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Release
August 2026 · rev 1
Opportunities PMS · Published
As at 31 Aug 2026 · IST₹ · ₹ cr · BSE 500 TRI
Present
Internal working platform. Published figures are extracted from the August 2026 source package and reviewed; reference prices and fundamentals are unlicensed working data, not for redistribution. Past performance is not indicative of future returns.
Company Atlas/NBFC/Shriram Finance
NSE: SHRIRAMFIN· NBFCCore · Aug 26Large cap

Shriram Finance

Used-CV leader with MUFG as partner

Last close
₹971.50
29 Sept 2026 · reference
1D · 1M
−0.5% · −10.6%
price-only
Weight
3.5%
31 Jul 2026 · Aug rank 6
Thesis review
8 Sep 2026
Why We Own, p39
Coverage owner: Research (per book); latest results Q Jun-26Buoyant AIF I Top 30 Holdings - Aug 2026.pdf · p1Buoyant_Why_We_Own_What_We_Own_Sep2026.pdf (portfolio as of 31 July 2026) · p39Screener ↗Tijori ↗NSE ↗
OverviewBusiness & segmentsChartsFinancialsValuationThesisRisks & catalystsCompetitorsResearch & documents
Analysis · industrial rules · FY21–FY26

What the numbers say

data to 30 Jun 2026
Growth
4.1
Profitability
3.7
Balance sheet
0.3
Cash conversion
0.8
Valuation
3.4
Sales48,133 cr FY26
Net Profit10,024 cr FY26
Operating margin73.8% FY26
ROCE14.8% FY26
Revenue CAGR 3y
16.5%
5y 22.5%
Net profit CAGR 3y
18.6%
5y 32.0%
Operating margin
73.8%
3y avg 71.7%
CFO / PAT, 3y
-3.27x
FCF ₹-88,739 cr cumulative
ROCE
14.8%
3y avg 13.9%
Debt / equity
3.80x
interest cover 1.6x
Cash conversion cycle
0 days
3 days three years earlier
P/E
21.1x
PEG 1.1 on 3y PAT growth
Promoter holding
20.3%
FII 54.8% · DII 19.9%
  • Growth. Revenue compounded 16.5% a year over FY23–FY26, net profit 18.6%; the latest year grew 15.1% (profit 4.9%). · Tijori P&L, annual
  • Margins. Operating margin 73.8% in FY26, +2.1 pp against the prior three-year average. · Tijori P&L (OPM)
  • Share count. Share count rose 402% between FY23 and FY26 (issuance); read growth per share, not per company. · Tijori P&L (shares)
  • Cash conversion. Operating cash flow was -3.27x reported profit across the last three years; free cash flow of minus ₹88,739 cr after capex. · Tijori cash flow vs P&L
  • Returns on capital. ROCE 14.8% and ROE 15.2% in FY26 (three-year average ROCE 13.9%). · Tijori ratios sheet
  • Balance sheet. Debt to equity 3.80x, interest covered 1.6x by EBIT in FY26. · Tijori ratios sheet
  • Valuation. 21.1x trailing earnings, 11.4x EV/EBITDA, 2.5x book — 1.1x the three-year profit growth rate; dividend yield 1.2%. · Tijori valuation ratios at the latest price
  • Latest quarter. Q Jun-26: revenue 16.2% YoY, net profit 59.9% YoY; 4 of the last 4 quarters grew revenue year on year. · Tijori quarterly results
Forensic flags · Tijori
Accounting & Shareholding
  • Contingent Liabilities: Company does not have significant contingent liabilities
  • Other Income: Other income is not affecting ratios of the company
  • Pledge: Promoters have not pledged a significant portion of their holding
  • Promoter Holding: Promoter has not sold any shares in the last 90 days
  • Retail Holding: Retail has been selling the stock which is usually a good time to buy
Price & Performance
  • Cost Of Borrowing: Cost of borrowing of the company seems to be trending down
  • Cost to Income Ratio: Operational cost of company is trending down
  • ROE: Net profit margin is responsible for roe increase over last 10 years
  • Share price: Share price has increased over last 10 years due to earnings
  • Current vs Historic Valuation: Company is trading at a premium to 3yr historic valuations
  • Net Interest Margin: Net interest margin of the company is trending up
  • Net NPA: Npa's of the company is currently high
  • Sales Growth: Sales of the company has grown at a good pace
  • Margin Stability: Margins of the company are volatile
  • Balance Sheet - Strength: Latest bs is strong. the strength was visible historically as well.

Rules over the stated numbers only — CAGRs need positive start and end values, margins use the company's own OPM line, cash conversion is cumulative operating cash flow over cumulative profit for the last three fiscal years. Scores are 0–5 rule outputs, not a recommendation. Source: Tijori Finance normalised statements; Buoyant's own estimates are shown separately below and never blended in.

Cross-check

Same metric, every source · Shriram Finance

Where the app shows the same metric in more than one place, this table lists each figure with its period and definition. No two sources disagree on the same period and definition; every difference below is a period or definition difference.

MetricSourcePeriodDefinitionValueVerdict
Return on equityTijori ratio tableFY26net profit ÷ year-end equity (Tijori)15.21%Different basis
Figures differ because they measure different periods or definitions; each is labelled.
Tijori screenerTTMtrailing 12 months (Tijori)15.21%
House model (one-pager)FY26net profit ÷ average equity, standalone16.40%
Net profitTijori P&LFY26consolidated, annual₹10,024 crDifferent basis
Figures differ because they measure different periods or definitions; each is labelled.
Tijori P&LTTM Jun-26trailing 12 months₹11,296 cr
Tijori screenerTTMtrailing 12 months₹11,295 cr
House model (one-pager)FY26standalone, annual₹10,024 cr
Tijori quarterly tableQ Jun-26single quarter₹3,453 cr
P/ETijori screenerTTM at 2026-09-28price ÷ trailing EPS20.90xDifferent basis
Figures differ because they measure different periods or definitions; each is labelled.
Tijori ratio tableFY26 year-endyear-end price ÷ that year's EPS16.37x
House model (one-pager)FY27EFY27E / FY28E P/E (Buoyant sheet)21.40x
P/BTijori screenerat 2026-09-28price ÷ book value per share3.59xDifferent basis
Figures differ because they measure different periods or definitions; each is labelled.
Tijori ratio tableFY26 year-endyear-end price ÷ book value2.49x
Market capBSE master2026-09-28BSE full market cap₹2,36,804 crDifferent basis
Figures differ because they measure different periods or definitions; each is labelled.
Tijori screenerlatest Tijori refreshprice × shares₹2,36,716 cr
House one-pager31-Jul-26₹ lakh crore as printed₹2,42,000 cr
Promoter holdingTijori screenerlatest filing% of shares20.30%One source

Tolerance for a conflict: 1.5% on the same period and definition (3% for market cap, which moves with the price date). Tijori's ratio table uses its own definitions; the quarterly table and operating metrics carry the company's reported figures; the house model is standalone and dated.

Trend

Sales and net profit, FY

₹ crore. Actuals only; the last column is a TTM where labelled. Estimates are shown separately below with an "E" and never blended into this series.

Buoyant estimates

Model table from the research book

Buoyant estimates
₹ crore / %FY24FY25FY26
Revenue (₹ cr)36,38843,94148,135
EBITDA (₹ cr)n.a.n.a.n.a.
Net profit (₹ cr)7,3999,57610,024
ROE (%)n.a.n.a.16.4

Estimate columns (E) are in green italics.

Consolidated where reported · standalone not separately available in this source
Income statement (annual)
₹ crore unless %FY18FY19FY20FY21FY22FY23FY24FY25FY26TTM Jun-26
Sales13,46715,52916,55517,42019,25530,47734,96441,83448,13349,997
Operating Expenses3,3054,2454,6814,9405,8188,6999,87511,73212,60513,016
Raw Material—————————0
Material Cost (%)0.000.000.000.000.000.000.000.000.000.00
Employee Cost7458831,0119069972,6363,2163,6514,1314,298
Power & Fuel Cost181821151632384245—
Operating Profit10,16211,28411,87412,48013,43721,77825,09030,10235,52836,981
Other Income621032126253338256672
OPM (%)75.4672.6671.7271.6469.7871.4671.7671.9673.8173.97
Depreciation and Amortisation3743141137135601569645699709
Interest6,4167,5668,3159,0919,77712,99614,87618,53221,59421,325
Profit Before Tax3,8963,7783,4393,2783,5498,2149,68412,50313,30015,020
Tax1,3491,2149377918412,2022,4933,0803,2963,723
Net Profit2,5492,5762,5122,4992,7216,0117,3669,55410,02411,296
Number of shares(Crs)23232325273738188188—
Dividend Payout Ratio(%)9.7910.574.5218.2319.8821.8022.9619.4920.27—

Consolidated where the company reports consolidated; Tijori Finance normalisation of company filings. Fiscal years end 31 March; "TTM" columns are trailing twelve months to the stated quarter. Quarterly growth is year-on-year (same quarter, prior year). Quarterly balance-sheet and cash-flow data are not disclosed and are not implied. NBFC preset: AUM/loan growth, spreads, asset quality, leverage, ROA/ROE; P/B and P/E.

Operating metrics

Sector metrics with history

Net Interest Margin

9.04% 2026-06

Fresh Slippages - Quarterly

2,691.12Crs 2025-03

Cost of Borrowing

8.56% 2026-06

Capital to Risks Assets Ratio (CRAR)

34.17% 2026-06

Gross NPA

4.64% 2026-06

AUM - NBFC

3,13,798.39Crs 2026-06
Ratios

Sector-appropriate ratios

RatioFY17FY18FY19FY20FY21FY22FY23FY24FY25FY26
Debt to Equity Ratio4.686.005.515.204.894.393.773.994.153.80
ROE (%)11.1718.6216.1413.8511.5110.4313.8115.0516.9215.21
P/E19.3212.8211.225.9914.4011.287.8512.0412.9116.37
Price to Book2.162.391.810.831.661.181.091.812.192.49

NBFC preset: AUM/loan growth, spreads, asset quality, leverage, ROA/ROE; P/B and P/E. Suppressed for this preset: EV/EBITDA, Inventory, Cash Conversion, Fixed Asset Turnover.