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company details

Transline Technologies Limited

  • https://www.translineindia.com/
  • Sector: Electronics
  • CHRYSEUM SCORE: 9.50/10.00

₹140.00 0.00 (0.00%)

As on 05 Dec, 2025
L 140.00 52 Week Range H 162.00
Company Description : Transline Technologies is a leading technology company that specializes in building and designing security surveillance systems, biometrics, and advanced digital solutions.
Company Overview
  • Name of Company Transline Technologies Limited
  • Sector Electronics
  • ISIN INE0OR401022
  • Scrip Code Transline Technologies
  • CIN U72900DL2001PLC109496
  • Pan No AABCT3687J
  • Face Value 10
  • Price ₹ 140.00
  • No. of Shares outstanding 8.97 Cr.
  • Market Cap 1,255.45 Cr
Financials
  • Revenue from operations ₹ 371.08 Cr.
  • EBITDA 79.37 Cr.
  • EBITDA Margin % 21.39%
  • Profit After Tax ₹ 48.33 Cr.
  • PAT Margin % 13.00%
  • EPS 5.39
  • Stock P/E 25.97
  • Book Value Per Share 19.91
  • P/B 7.03
  • Debt/Equity 0.48
Other Key Statistics
  • 52 week High/Low 162.00/140.00
  • Dividend Per Share 0.00
  • Dividend Yield 0.00%
  • Sales Growth - 3 years 109.55%
  • EBITDA Growth - 3 years 210.55%
  • PAT Growth - 3 years 336.78%
  • EPS Growth - 3 years 347.86%
  • ROE 27.07%
  • ROCE 40.33%
  • Cash Equivalents 0.13
All figures below are in INR Crores unless otherwise stated

Peer Comparison

Key Financials - FY25
Company Name Transline Technologies Ltd Nelco Limited Orient Technologies Ltd
Listing Status Unlisted Listed Listed
Revenue from Operations 371.08 304.87 839.53
Total Income 371.91 310.05 846.29
Finance Cost 7.05 5.52 1.22
Depreciation & Amortization 3.75 22.16 5.12
Total Expenses 303.34 290.58 778.27
EBITDA 79.37 47.15 74.36
PAT 48.33 9.53 50.43
No. of Shares Outstanding 8.97 2.28 4.16
EPS (in ₹) 5.39 4.18 12.11
Share Capital 17.94 22.82 41.64
Total Net Worth 178.56 105.08 329.68
Total Assets 397.47 287.45 525.01
Total Debt 86.08 37.95 1.40
Key Metrics:
CMP* 140.00 810.50 342.05
Market Cap (In Cr.) 1,255.45 1,847.94 1,422.93
Market Cap/Sales 3.38 5.96 1.68
EPS (Earnings Per Share) 5.39 4.18 12.11
BVPS (Book Value Per Share) 19.91 46.05 79.17
P/E 25.97 193.90 28.25
P/BV 7.03 17.60 4.32
EBITDA Margin 21.39% 15.47% 8.86%
ROE 27.07% 9.07% 15.30%
ROA 12.16% 3.32% 9.61%
*Market Price in ₹ as on 05 Dec, 2025

Profit Loss

FY25 FY24 FY23 FY22 FY21
Revenue from operations 371.08 228.04 113.97 40.33 58.47
Y-o-Y Revenue Growth 62.73% 100.09% 182.59% -31.02% -60.25%
Other Income 0.83 0.43 0.81 2.82 0.86
Total Income 371.91 228.47 114.78 43.15 59.33
Total Expenses (Excludes Interest and Depreciation) 292.54 175.56 100.17 40.50 56.93
Operating Profit (After deducting Depreciation) 74.79 50.99 12.84 -1.31 1.21
OPM % 20.15% 22.36% 11.27% -3.25% 2.07%
EBITDA 79.37 52.91 14.61 2.65 2.40
Depreciation 3.75 1.49 0.96 1.14 0.33
EBIT 75.62 51.42 13.65 1.51 2.07
Interest 7.05 2.67 1.34 0.70 0.76
EBT before Exceptional Items 68.57 48.75 12.31 0.81 1.31
Prior period/Exceptional /Extra Ordinary Items 0.00 0.00 0.00 0.00 0.00
Profit before tax/EBT 68.57 48.75 12.31 0.81 1.31
Tax 20.24 13.18 2.27 0.23 0.23
Net Profit 48.33 35.57 10.04 0.58 1.08
EPS in Rs 5.39 3.97 46.36 0.06 46.54
EPS Change % 35.87% -91.44% 71,578.16% -99.86% 47.33%
EBITDA Change % 50.01% 262.15% 451.32% 10.42% -63.91%
Profit growth 35.87% 254.28% 1,631.03% -46.30% -64.71%
ROCE 40.33% 54.15% 39.33% 4.97% 6.47%
ROE 27.07% 42.36% 33.28% 2.88% 5.52%
Debt / Equity Ratio 0.48 0.49 0.23 0.32 0.44
Sales growth 3Years 109.55%
Sales growth 5Years 20.33%
Dividend per share 0.00

Balance Sheet

FY25 FY24 FY23 FY22 FY21
Share Capital 17.94 16.21 7.57 3.44 3.44
Reserves 160.62 67.77 22.60 16.70 16.12
Total shareholders' funds 178.56 83.98 30.17 20.14 19.56
Borrowings 86.08 41.43 6.90 6.41 8.65
Other Liabilities 5.11 8.85 8.81 1.92 3.03
Total Liabilities 218.92 134.13 54.64 36.98 37.36
Fixed Assets 16.84 14.31 6.11 4.55 5.38
Capital WIP 0.00 0.00 0.00 0.00 0.00
Investments 0.07 0.07 0.00 4.20 0.20
Other Assets 69.63 39.42 9.37 2.18 0.50
Total Assets 397.47 218.11 84.81 57.12 56.92
Cash Equivalents 0.13 2.30 0.15 5.36 9.75
Total Current liability 209.95 123.16 50.10 26.75 24.95
Total Assets -Total Current liabilty 187.52 94.95 34.71 30.37 31.97

Cash Flow

FY25 FY24 FY23 FY22 FY21
Net Cash from / (used in) Operating Activity -81.07 -38.05 -6.05 2.86 0.89
Net Cash from / (used in) Investing Activity -4.87 -9.87 1.68 -4.31 -4.21
Net Cash from / (used in) Financing Activity 83.78 50.08 -0.84 -2.94 0.29
Net Inc/Dec In Cash And Cash Equivalents -2.17 2.15 -5.21 -4.39 -3.03

Share Holding Pattern

No. of Shares in Crs. % Holding
Promoters 6.35 70.81%
Non Promoters 2.62 29.19%

News

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