TSF Investments Ltd.

416.2

10.8 (2.7%)growUp

TSFINV Share Price
As on April 20, 2026
SectorFinancial Services
IndustryFinance
Basic IndustryInvestment Company
Market Cap9,004 Cr
P/E Ratio39.17
Dividend Yield0.28 %
Trendline Performance

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T&C*

Company Information


Market Insights
Open405.4
High429.85
NSE SymbolTSFINV
Close416.2
Low397.45
BSE Symbol
Previous Years High/Low
1 Year High701.5
3 Year High701.5
5 Year High701.5
1 Year Low321
3 Year Low82.7
5 Year Low63

Technicals


IndicatorsValueSignal
5-DMA398.6Bullish
10-DMA382.73Bullish
20-DMA369.99Bullish
50-DMA395.3Bullish
100-DMA425.85Bearish
200-DMA488.63Bearish

Historical Performance


1 Year
21.3%
3 Years
392.3%
5 Years
554%
10 Years
N/A

Shareholding Pattern


Values Analysis


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Profit & Loss

Below figures are in Rs. Crores


ParticularsMar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Other Income5459354157
Operating Profit1,2122,488487271159
Interest1112482
Depreciation3029164415
Profit Before Tax1,1712,446467219142
Consolidated Net Profit4,1215,3312,3761,632739
Adjusted EPS19241175
Compounded Sales Growth
Compounded Profit Growth
Stock Price CAGR
Return on Equity

Quarterly Results

Below figures are in Rs. Crores


ParticularsSep-2024Dec-2024Mar-2025Jul-2025Sep-2025
Sales1,70,7541,35,9361,28,5521,22,1891,05,161
Expenses63,04256,55752,45745,45934,856
Operating Profit1,07,71279,37976,09676,73070,304
OPM %63%58%59%63%67%
Other Income33,91231,75927,33324,87918,947
Interest77,78058,58459,24862,13753,713
Depreciation2,3451,6811,3851,2771,221
Profit Before Tax61,49850,87342,79638,19534,318
Tax %25%25%26%29%35%
Net Profit46,14938,15131,85727,29622,446
EPS in Rs8369585042

Balance Sheet

Below figures are in Rs. Crores


ParticularsMar-2025Mar-2024Mar-2023Mar-2022Mar-2021
Share Capital1,1111,1111,1111,111756
Total Reserves54,95446,81734,58928,90921,195
Minority Interest---------------
Total Non-Current Liabilities2,0721,3394288681,013
Total Liabilities58,36649,47836,34630,95523,061
Capital Work in Progress---------------
Total Assets58,36649,47836,34630,95523,061
0%
Positive
(80 to 100)
Neutral
(60 to 79)
Negative
(0 to 59)
  • The stock has a high PE of 39.17, indicating expensive valuation or elevated growth expectations.
  • Over the last three years, the stock delivered a strong 3-year price CAGR of 70.5%, indicating sustained price appreciation.
  • The stock carries a high beta of 1.6, implying higher volatility and elevated risk.
  • In the last financial year, the company reported an EBITDA of ₹2691 million, reflecting positive operating performance.
  • In the previous financial year, the company generated revenue of ₹2760 million, suggesting a mid-sized operation.

Investment Calculator


Investment Amount:

Investment Amount: ₹ 1000000
Current Value: ₹ 1225379.1
No. of Shares: 2944 (Approx)
Performance:22.5%
P/L: ₹225379.1
NIFTY Performance: 1%
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