Mufin Green Finance Limited

BSE:542774 Stock Report

Market Cap: ₹18.2b

Mufin Green Finance Past Earnings Performance

Past criteria checks 3/6

Mufin Green Finance has been growing earnings at an average annual rate of 25.2%, while the Diversified Financial industry saw earnings growing at 19.7% annually. Revenues have been growing at an average rate of 43.6% per year. Mufin Green Finance's return on equity is 7.2%, and it has net margins of 27.7%.

Key information

25.2%

Earnings growth rate

21.0%

EPS growth rate

Diversified Financial Industry Growth18.9%
Revenue growth rate43.6%
Return on equity7.2%
Net Margin27.7%
Next Earnings Update13 Feb 2025

Recent past performance updates

Recent updates

Revenue & Expenses Breakdown

How Mufin Green Finance makes and spends money. Based on latest reported earnings, on an LTM basis.


Earnings and Revenue History

BSE:542774 Revenue, expenses and earnings (INR Millions)
DateRevenueEarningsG+A ExpensesR&D Expenses
30 Sep 246781882250
30 Jun 245531681950
31 Mar 245091611750
31 Dec 234431471410
30 Sep 233891241270
30 Jun 233361071100
31 Mar 2326381880
31 Dec 2218244690
30 Sep 2211927410
30 Jun 2212162150
31 Mar 22150109100
31 Dec 2118715710
30 Sep 2124822010
30 Jun 2122319810
31 Mar 2123019910
31 Dec 201698420
30 Sep 201103420
30 Jun 2073-610
01 Apr 2010-6120
31 Dec 19312000
30 Sep 19141800
30 Jun 19152000
31 Mar 19342700
31 Mar 182100
31 Mar 171000

Quality Earnings: 542774 has a high level of non-cash earnings.

Growing Profit Margin: 542774's current net profit margins (27.7%) are lower than last year (31.9%).


Free Cash Flow vs Earnings Analysis


Past Earnings Growth Analysis

Earnings Trend: 542774's earnings have grown significantly by 25.2% per year over the past 5 years.

Accelerating Growth: 542774's earnings growth over the past year (51.3%) exceeds its 5-year average (25.2% per year).

Earnings vs Industry: 542774 earnings growth over the past year (51.3%) exceeded the Diversified Financial industry 24.5%.


Return on Equity

High ROE: 542774's Return on Equity (7.2%) is considered low.


Return on Assets


Return on Capital Employed


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