Rane (Madras) Limited (NSE:RML) — Stock Price

Rs767.60 INR
▼ -2.37% today

Rane (Madras) Limited (NSE:RML) is currently trading at Rs767.60 INR, down 2.37% today. Over the past 52 weeks, shares have ranged between Rs620.00 and Rs1003.25. This page tracks Rane (Madras) Limited's live share price on the NSE exchange, its daily price and volume history, and — where reported — its income statement, balance sheet, cash flow statement, and earnings history. For company valuation and market capitalisation context, see RML stock market capitalisation.

Rane (Madras) Limited (RML) Stock Price Chart — Daily History & Trading Volume

The chart below tracks Rane (Madras) Limited's daily closing share price and trading volume on the NSE exchange over the past year, giving a clear view of recent price momentum and liquidity.

Rane (Madras) Limited Income Statement — Revenue, Profit & Earnings by Year

Rane (Madras) Limited's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 20262025202420232022
Total Revenue Rs38.63 Billion Rs34.06 Billion Rs34.63 Billion Rs23.54 Billion Rs17.42 Billion
Cost of Revenue Rs29.45 Billion Rs25.65 Billion Rs30.19 Billion Rs21.12 Billion Rs11.27 Billion
Gross Profit Rs9.17 Billion Rs8.41 Billion Rs6.46 Billion Rs6.87 Billion Rs6.14 Billion
Research & Development Rs303.60 Million Rs150.50 Million Rs78.80 Million Rs98.40 Million
SG&A Rs4.73 Billion Rs433.50 Million Rs336.40 Million Rs276.10 Million
Total Operating Expenses Rs7.25 Billion Rs6.91 Billion Rs2.73 Billion Rs1.53 Billion Rs1.09 Billion
Operating Income Rs1.93 Billion Rs1.50 Billion Rs874.70 Million Rs893.80 Million Rs-114.10 Million
EBITDA Rs3.40 Billion Rs2.85 Billion Rs456.30 Million Rs1.88 Billion Rs1.27 Billion
EBIT Rs1.93 Billion Rs1.52 Billion Rs-454.00 Million Rs917.50 Million Rs461.30 Million
Interest Expense Rs593.00 Million Rs745.40 Million Rs571.10 Million Rs347.60 Million Rs206.00 Million
Income Before Tax Rs1.46 Billion Rs779.00 Million Rs-1.03 Billion Rs584.60 Million Rs255.30 Million
Income Tax Expense Rs382.80 Million Rs402.50 Million Rs-1.06 Billion Rs284.40 Million Rs148.70 Million
Net Income Rs1.07 Billion Rs376.50 Million Rs30.20 Million Rs300.20 Million Rs106.60 Million

Rane (Madras) Limited Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes Rane (Madras) Limited's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 20262025202420232022
Total Assets Rs25.21 Billion Rs22.69 Billion Rs13.69 Billion Rs13.49 Billion Rs12.30 Billion
Total Current Assets Rs14.62 Billion Rs12.89 Billion Rs11.66 Billion Rs7.64 Billion Rs6.43 Billion
Cash & Equivalents Rs336.90 Million Rs70.30 Million Rs284.80 Million Rs18.40 Million
Short-term Investments Rs94.90 Million Rs40.60 Million Rs8.90 Million Rs5.60 Million
Net Receivables Rs7.97 Billion Rs7.10 Billion Rs3.39 Billion Rs4.35 Billion Rs3.55 Billion
Inventory Rs4.97 Billion Rs4.34 Billion Rs4.21 Billion Rs2.54 Billion Rs2.11 Billion
Property, Plant & Equipment Rs7.58 Billion Rs4.75 Billion Rs5.11 Billion Rs4.87 Billion
Goodwill Rs5.70 Million Rs46.30 Million Rs46.30 Million Rs46.30 Million Rs46.30 Million
Total Liabilities Rs17.70 Billion Rs15.98 Billion Rs11.13 Billion Rs11.07 Billion Rs10.02 Billion
Total Current Liabilities Rs15.96 Billion Rs13.09 Billion Rs8.15 Billion Rs8.26 Billion Rs7.25 Billion
Long-term Debt Rs2.17 Billion Rs2.62 Billion Rs2.44 Billion Rs2.34 Billion
Net Debt Rs7.05 Billion Rs7.78 Billion Rs7.05 Billion Rs6.40 Billion Rs5.72 Billion
Total Stockholder Equity Rs7.51 Billion Rs6.71 Billion Rs2.56 Billion Rs2.42 Billion Rs2.28 Billion
Retained Earnings Rs-954.60 Million Rs-1.32 Billion Rs-1.35 Billion Rs198.80 Million

Rane (Madras) Limited Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how Rane (Madras) Limited generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 20262025202420232022
Operating Cash Flow Rs1.64 Billion Rs2.48 Billion Rs1.91 Billion Rs876.40 Million Rs-56.50 Million
Capital Expenditures Rs1.91 Billion Rs1.85 Billion Rs1.37 Billion Rs1.08 Billion Rs1.00 Billion
Free Cash Flow Rs-270.30 Million Rs637.00 Million Rs-171.00 Million Rs-206.80 Million Rs-1.06 Billion
Investing Cash Flow Rs94.00 Million Rs-1.53 Billion Rs-1.57 Billion Rs-1.06 Billion Rs-1.24 Billion
Financing Cash Flow Rs-1.50 Billion Rs-1.02 Billion Rs-553.60 Million Rs351.20 Million Rs1.34 Billion
Dividends Paid Rs-220.20 Million Rs-268.10 Million Rs-193.20 Million
Stock-Based Compensation
Depreciation Rs1.47 Billion Rs1.32 Billion Rs910.30 Million Rs966.00 Million Rs810.10 Million
Change in Cash Rs124.50 Million Rs44.30 Million Rs17.90 Million Rs167.30 Million Rs49.90 Million

Rane (Madras) Limited Earnings History — EPS Actual vs. Analyst Estimates

Track Rane (Madras) Limited's quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.

Report Date EPS Actual EPS Estimate Surprise
May 25, 2026
Jan 28, 2026
Oct 22, 2025
Jul 22, 2025
May 07, 2025
Jan 23, 2025
Apr 30, 2018 13.76 11.72 +17.41%
Dec 31, 2017 11.88 3.10 +283.23%