Refex Renewables & Infrastructur Share Price
Sector: Construction Services
905.00 -24.40 (-2.63%)
- 1D
- 5D
- 1M
- 3M
- 6M
- 1Y
- 5Y
- MAX
Price Range
Today’s Low
905.00
Today’s High
945.00
52 Week Low
430.00
52 Week High
1166.30
Key Metrics
- Market Cap (In Cr) 402.35
- Beta -0.01
- Div. Yield (%) 0
- P/B -
- TTM P/E -
- Sector P/E 25.08
- Open Price 925
- Prev Close 929.4
Refex Renewables & Infrastructur Analysis
Price Analysis
-
1 Week-1.92%
-
3 Months50.95%
-
6 Month7.76%
-
YTD8.42%
-
1 Year110.84%
Risk Meter
- 54% Low risk
- 54% Moderate risk
- 54% Balanced Risk
- 54% High risk
- 54% Extreme risk
Refex Renewables & Infrastructur Financials
- INCOME
- BALANCE SHEET
- Cashflow
- Period
- 2025
- Total Revenue
- 67.99
- Selling/ General/ Admin Expenses Total
- 11.59
- Depreciation/ Amortization
- 18.05
- Other Operating Expenses Total
- 23.48
- Total Operating Expense
- 53.48
- Operating Income
- 14.51
- Net Income Before Taxes
- -22.69
- Net Income
- -36.31
- Diluted Normalized EPS
- -82.58
- Period
- 2025
- Total Assets
- 517.35
- Total Liabilities
- 562.43
- Total Equity
- -45.08
- Tangible Book Valueper Share Common Eq
- -186.54
- Period
- 2025
- Cashfrom Operating Activities
- 27.02
- Cashfrom Investing Activities
- -40
- Cashfrom Financing Activities
- 17.67
- Net Changein Cash
- 4.69
- Period
- 2024
- Total Revenue
- 76.09
- Selling/ General/ Admin Expenses Total
- 36.83
- Depreciation/ Amortization
- 17.65
- Other Operating Expenses Total
- 0.67
- Total Operating Expense
- 49.47
- Operating Income
- 26.62
- Net Income Before Taxes
- -8.32
- Net Income
- -24.71
- Diluted Normalized EPS
- -71.3
- Period
- 2024
- Total Assets
- 510.13
- Total Liabilities
- 496.55
- Total Equity
- 13.58
- Tangible Book Valueper Share Common Eq
- -54.1
- Period
- 2024
- Cashfrom Operating Activities
- 120.5
- Cashfrom Investing Activities
- -14.5
- Cashfrom Financing Activities
- -106.55
- Net Changein Cash
- -0.55
- Period
- 2023
- Total Revenue
- 76.64
- Selling/ General/ Admin Expenses Total
- 50.81
- Depreciation/ Amortization
- 16.06
- Other Operating Expenses Total
- 2.79
- Total Operating Expense
- 81.84
- Operating Income
- -5.19
- Net Income Before Taxes
- -22.57
- Net Income
- -23.38
- Diluted Normalized EPS
- -71.1
- Period
- 2023
- Total Assets
- 602.69
- Total Liabilities
- 565.09
- Total Equity
- 37.61
- Tangible Book Valueper Share Common Eq
- -0.8
- Period
- 2023
- Cashfrom Operating Activities
- -54.58
- Cashfrom Investing Activities
- -73.22
- Cashfrom Financing Activities
- 124.81
- Net Changein Cash
- -3.39
- Period
- 2022
- Total Revenue
- 53.5
- Selling/ General/ Admin Expenses Total
- 17.98
- Depreciation/ Amortization
- 17.06
- Other Operating Expenses Total
- 40.83
- Total Operating Expense
- 75.59
- Operating Income
- -22.09
- Net Income Before Taxes
- -32.44
- Net Income
- -32.48
- Diluted Normalized EPS
- -99.68
- Period
- 2022
- Total Assets
- 552.83
- Total Liabilities
- 491.83
- Total Equity
- 61
- Tangible Book Valueper Share Common Eq
- 49.98
- Period
- 2022
- Cashfrom Operating Activities
- 84.27
- Cashfrom Investing Activities
- -158.59
- Cashfrom Financing Activities
- 73.91
- Net Changein Cash
- -0.55
- Period
- 2021
- Total Revenue
- 71.9
- Selling/ General/ Admin Expenses Total
- 33.24
- Depreciation/ Amortization
- 14.87
- Other Operating Expenses Total
- -12.46
- Total Operating Expense
- 78.21
- Operating Income
- -6.31
- Net Income Before Taxes
- -41.59
- Net Income
- -26.75
- Diluted Normalized EPS
- -43.85
- Period
- 2021
- Total Assets
- 389.75
- Total Liabilities
- 203.18
- Total Equity
- 186.57
- Tangible Book Valueper Share Common Eq
- 327.01
- Period
- 2021
- Cashfrom Operating Activities
- -46.4
- Cashfrom Investing Activities
- -62.21
- Cashfrom Financing Activities
- 118.77
- Net Changein Cash
- 10.16
- Period
- 2020
- Total Revenue
- 62.61
- Selling/ General/ Admin Expenses Total
- 11.14
- Depreciation/ Amortization
- 4.26
- Total Operating Expense
- 61.6
- Operating Income
- 1.02
- Net Income Before Taxes
- -19.36
- Net Income
- -21.57
- Diluted Normalized EPS
- -48.05
- Period
- 2020
- Total Assets
- 308.1
- Total Liabilities
- 187.1
- Total Equity
- 121
- Tangible Book Valueper Share Common Eq
- 156.84
- Period
- 2020
- Cashfrom Operating Activities
- -13.63
- Cashfrom Investing Activities
- 5.33
- Cashfrom Financing Activities
- 4.46
- Net Changein Cash
- -3.83
- Period
- 2025-03-31
- Total Revenue
- 20.07
- Selling/ General/ Admin Expenses Total
- 3.51
- Depreciation/ Amortization
- 4.59
- Other Operating Expenses Total
- 5.83
- Total Operating Expense
- 14.35
- Operating Income
- 5.72
- Net Income Before Taxes
- -1.01
- Net Income
- -4.72
- Diluted Normalized EPS
- -11.35
- Period
- 2025-03-31
- Total Assets
- 517.35
- Total Liabilities
- 562.43
- Total Equity
- -45.08
- Tangible Book Valueper Share Common Eq
- -186.54
- Period
- 2025-03-31
- Cashfrom Operating Activities
- 27.02
- Cashfrom Investing Activities
- -40
- Cashfrom Financing Activities
- 17.67
- Net Changein Cash
- 4.69
- Period
- 2024-12-31
- Total Revenue
- 15.9
- Selling/ General/ Admin Expenses Total
- 2.91
- Depreciation/ Amortization
- 4.51
- Other Operating Expenses Total
- 5.13
- Total Operating Expense
- 11.93
- Operating Income
- 3.97
- Net Income Before Taxes
- -6.52
- Net Income
- -10.05
- Diluted Normalized EPS
- -24
- Period
- 2024-12-31
- Period
- 2024-12-31
- Period
- 2024-09-30
- Total Revenue
- 14
- Selling/ General/ Admin Expenses Total
- 2.77
- Depreciation/ Amortization
- 4.52
- Other Operating Expenses Total
- 5.94
- Total Operating Expense
- 13.57
- Operating Income
- 0.43
- Net Income Before Taxes
- -9.58
- Net Income
- -12.71
- Diluted Normalized EPS
- -28.28
- Period
- 2024-09-30
- Total Assets
- 512.74
- Total Liabilities
- 541.4
- Total Equity
- -28.66
- Tangible Book Valueper Share Common Eq
- -148.13
- Period
- 2024-09-30
- Cashfrom Operating Activities
- 16.55
- Cashfrom Investing Activities
- -29.79
- Cashfrom Financing Activities
- 10.45
- Net Changein Cash
- -2.79
- Period
- 2024-06-30
- Total Revenue
- 18.01
- Selling/ General/ Admin Expenses Total
- 2.4
- Depreciation/ Amortization
- 4.43
- Other Operating Expenses Total
- 6.58
- Total Operating Expense
- 13.62
- Operating Income
- 4.39
- Net Income Before Taxes
- -5.57
- Net Income
- -8.59
- Diluted Normalized EPS
- -18.94
- Period
- 2024-06-30
- Period
- 2024-06-30
- Period
- 2024-03-31
- Total Revenue
- 17.81
- Selling/ General/ Admin Expenses Total
- 3.03
- Depreciation/ Amortization
- 4.64
- Other Operating Expenses Total
- 7.72
- Total Operating Expense
- 15.76
- Operating Income
- 2.05
- Net Income Before Taxes
- -4.91
- Net Income
- -8.06
- Diluted Normalized EPS
- -17.95
- Period
- 2024-03-31
- Total Assets
- 510.13
- Total Liabilities
- 496.55
- Total Equity
- 13.58
- Tangible Book Valueper Share Common Eq
- -54.1
- Period
- 2024-03-31
- Cashfrom Operating Activities
- 120.5
- Cashfrom Investing Activities
- -14.5
- Cashfrom Financing Activities
- -106.55
- Net Changein Cash
- -0.55
- Period
- 2023-12-31
- Total Revenue
- 20.55
- Selling/ General/ Admin Expenses Total
- 2.78
- Depreciation/ Amortization
- 4.68
- Other Operating Expenses Total
- 7.69
- Total Operating Expense
- 17.14
- Operating Income
- 3.41
- Net Income Before Taxes
- -4.84
- Net Income
- -8.54
- Diluted Normalized EPS
- -23.54
- Period
- 2023-12-31
- Period
- 2023-12-31
Forecast
Income Sheet (In Cr)
Net Income Vs Revenue
Returns Metrics (In Cr)
ROA Vs ROE
Forecast
Balance Sheet
Asset vs Liability
Forecast
Cash Flow
Operating vs Investing
Refex Renewables & Infrastructur Technical
Moving Average
SMA
- 5 Day923.79
- 10 Day932.2
- 20 Day911.64
- 50 Day836.06
- 100 Day746.44
- 300 Day812.21
Refex Renewables & Infrastructur Peers
- Price
- Ratio
- Name
- Latest Price
- Change
- % Change
- 52W High
- 52W Low
- Mkt. Cap
- Il&fs Engineering Construction
- 35.5
- -0.4
- -1.11
- 48.4
- 19.05
- 465.48
- Nimbus Projects
- 223.9
- -0.05
- -0.02
- 280
- 38.11
- 242.67
- Refex Renewables & Infrastructur
- 905
- -24.4
- -2.63
- 1166.3
- 430
- 402.35
- Sobhagya Merchantile
- 498.25
- 9.75
- 2
- 488.5
- 27.35
- 418.53
- Twamev Construction And Infra
- 26.21
- -0.05
- -0.19
- 61.2
- 24.5
- 406.25
- Name
- P/E (X)
- P/B (X)
- ROE %
- OPM
- Il&fs Engineering Construction
- -
- -
- -
- -62.87
- Nimbus Projects
- 3.81
- 0.88
- -
- 39.92
- Refex Renewables & Infrastructur
- -
- -
- -42.66
- -47.55
- Sobhagya Merchantile
- 22.41
- 5.13
- 34.48
- 11.67
- Twamev Construction And Infra
- 4.11
- 1.33
- 3.46
- 10.32
Refex Renewables & Infrastructur Shareholding
Shareholding Pattern
*Promoter pledging: 9.07%
Shareholding Trend
Shareholding(%) v/s Date
Corporate Actions
- Board Meeting
- AGM
- Dividends
- Bonus
- Split
- Rights
- Meeting Date
- Purpose
- 21-May-25
- Audited Results
- 08-May-25
- Audited Results
- 05-Feb-25
- Quarterly Results
- 06-Dec-24
- To consider raising of funds
- 08-Nov-24
- Quarterly Results
- 13-Aug-24
- Quarterly Results & Fund Raising
- 22-May-24
- Audited Results & Rights issue
- 13-Feb-24
- Quarterly Results
- 07-Nov-23
- Quarterly Results
- 03-Nov-23
- Quarterly Results
- Meeting Date
- Announced on
- Purpose
- 29-Sept-23
- 20-Sept-23
- AGM
- 30-Sept-22
- 10-Aug-22
- AGM
- 29-Dec-20
- 07-Dec-20
- AGM
- -
- 16-Aug-24
- AGM



