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Shree Renuka Sugars Ltd

NSE: RENUKA BSE: 532670Energy

Incorporated in 1995, Shree Renuka Sugars Ltd does manufacturing and refining of sugar, ethyl alcohol, ethanol, generation and sale of power[1]

23.2
52W: ₹22.8 — ₹35.8
PE 0 · Book ₹5.85 · +297% vs book
Market Cap₹4,930 Cr
Stock P/EPrice to Earnings
ROCE2.96%Return on Capital
ROE0%Return on Equity
Div. Yield0%Face Value ₹1

Weaknesses

  • Company has low interest coverage ratio.
  • The company has delivered a poor sales growth of 9.00% over past five years.
  • Earnings include an other income of Rs.154 Cr.

Shareholding Pattern

Promoters62.48%
FIIs3.52%
DIIs10.09%
Public23.87%
CategoryJun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoters62.48%62.48%62.48%62.48%62.48%62.48%62.48%62.48%
FIIs3.43%4.25%0.83.28%1.03.46%0.23.37%0.13.49%0.13.3%0.23.52%0.2
DIIs10.08%10.12%0.010.13%0.010.15%0.010.16%0.010.11%0.110.11%10.09%0.0
Public23.98%23.15%0.824.09%0.923.89%0.223.97%0.123.91%0.124.09%0.223.87%0.2

Financial Statements

MetricDec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales2,8753,2082,8912,4402,4282,5201,9032,3232,1122,270
Expenses2,6632,9952,8122,2012,4482,2821,9702,4841,8772,282
Operating Profit21221380239-20239-67-160235-12
OPM %7%7%3%10%-1%9%-4%-7%11%-1%
Net Profit-159-122-13520-19554-215-319-24-141
EPS ₹-0.75-0.57-0.640.1-0.920.26-1.01-1.5-0.11-0.66

AI Insights

Revenue Trend

Mar 2026 revenue at ₹8,522Cr, down 17% YoY. OPM at 0%.

Debt Position

Borrowings at ₹5,590Cr. Debt-to-equity ratio: N/Ax. High leverage — monitor closely.

Capex Cycle

CWIP at ₹24Cr (1% of fixed assets). Moderate ongoing capital expenditure.

Institutional Flow

DIIs: 10.09% (-0.01pp change). FIIs: 3.52% (+0.59pp change). Promoters hold 62.48%.

Margin & Efficiency

ROCE declining from 0% (Mar 2015) to -3% (Mar 2026). Working capital days: -92.

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