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Tourism Finance Corporation of India Ltd Industry:  Finance - Term-Lending Institutions
BSE Code ISIN Demat Book Value
(R)
NSE
Symbol
Div Yield
%
Market Cap
(Rs.Cr)
P/E
(TTM)
EPS
(TTM)
Face Value
(R)
526650 INE305A01015 131.3634497 TFCILTD 0.82 3,373.25 30.95 11.77 10
     ParticularsMar 2025
(Rs.Cr)
Mar 2024
(Rs.Cr)
Mar 2023
(Rs.Cr)
Mar 2022
(Rs.Cr)
Mar 2021
(Rs.Cr)
Mar 2020
(Rs.Cr)
INCOME :      
Operating Income252.50241.85231.45254.19258.45265.52
Other Income 7.560.180.250.130.050.14
Total Income260.06242.03231.70254.32258.50265.66
EXPENDITURE :      
Operating Expenses & Administrative Expenses 9.687.908.267.616.746.56
Miscellaneous Expenses 7.246.1410.172.113.3126.20
Interest 100.17100.2990.65120.04130.12120.72
Less : Pre-operative Expenses Capitalised 0.000.000.000.000.000.00
Employee Cost 14.1012.7011.5915.1817.3314.10
Total Expenditure131.19127.03120.67144.94157.50167.58
Gross Profit128.85115.01111.03109.37101.0098.10
Depreciation 0.831.131.661.471.150.64
Profit Before Tax128.02113.88109.37107.9099.8597.46
Tax24.1621.8921.4523.1519.2316.25
Fringe Benefit tax0.000.000.000.000.000.00
Deferred Tax0.040.88-0.03-0.57-0.120.18
Reported Net Profit103.8191.1187.9585.3280.7581.02
Extraordinary Items 5.640.000.100.000.000.00
Adjusted Net Profit98.1791.1187.8585.3280.7581.02
Adjustment below Net Profit -22.01-17.63-15.84-16.28-15.95-19.21
P & L Balance brought forward139.88130.55114.3696.6572.1872.63
Appropriations 68.2064.1555.9151.3340.3362.26
P & L Balance carried down153.49139.88130.55114.3696.6572.18
Dividend0.000.000.000.000.000.00
Preference Dividend0.000.000.000.000.000.00
Equity Dividend %30.0025.0024.0012.008.000.00
Dividend Per Share(Rs)3.002.502.401.200.800.00
Earnings Per Share-Unit Curr11.2110.089.739.4410.0010.04
Earnings Per Share(Adj)-Unit Curr11.2110.089.739.4410.0010.04
Book Value-Unit Curr131.36120.57112.55103.6898.0793.35
Book Value(Adj)-Unit Curr131.36120.57112.55103.6898.0793.35