Hinduja Leyland Finance Limited

Last Traded Price : ₹250

About

Incorporated in November 2008, Hinduja Leyland Finance Ltd., promoted by Ashok Leyland Limited, is one of India's leading NBFCs, with key offerings including finance for commercial vehicles, personal vehicles, loans against property, and construction equipment finance. Through a widespread network of branches serving the urban and semi-urban centers of India, Hinduja Leyland Finance offers a wide range of financial and leasing solutions for commercial and electric commercial vehicles, construction equipment, tractors, cars, and two-wheelers. In addition, the company finances used commercial vehicles as well. The companys vehicle finance vertical has a diversified customer base from large fleet owners to small truck owners and self-employed individuals. The company is a preferred financier for motor vehicle OEMs to provide financing for their vehicles.

Read more

Fundamental


Company Name :
Hinduja Leyland Finance Limited
Scrip Name :
Hinduja leyland
ISIN No. :
INE146O01014
No. of Outstanding Shares :
545,254,490
PAN No. :
AACCH1807P
Face Value :
₹10.00
EPS :
₹14.19
PE ratio :
17.62
P/S Ratio :
2.17
Market Capitalization :
₹13,631.36 Crore
Book value :
₹159.46
P/BV :
1.57
52 Week High :
₹ 265.00 (06/09/25)
52 Week Low :
₹ 200.00 (24/07/25)
Lifetime High :
₹ 265.00 (06/09/25)
Lifetime Low :
₹ 200.00 (24/07/25)
DRHP Filed ?
No
Available on :
NSDL and CDSL
ROFR Require :
No
Sector :
Financial Service
CIN :
U65993MH2008PLC384221
Registration Date :
12/11/2008

Balance Sheet (RS in Lakhs)

Particulars 2025 2024
Financial Assets
Cash And Cash Equivalents 3,18,244 2,90,953
Bank Balances other than cash & cash Equivalents 50,016 30,263
Loans 47,85,420 38,46,319
Equity accounted investee 2,681 2,288
Investments 3,25,400 1,89,951
Derivative financial instruments 531 -
Other Financial Assets 92,052 63,655
Non-Financial Assets
Current Tax assets (net) 9,739 10,366
Property, Plant and Equipment 42,668 33,156
Capital Work in Progress 3,615 2,706
Other Intangible Assets 108 95
Right of use assets 7,041 6,502
Other non-financial assets 15,688 11,478
Total Assets 56,53,203 44,87,732
Financial Liabilities
Derivative financial instruments 2,868 165
Trade Payables
Total Outstanding dues of Creditors other than micro & small Enterprises 8,526 3,019
Debt Securities 1,36,240 43,105
Borrowings (Other than Debt securities) 41,29,827 34,59,864
Subordinated liabilities 3,23,288 1,67,263
Other Financial Liabilities 91,850 83,521
Non-Financial Liabilities
Provisions 1,102 582
Deferred Tax liabilities (net) 86,221 46,104
Other Non-Financial Liabilities 3,794 3,043
Equity
Equity Share Capital 54,524 53,516
Other Equity 8,14,963 6,27,550
Total Liabilities and Equity 56,53,203 44,87,732

Profit & Loss Statement (RS in Lakhs)

Particulars 2025 2024
Revenue from operations
Interest Income 536437 401058
Fee & Commission Income 11806 8441
Net gain on Fair Value Changes 957 1911
Net gain on derecognition of financial instruments 56436 42751
Rental Income 7739 3033
Other Income 14676 8730
Total Income 628051 465924
Expenses
Finance Costs 354037 256161
Fee & Commission Expenses 22051 9925
Impairment on financial assets 65195 57285
Employee benefit Expense 45562 34062
Depreciation and Amortization 8702 4609
Other Expenses 27905 19331
Total Expenses 523452 381373
Profit before share of profit of equity accounted investee & income tax
Profit before share of profit of equity accounted investee & income tax 104599 84551
Share of loss equity accounted investee -618 -412
Profit before Tax 103981 84139
Tax expense
Current Tax 17039 15025
Deferred Tax 9562 5471
Profit After Tax for the Year 77380 63643
Other Comprehensive Income
Other Comprehensive Income 90852 57334
Total Comprehensive Income for the period 168232 120977
Earnings per Equity Share - Basic 14.46 11.89
Earnings per Equity Share - Diluted 14.46 11.89

Cash Flow Statement (RS in Lakhs)

Particulars 2025 2024
Cash flows from Operating Activities
Net Profit before Tax 103981 84139
Depreciation and Amortization 8703 4609
Profit on Disposal of PPE -15 -43
Profit on Sale of Investment -2187 -
Net gain on fair value changes 1697 -1911
Finance costs 354037 256161
Interest Income -535525 -400870
Net gain on de-recognition of financial instr. -56436 -42751
Provision for expected credit loss etc. 49510 46753
Impairment loss on other receivables 15685 10532
Rent expense 11 11
Share based payment expenses 119 159
CSR Expenditure 413 333
Provision for Employee benefits 208 250
Operating Profit before WC Changes -59799 -42628
(Increase)/Decrease in Loans -863142 -972124
(Increase)/Decrease in Other Financial Assets 25039 36350
(Increase)/Decrease in Non-Financial Assets -3443 -3710
Increase/(Decrease) in Trade Payable 5438 -237
Increase/(Decrease) in Other Financial Liabilities 6903 14881
Increase/(Decrease) in Non-Financial Liabilities/Prov. 360 654
Net Cash used in Ops before Adjustments -888644 -966814
Cash Outflow towards Finance Cost -335221 -242448
Cash Inflow from Interest Income 518427 391400
Taxes Paid -16412 -18595
Net Cash Used in Operating Activities -721850 -836457
Cash Flow from Investing Activities
(Inv)/Redemption in Mutual Funds (net) -121910 37594
Investment in Redeemable NCDs -36799 -45799
Redemption of Redeemable NCDs 19867 23164
Inv. in PTCs/Govt Securities -89372 -87420
Redemption in PTCs/Govt Securities/AIF 94412 70806
Inv. in Eq. Shares JV/Subsidiaries -1000 -5521
Bank Deposits Placed -50000 -8070
Bank Deposits Matured 30208 -
Purchase of PPE/Intangibles inc. CWIP & Adv. -21220 -26968
Proceeds from Disposal of PPE & Intangibles 33 61
Interest on Fixed Deposits 2159 240
Net Cash Used in Investing Activities -173622 -41913
Cash Flow from Financing Activities
Proceeds from Issue of Eq. Shares inc. Premium 20059 80
Proceeds from LT Borrowings 2107088 1882088
Repayment of LT Borrowings -1060793 -954143
Proceeds from WC Loans/Cash Credit/CP -141045 138842
Payment of Lease Liabilities -2557 -2097
Share Application Money 11 -
Net Cash Used in Financing Activities 922763 1064770
Net Increase in Cash & Cash Equivalents 27291 186400
Cash & Cash Equivalents at Beginning 290953 104533
Cash & Cash Equivalents at End 318244 290953

We’re sorry, but Financial Ratio data for this company is not available right now.


Price per Unit 250
No. of Unit to Buy

Total Investment 0

*Best Price In Industry
No. of Unit to Sell
Price per Unit to Sell


Annual Report



Shareholding Pattern


How Its Work


Our team will contact you via Email or Phone

Contact our team to get the best prices for the shares you wish to buy or sell.



Secure Transaction Process

After deal confirmation and KYC, the seller transfers shares to our Demat account, while the buyer safely sends payment to our bank account.



Deal Completion

The final stage of the transaction where legal documents are signed, payments are settled, and ownership is officially transferred.