Tourism Finance Corporation of India Ltd.
TFCILTD Competitor Analysis
TFCILTD | IRFC | PFC | RECLTD | IFCI | |
---|---|---|---|---|---|
Overview | |||||
Current price (₹) As on 30 Sept, 2025, 03:51 PM | 73.35 1.73% | 123.51 -0.6% | 410.25 0.93% | 372.85 0.23% | 54.05 1.73% |
Market cap (₹ Cr) | 679 | 1,61,409 | 1,35,387 | 98,180 | 14,563 |
Report Card | |||||
Quality | |||||
Growth | |||||
Momentum | |||||
Value | |||||
Past ReturnsAbsolute Returns Shown | |||||
1D | 1.73% | -0.6% | 0.93% | 0.23% | 1.73% |
1W | 0.76% | -2.97% | -0.64% | -3.58% | -5.61% |
1M | 21.82% | 4.57% | 8.05% | 6.53% | 5.81% |
3M | 54.71% | -12.85% | -4.01% | -7.34% | -17.06% |
6M | 115.93% | -0.73% | -0.97% | -13.13% | 25.49% |
1Y | 121.13% | -22.18% | -15.94% | -32.76% | -18.23% |
5Y | 911.72% | -- | 494.91% | 401.68% | 800.83% |
Income StatementAnnual data as on 30 Sept 2025. All values in ₹ Cr. YoY growth displayed | |||||
Net Interest Income | 151.45 6.99% | 6,658 1.74% | 41,832 26.25% | 22,235 26.64% | 1,341 -5.23% |
NIM (%) | 7.7 -- | 130.44 -- | 4.01 -- | 4.15 -- | 10.04 -- |
Profit Before Tax | 128.02 12.43% | 6,502 1.4% | 38,233 14.49% | 20,502 11.92% | 754.13 -11.24% |
Profit After Tax | 103.81 13.94% | 6,502 1.4% | 30,115 14.65% | 16,269 12.17% | 353.71 4.08% |
EPS | 11.21 11.21% | 4.98 1.43% | 69.67 16.35% | 60.2 12.33% | 0.65 54.76% |
Balance Sheet & Cash FlowAnnual data as on 30 Sept 2025. All values in ₹ Cr. YoY growth displayed | |||||
Net Worth | 1,216 11.56% | 52,668 7.09% | 1,17,738 16.4% | 77,818 13.12% | 8,691 115.44% |
Total Assets | 2,102 -0.19% | 4,88,835 0.77% | 11,78,087 13.4% | 6,14,502 12.1% | 25,724 35.98% |
Total Outside Liabilities | 885.9 -12.81% | 4,36,167 0.06% | 10,60,348 13.08% | 5,36,684 11.95% | 17,033 14.45% |
Cash from Operating Activity | 70.34 1159.34% | 8,230 3.99% | -92,269 5.67% | -39,064 32.33% | -983.74 -8387.62% |
Cash from Investment Activity | 12.22 6210% | -0.1 98.67% | -2,312 32.18% | -1,302 28.89% | -69.73 54.99% |
Cash from Financing Activity | 26.02 218.06% | -2,572 68.03% | 94,258 -6.92% | 40,034 -32.82% | 415.28 2.69% |
Net Cash Flow | 108.57 475.93% | 5,658 4145.18% | -323.46 -1113.98% | -332.52 -1072% | -638.19 -344.21% |
RatiosAnnual data as on 30 Sept 2025. | |||||
PB | 1.29 | 3.09 | 1.16 | 1.45 | 2.45 |
ROA | 6.50 | 2.42 | 2.72 | 2.80 | 0 |
ROE (%) | 9.00 | 12.77 | 27.52 | 22.19 | 0 |
Dividend Yield (%) | 0 | 0 | 0 | 0 | 0 |
Debt to Equity | 0.71 | 7.83 | 8.25 | 6.38 | 1.33 |