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Digital Fibre Infrastructure T Share Price

BSE: 543859
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Last updated 01 Jan, 1970, 17:30 IST

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Digital Fibre Infrastructure T Shareholder Returns

Mkt Cap Cr
0.00

P/E
0.00

P/B
0.00

ROE
1.20%

D/E
1.70

ROCE
5.56%

Div. Yield
0.00%

EPS(TTM)
9.65
Turnover
0.11

EV/EBITDA
0.00

Net Margin
0.00%

Op. Margin
0.00%

ROA
-0.14%

Quick Ratio
0.00

Curr. Ratio
14.13
Based on fundamentals, this stock's
Step 3 of 5
Valuation
Fairly Valued
Digital Fibre appears to be fairly valued compared to its peers
Step 4 of 5
Earnings
Good
Digital Fibre revenue, operating profit and net profit are growing
Peer Comparison
Peer comparison — key ratios
NameMkt Cap CrP/EP/BROED/EROCEBook ValueDiv. YieldTurnoverEPS(TTM)
INDIGRID INFRASTRUCT TRST20,443.3042.952.394.70%1.957.14%140.228.02%0.1116.15
VERTIS INFRASTRUCTURE TST16,609.8025.171.9210.76%1.059.67%84.819.29%0.118.98
POWERGRID INFRA. INVITS8,549.449.001.0010.52%0.1310.42%0.9213.30%0.108.78
INDUS INFRA TRUST7,781.1620.341.008.06%0.785.94%127.437.32%0.096.66
RAAJMARG INFRA INVEST T7,056.001.180.62100.000.00%0.007.84
CITIUS TRANSNET INV TRUST6,472.100.000.000.00%0.00-0.64
SHREM INVIT6,218.397.270.8414.26%1.9310.09%87.7810.53%0.097.79
IRB INVIT FUND4,801.8514.180.694.14%0.004.03%0.000.00%0.077.88
CAPITAL INFRA TRUST2,623.809.190.946.62%0.856.88%77.6319.02%0.128.38
ANANTAM HIGHWAYS TRUST2,265.0511.580.978.49%0.006.92%118.8447.33%0.0511.41

Digital Fibre Infrastructure T Financials

Full statement

Income Statement · Consolidated

Income Statement · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue₹18,553.00₹16,729.00₹15,496.00₹11,712.50
Other Income₹215.00₹466.00₹135.00₹31.10
Total Revenue₹18,768.00₹17,195.00₹15,631.00₹11,743.60
Total Expenses₹19,849.00₹18,995.00₹17,726.00₹15,721.70
Profit Before Tax-₹1,081.00-₹1,800.00-₹2,095.00-₹3,978.10
Tax-₹749.00-₹992.00-₹1,006.00-₹1,396.30
Profit After Tax-₹332.00-₹808.00-₹1,089.00-₹2,581.80
EPS - Basic₹3.86₹3.00₹1.91-₹5.60
EPS - Diluted₹3.86₹3.00₹1.91-₹5.60

Cash Flow · Consolidated

Cash Flow · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax-₹1,081.00-₹1,800.00-₹2,095.00-₹3,978.10
Income before WC changes₹16,615.00₹15,000.00₹13,935.00₹10,402.80
Change in Assets₹2,601.00-₹3.00-₹933.00-₹1,551.40
Change in Liabilities-₹729.00-₹372.00-₹521.00-₹540.80
Change in WC₹1,872.00-₹375.00-₹1,454.00-₹2,092.20
Cash flow from Operations₹18,490.00₹14,625.00₹12,492.00₹8,309.10
Cash flow from Investing-₹12,607.00-₹3,533.00-₹6,450.00-₹23,137.60
Cash flow from Financing-₹5,904.00-₹11,034.00-₹6,052.00₹14,904.10
Total Cash Flow-₹21.00₹58.00-₹10.00₹75.60
Cash (Start of the year)₹135.00₹77.00₹87.00₹11.40
Cash (End of the year)₹114.00₹135.00₹77.00₹87.00

Balance Sheet · Consolidated

Balance Sheet · Consolidated — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹197,143.00₹206,791.00₹201,291.00₹192,910.90
Current Assets₹4,665.00₹5,707.00₹5,917.00₹7,737.40
Total Assets₹201,808.00₹212,498.00₹207,208.00₹200,648.30
Current Liabilities₹21,680.00₹21,902.00₹24,549.00₹2,587.90
Net Current Asset-₹17,015.00-₹16,195.00-₹18,632.00₹5,149.50
Non-Current Liabilities₹132,108.00₹140,229.00₹129,507.00₹141,920.90
Equity Capital₹48,020.00₹50,367.00₹53,152.00₹56,139.50
Total Equity & Liabilities₹201,808.00₹212,498.00₹207,208.00₹200,648.30

Income Statement · Standalone

Income Statement · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Revenue₹5,866.00₹5,883.00₹5,883.00₹5,011.46
Other Income₹0.00₹223.00₹2.00₹0.00
Total Revenue₹5,866.00₹6,106.00₹5,885.00₹5,011.46
Total Expenses₹3,971.00₹3,983.00₹3,983.00₹3,442.21
Profit Before Tax₹1,895.00₹2,123.00₹1,902.00₹1,569.25
Tax₹0.00₹0.00₹0.00₹0.00
Profit After Tax₹1,895.00₹2,123.00₹1,902.00₹1,569.25
EPS - Basic₹9.72₹10.89₹9.75₹9.73
EPS - Diluted₹9.72₹10.89₹9.75₹9.73

Cash Flow · Standalone

Cash Flow · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Profit before tax₹1,895.00₹2,123.00₹1,902.00₹1,569.25
Income before WC changes₹5,861.00₹5,878.00₹5,878.00₹5,005.28
Change in Assets₹0.00₹0.00₹0.00-₹11.86
Change in Liabilities-₹1.00-₹1.00-₹5.00₹1.69
Change in WC-₹1.00-₹1.00-₹5.00-₹10.18
Cash flow from Operations₹5,860.00₹5,877.00₹5,873.00₹4,995.11
Cash flow from Investing₹306.00₹0.00₹0.00-₹12,914.00
Cash flow from Financing-₹6,166.00-₹5,877.00-₹5,877.00₹7,921.80
Total Cash Flow₹0.00₹0.00-₹4.00₹2.91
Cash (Start of the year)₹0.00₹0.00₹4.00₹0.79
Cash (End of the year)₹0.00₹0.00₹0.00₹3.70

Balance Sheet · Standalone

Balance Sheet · Standalone — all values in INR Crore
ParticularsMar 2025Mar 2024Mar 2023Mar 2022
Non-Current Assets₹52,234.00₹52,577.00₹52,885.00₹52,885.37
Current Assets₹383.00₹346.00₹40.00₹43.69
Total Assets₹52,617.00₹52,923.00₹52,925.00₹52,929.06
Current Liabilities₹245.00₹31.00₹28.00₹31.24
Net Current Asset₹138.00₹315.00₹12.00₹12.45
Non-Current Liabilities₹33,001.00₹33,409.00₹33,638.00₹33,640.81
Equity Capital₹19,371.00₹19,483.00₹19,259.00₹19,257.01
Total Equity & Liabilities₹52,617.00₹52,923.00₹52,925.00₹52,929.06
* All values are in INR Crore
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About Digital Fibre Infrastructure T

Digital Fibre Infrastructure T logo
ISIN
INE0CDI23017
Sector Market Cap

Digital Fibre Infrastructure Trust (Trust) is an India-based infrastructure investment trust (lnvlT). The objective of the Trust is to carry on the activity of investment in infrastructure projects, which is the business of providing fiber infrastructure and related operations and maintenance services. The investment objectives of the Trust are to carry on the activities of an infrastructure investment trust. Infinite India Investment Management Limited is the investment manager of the Trust.

Digital Fibre Infrastructure T Financial Highlights

  • Revenue: Digital Fibre Infrastructure T reported revenue of ₹18,678.00 crore in FY26 vs ₹18,768.00 crore in FY25. It showed a decrease of 0.48% on a yearly basis.
  • Operating Profit: Digital Fibre Infrastructure T reported an operating loss of ₹998.00 crore in FY26 vs ₹1,081.00 crore in FY25. It showed an increase of 7.68% on a year-on-year basis.
  • Net Profit: Digital Fibre Infrastructure T reported a net loss of ₹273.00 crore in FY26 vs ₹332.00 crore in FY25. It showed an increase of 17.77% on a yearly basis.

Digital Fibre Infrastructure T Quarterly Result Highlights

  • Digital Fibre Infrastructure T reported revenue of ₹4,657.00 crore in Mar 2026, compared with ₹4,663.00 crore in Dec 2025, representing a decrease of 0.13% on a quarter-on-quarter (QoQ) basis.
  • Digital Fibre Infrastructure T reported an operating loss of ₹153.00 crore in Mar 2026, compared with ₹260.00 crore in Dec 2025, representing an increase of 41.15% on a quarter-on-quarter (QoQ) basis.
  • Digital Fibre Infrastructure T reported a profit of ₹2.00 crore in Mar 2026, compared with ₹76.00 crore in Dec 2025, reflecting an increase of 102.63% on a QoQ basis.
  • The earnings per share (EPS) of Digital Fibre Infrastructure T stood at ₹3.86 during Mar 2026.
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Promoters
48.99%
FII
0.00%
Other DII
0.00%
Retail and other
51.02%
Mutual funds
0.00%
Foreign institutions - FII
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