Sterilite Power Transmission Ltd

Last Traded Price : ₹525

About

Sterlite Power Transmission Limited is a leading global developer of power transmission infrastructure, operating primarily in India and Brazil. The company designs, constructs, owns and operates high-voltage transmission networks and manufactures critical products such as extra-high-voltage (EHV) cables, power conductors and Optical Ground Wire (OPGW). It also offers solutions to upgrade and strengthen existing utility networks through its Solutions business and leverages its infrastructure for fiber and telecom networks via its Convergence business. With a strategic focus on addressing the industrys key constraints of time, space and capital, Sterlite-Power supports the transition toward a more connected, reliable and sustainable energy ecosystem.

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Fundamental


Company Name :
Sterilite Power Transmission Ltd
Scrip Name :
Sterlite Power
ISIN No. :
INE110V01015
No. of Outstanding Shares :
141,070,000
PAN No. :
AAVCS7209P
Face Value :
₹2.00
EPS :
₹-1.11
PE ratio :
-473.74
P/S Ratio :
1.48
Market Capitalization :
₹7,406.18 Crore
Book value :

P/BV :

52 Week High :
₹ 675.00 (02/01/25)
52 Week Low :
₹ 490.00 (17/05/25)
Lifetime High :
₹ 675.00 (02/01/25)
Lifetime Low :
₹ 41.49 (29/05/20)
DRHP Filed ?
Yes
Available on :
NSDL and CDSL
ROFR Require :
No
Sector :
Power & Electricity
CIN :
U74120PN2015PLC156643
Registration Date :
05/05/2015

Balance Sheet (RS in Millions)

Particulars 2025 2024
Non-Current Assets
Property, plant and equipment 5,015.35 4,005.14
Capital work-in-progress 902.99 216.1
Intangible assets 335.75 334.81
Right of use assets 268.85 375.22
Intangible assets under development 1.69 2.76
Loans 100 -
Other financial assets 1,534.72 2,717.52
Income tax assets (net) 411.14 270.74
Deferred tax assets (net) 415.54 132.73
Other non-current assets 1,272.73 883.24
Current assets
Inventories 3,669.24 4,686.87
Trade receivables 10,823.80 12,609.81
Cash and cash equivalents 3,422.67 2,398.39
Other bank balances 8,812.69 3,670.84
Other financial assets 1,045.55 884.34
Other current assets 4,558.31 4,974.80
Assets classified as held for sale - 94,135.39
Total Assets 42,591.02 1,32,298.70
Equity
Equity share capital 251.5 244.86
Instruments entirely equity in nature 153.17 -
Securities premium 8,485.50 4,482.02
Retained earnings 5,578.43 9,148.50
Money received against share warrants 142 -
Other -13.97 -945.61
Non-controlling interest -257.93 398.03
Non-current liabilities
Borrowings 1,245.06 -
Lease liabilities 134.81 263.16
Deferred tax liabilities (net) 170.94 116.32
Other non-current liabilities 5,076.85 4,014.45
Current liabilities
Borrowings 2,027.15 7,705.27
Lease liabilities 152.79 124.87
Acceptances 9,857.84 9,654.85
Trade payables
Total outstanding dues of micro enterprises/small ent. 795.93 606.34
Total outstanding dues of credits other than micro enterprises/small ent. 4,012.15 3,201.12
Other financial liabilities 758.57 1,250.56
Employee benefit obligations 48.54 41.42
Other current liabilities 3,824.69 4,194.17
Current tax liabilities (net) 147 222.05
Liabilities directly associated with assets classified as held for sale - 87,576.32
Total Equity and Liabilities 42,591.02 1,32,298.70

Profit & Loss Statement (RS in Millions)

Particulars 2024 2023
Income
Revenue from operations 49,056.41 32,668.44
Other income 372.85 97.03
Total income 49,429.26 32,765.47
Expenses
Cost of raw material and components consumed 24,318.98 18,138.45
Purchase of traded goods 587.47 674.55
Construction material and contract expenses 12,474.74 6,929.86
(Increase)/decrease in inventories of finished goods, work-in-progress and traded goods 302.44 -1,761.80
Employee benefits expense 1,258.15 942.68
Other expenses 5,568.92 3,941.45
Total expenses 44,510.70 28,865.19
EBITDA
4,918.56 3,900.28
Depreciation and amortisation expense 359.05 378.16
Finance costs 1,910.27 1,469.65
Finance income -319.35 -175.55
Profit before tax from continuing operations 2,968.59 2,228.02
Tax expense:
Current tax 829.79 454.04
Income tax for earlier years -11.31 -29.69
Deferred tax -28.38 103.81
Total tax expense 790.1 528.16
Profit for the year from continuing operations
2,178.49 1,699.86
Discontinuing operations
Profit before tax from discontinuing operations 961.97 2,034.79
Tax expense of discontinuing operations 190.59 514.54
Profit for the year from discontinuing operations 771.38 1,520.25
Profit for the year
2,949.87 3,220.11
Other comprehensive income
Items reclassified to P&L later: Net movement on cash flow hedges 787.04 -2,336.56
Income tax effect on cash flow hedges -28.7 530.74
Non-reclassified: Re-measurement loss (benefit) on defined benefit plans 0.65 -3.84
Income tax effect on re-measurement 0.16 0.97
Other equity OIC 2,327.67 -12.29
Equity income tax effect -532.57 -
Discontinuing operations OIC - -
Discontinuing operations equity OIC -2,541.73 -2,795.40
Discontinuing equity income tax effect - -12.98
Other comprehensive income (total) 12.2 -4,629.36
Total comprehensive income for the year 2,962.07 -1,409.25
Earnings per equity share
For continuing operations
Basic 24.1 26.32
Diluted 23.95 26.27
For discontinuing operations
For continuing and discontinuing operations

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


Financial Ratios

Particulars 2025 2024
Current Ratio 1.42 1
Debt Equity Ratio 0.18 0.34
Debt Service Coverage Ratio 1.19 0.94
Return on Equity Ratio 16% 15%
Inventory Turnover Ratio 9.12 6.32
Trade Receivables Turnover Ratio 4.3 3.41
Trade Payables Turnover Ratio 2.64 2.39
Net Profit Ratio 4% 4%
Return on Capital Employed 21% 16%
Return on Investment 6% 4%

Price per Unit 525
No. of Unit to Buy

Total Investment 0

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