Infrastructure

Transrail Lighting Ltd

TRANSRAILL · NSE · INE454P01035
₹428.7+2.32%consolidatedstandalone
Wednesday, 9 Sept 2026Vol: 3.3L traded · 53.2% delivered11:31 am
Sentiment10 · Extreme Fear
Extreme FearFearNeutralGreedExtreme Greed
Market Cap₹5,628 Cr
P/E13.5
P/B2.5
EPS₹31.04
Div Yield0.7%
ROE20.0%
ROCE33.6%
ROE20.0%
1Y Return-12.14%
Avg. Volume0.4M
Delivery %53.21%

Price Chart

79970661352042728.0L56.0LSept 2025Oct 2025Nov 2025Jan 2026Feb 2026Mar 2026May 2026Jul 2026

52-Week Range

₹416.05₹428.7₹823
52W Low52W High

About

Transrail Lighting Ltd is a Infrastructure company listed on NSE.

Infrastructure

Technicals

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Key Ratios

Market Cap₹5,628 Cr
Current Price₹428.7
52W High / Low₹823 / ₹416.05
Stock P/E13.5
Price to Book2.5
EPS (TTM)₹31.04
Dividend Yield0.7%
ROE20.0%
1Y Return-12.14%
Day Change+2.32%
Profit and loss statement
PeriodTTMFY26FY25FY24FY23FY22FY21FY20
Sales₹6,956 Cr₹6,880 Cr₹5,308 Cr
Expenses₹6,136 Cr₹5,940 Cr₹4,532 Cr
Operating Profit₹820 Cr₹941 Cr₹776 Cr
OPM %12.0%14.0%15.0%
Other Income₹40 Cr₹32 Cr₹48 Cr
Depreciation₹71 Cr₹66 Cr₹56 Cr
Interest₹225 Cr₹339 Cr₹300 Cr
Profit Before Tax₹564 Cr₹567 Cr₹467 Cr
Tax₹159 Cr₹163 Cr₹138 Cr
Net Profit₹405 Cr₹404 Cr₹329 Cr
EPS (₹)30.230.124.5
Dividend Payout %7%3%
Financial history locked

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Quarterly Results

Quarterly results
QuarterJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024Mar 2024Sep 2023
Sales₹1,736 Cr₹1,863 Cr₹1,796 Cr₹1,561 Cr
Expenses₹1,534 Cr₹1,657 Cr₹1,569 Cr₹1,377 Cr
Operating Profit₹202 Cr₹207 Cr₹227 Cr₹184 Cr
OPM %12.0%11.0%13.0%12.0%
Depreciation₹19 Cr₹20 Cr₹17 Cr₹15 Cr
Interest₹56 Cr₹54 Cr₹55 Cr₹60 Cr
Net Profit₹108 Cr₹96 Cr₹110 Cr₹91 Cr
EPS (₹)8.07.28.26.8
Quarterly history locked

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Balance Sheet

Balance sheet
PeriodFY26FY25FY24FY23FY22FY21FY20
Liabilities
Equity Capital₹27 Cr₹27 Cr₹25 Cr
Reserves₹2,254 Cr₹1,854 Cr₹1,114 Cr
Borrowings₹678 Cr₹661 Cr₹667 Cr
Other Liabilities₹4,395 Cr₹3,691 Cr₹2,815 Cr
Total Liabilities₹7,354 Cr₹6,233 Cr₹4,621 Cr
Assets
Fixed Assets₹600 Cr₹425 Cr₹374 Cr
Investments₹1 Cr₹0 Cr₹5 Cr
Receivables
Inventory
Cash & Equivalents
Other Assets₹6,688 Cr₹5,795 Cr₹4,236 Cr
Total Assets₹7,354 Cr₹6,233 Cr₹4,621 Cr
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Cash Flow

Cash flow statement
PeriodOperatingInvestingFinancingNet Cash Flow
FY26₹643 Cr₹-209 Cr₹-190 Cr₹244 Cr
FY25₹287 Cr₹-498 Cr₹242 Cr₹32 Cr
FY24₹35 Cr₹-78 Cr₹28 Cr₹-15 Cr
FY23
FY22
FY21
FY20
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Shareholding Pattern

Quarterly Trend

Peer Comparison

Peer comparison
CompanyM.CapP/EROE1Y Return
Larsen & Toubro Ltd+18.32%+0.82%
3M India Ltd+28.9%-6.56%
A2Z Infra Engineering Ltd₹284 Cr76.3+10.64%+10.36%
A B Infrabuild Ltd+13.83%-39.73%
Afcons Infrastructure Ltd₹10,292 Cr71.6+4.69%-22.54%

Mutual Fund Holdings

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Bulk & Block Deals

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Analyst Estimates

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Documents & Filings

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