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BSE · 538212

Sharp Investments Ltd.

GSM · GSM 0 Promoter stake −6.25pp
0.35
₹8 Cr market cap
P/E
35
EPS
₹0.01
Book value
₹1.17
ROE
2.79%
ROCE
0.03%
Debt / equity
0

Revenue & net profit by period

Bars = revenue (₹ Cr) · line = net profit (₹ Cr). Straight from disclosed results.

00.250.50.751Mar 19Mar 20Mar 21Mar 22Mar 23Mar 24Mar 25Mar 26
Revenue (₹ Cr) Net profit (₹ Cr)

Latest period: revenue ₹0 Cr with net profit ₹0 Cr — a 3.85% net margin, versus 0.11% the period before.

Shareholding

As of 2026-06-30

19.38%
promoter holding
  • Promoter19.38%
  • Public80.62%

73,447 shareholders on record

Promoter holding trend

Each disclosed period, oldest to newest

25.63%19.38%Sep 24Jun 26

52-week position

Where the current price sits in its yearly band

0.290.350.66

The band spans 2.28× from low to high.

Risk flags

Derived from disclosed data

  • Under exchange surveillance — GSM · GSM 0. Trading may carry price bands, periodic call auction or higher margins.
  • Promoter holding fell 6.25 percentage points to 19.38% in the latest disclosure.

Peer comparison

Finance & Investments · ranked #470 of 600 by market cap · medians across 50 industry peers

P/E
35vs 92.25 peer med
P/B
0.3vs 3.28 peer med
ROE %
2.79vs 12.8 peer med
Margin %
53.13vs 14.14 peer med
CompanyMkt capP/EP/BROEMargin
Bajaj Finance Limited₹6,56,465 Cr119.955.7516.68%23.34%
Life Insurance Corporation of India₹5,36,233 Cr9.333.0232.53%10.69%
Bajaj Finserv Ltd.₹3,08,010 Cr121.033.9512.58%6.58%
Shriram Finance Limited₹2,45,813 Cr65.052.3315.21%22.94%
Jio Financial Services Ltd.₹1,64,735 Cr580.191.181.17%0.44%
Cholamandalam Investment & Finance Company Ltd.₹1,53,802 Cr93.335.0517.18%16.84%
Tata Capital Limited₹1,53,579 Cr102.23.4310.57%16.53%
Bajaj Holdings & Investment Ltd.₹1,21,855 Cr47.321.6711.33%0.95%
Billionbrains Garage Ventures Ltd.₹1,21,526 Cr174.5112.5221.58%44.85%
Muthoot Finance Limited₹1,21,159 Cr36.173.127.06%33.93%
Sharp Investments Ltd.(this company)₹8 Cr350.292.79%53.13%

AI analysis

AI-generated · google/gemini-2.5-flash

Sharp Investments Ltd. (SHARPINVESTMENTSLTD) is listed with a market capitalization of Rs 9 Cr. The company's revenue for the most recent period was Rs 0.26 Cr, with a profit margin of 53.13%. Earnings per share (EPS) stood at Rs 0.01. The stock's 52-week trading range was between Rs 0.29 and Rs 0.7.

Positives

  • +The company has a negligible debt-to-equity ratio of 0.
  • +The profit margin is 53.13%, indicating efficient cost management relative to revenue in the latest period.

Negatives

  • Promoter holding decreased from an unspecified value in Mar 2018 to 25.6286% in Mar 2026 (exact historical values are missing).
  • Return on Capital Employed (ROCE) is very low at 0.0279, suggesting inefficient use of capital.
  • The company has reported negative quarterly net profits in three out of six disclosed quarters: -Rs 0.08 Cr in Jun 2025, -Rs 0.13 Cr in Sept 2025, and -Rs 0.04 Cr in Dec 2025.
  • The company is under GSM Stage 0 surveillance, indicating regulatory concerns.

Financial Performance

Sharp Investments Ltd. reported revenue of Rs 0.26 Cr for Mar 2026. The net profit for the same period was Rs 0.01 Cr. The company has a profit margin of 53.13%. Annual revenue has shown fluctuation, with Rs 0.0859 Cr in Mar 2022, Rs 0.1083 Cr in Mar 2023, Rs 0.2566 Cr in Mar 2024, and Rs 0.1769 Cr in Mar 2025.

Profitability & Returns

The company's Return on Equity (ROE) is 2.8%, and Return on Capital Employed (ROCE) is 0.0279. The Earnings Per Share (EPS) for the latest period is Rs 0.01. Profit margin for the latest reported period is 53.13%.

Balance Sheet

Sharp Investments Ltd. holds a Book Value of Rs 1.17. The company has a debt-to-equity ratio of 0, indicating no debt. No dividend yield is reported.

Ownership & Pledges

There is no promoter pledge reported. The company has a total of 74297 shareholders as of Mar 2026, which is a significant increase from 1387 shareholders in Mar 2018.

Regulatory & Surveillance

The company is under GSM (Graded Surveillance Measure) Stage 0. This indicates that it is subject to increased monitoring by regulatory bodies due to specific criteria being met, although the measures are currently at the lowest level.

Data as of — price: 2026-07-30 · financials: Mar 26 · shareholding: Jun 26. Figures are restated only when the company files again, so a period shown here is the most recent one on record — not necessarily the current quarter.

How this is produced: every figure above is computed from exchange filings and financial data mirrored by IPO Plus — no figure is generated or estimated. This is a factual summary for information and education only. It is not investment advice, not a recommendation to buy, sell or hold any security, and contains no price targets. Verify against the company's filings and the exchanges before any decision.

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