market Cap: ₹3,438 Cr ## Valuation P/E: 0 P/B: 0.84 EPS: ₹-5.37 Book Value: ₹83.64 Dividend Yield: 4160% ## Returns 1Y Return: -20.12% ## Profitability ROE: -1.61% ROCE: 0% Debt/Equity: 0 Revenue Growth: 0% Profit Growth: 0% EBITDA Margin: 0% Operating Margin: 0% ## About Capital Infra Trus is a Infrastructure Operations company listed on BSE. The page combines exchange quotes, financial statements, shareholding, filings, and news so investors can review the business in one place. Sector: Industrials Industry: Infrastructure Operations Sub Industry: Unknown ## Business Model Overview: Capital Infra Trus makes money through Project execution, Product or asset sales, Operations and maintenance income in Infrastructure Operations. Revenue quality depends on demand growth, margin discipline, balance-sheet strength, and the company's ability to defend its position within Industrials. Source: Derived from stock data Revenue Streams: - Project execution - Product or asset sales - Operations and maintenance income Operating Model: - Converts order book, land bank, or manufacturing capacity into milestone-linked revenue. - Execution speed, working capital, order inflow, and interest costs determine returns. ## Data Freshness Quote Updated: 2026-05-17T03:03:21.951Z Price History Updated: 2026-05-18T22:58:44.918Z Latest Price History Date: 2026-05-15 Technicals Updated: 2026-05-18T22:58:44.918Z Quant Updated: 2026-05-18T22:58:44.918Z Sentiment Updated: 2026-05-18T22:58:44.918Z Financials Status: current Financials Updated: 2026-05-18T09:30:01.601Z Financials Last Attempt: 2026-05-18T09:30:01.601Z Financials Provider Tried: database Latest P&L Period: FY 2025 Latest Balance Sheet Period: FY 2025 Latest Cash Flow Period: FY 2025 ## P&L (TTM) Revenue: ₹159 Cr Operating Profit: ₹-3 Cr (OPM -2%) Net Profit: ₹-37 Cr Tax: ₹-50 Cr ## Balance Sheet (Sep 2025) Total Assets: ₹4936 Cr Total Liabilities: ₹4936 Cr Borrowings: ₹2363 Cr Cash: ₹undefined Cr --- Source: rupiya.io/stocks/capinvit Disclaimer: For research and education only. Not investment advice.