Sun Drops Energia Limited

Sun Drops Energia Limited

Other Unlisted Active
INE0H1U01025 Est. 2019
Current Price 24 Aug 2026
₹298.00

Min lot: 250 shares

Market Cap ₹1,031 Cr
P/E Ratio 20.1x
EPS ₹14.81
Face Value ₹12.53
Book Value ₹213.30
P/B Ratio 1.40x
Min Lot 250 sh.
Total Debt ₹49 Cr

Price Trend

Period Change
Period High
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Prices shown are indicative unlisted-market bid prices, updated periodically.

About Sun Drops Energia Limited

Sun Drops Energia Limited, based in Gujarat and established in 2019, is the solar power arm of the KP Group, working across development, construction, ownership, operation and maintenance of solar, hybrid and energy-storage projects. it operates both as an Independent Power Producer and as a partner to Captive Power Producers, serving industrial and commercial customers.

The company has grown a solar and hybrid asset base across Gujarat and has moved into battery energy storage systems (BESS) as part of supporting India's clean-energy transition. As a subsidiary of KPI Green Energy Limited, Sun Drops Energia forms part of the group's broader renewable-energy expansion plans.

Financial Highlights

All figures are in Crores (₹)

FY24FY25 YOY %CAGR %
Net Sales168.1366.7+118.1%+118.1%
Other Income0.552.29+316.4%+316.4%
Total Income168.6369.0+118.8%+118.8%
Operating Profit39.777.7+96.0%+96.0%
Interest2.564.63+80.9%+80.9%
Depreciation1.923.96+106.3%+106.3%
Total Expenditure133.5299.1+124.1%+124.1%
Exceptional Income0.00-0.75
PBT35.269.2+96.5%+96.5%
TAX8.0117.9+123.5%+123.5%
PAT27.251.3+88.6%+88.6%
EPS (₹)₹9.83₹14.81+50.7%+50.7%
FY24FY25 YOY %CAGR %
Shareholder Funds207.5738.1+255.7%+255.7%
Total Debt18.649.1+164.5%+164.5%
Current Liabilities103.647.0-54.6%-54.6%
Non Current Liabilities30.086.5+188.6%+188.6%
Total Liabilities207.5738.1+255.7%+255.7%
Current Assets144.1362.1+151.2%+151.2%
Non Current Assets63.4376.0+493.5%+493.5%
Total Assets207.5738.1+255.7%+255.7%
FY24FY25 YOY %CAGR %
Cash Flow From Operating Activities34.1-156.8-560.4%-360.4%
Cash Flow From Investing Activities-19.8-121.3-511.3%-511.3%
Cash Flow From Financing Activities15.0348.1+2,227.1%+2,227.1%
Free Cash Flow14.2-278.1-2,056.7%-1,856.7%
FY24FY25YOY %
ROE(%)13.106.90-47.3%
ROCE(%)19.1010.50-45.0%
ROA(%)13.106.90-47.3%
Current Ratio(x)1.407.70+450.0%
Debt / Equity(x)0.090.07-22.2%

No documents available yet.

Net Sales (in Cr.)

Total Income (in Cr.)

Net Profit (in Cr.)

Operating Profit (in Cr.)

Shareholder Funds (in Cr.)

Total Assets (in Cr.)

Operating Cash Flow (in Cr.)

Investing Cash Flow (in Cr.)

Financing Cash Flow (in Cr.)

Free Cash Flow (in Cr.)

Company Information

ISIN INE0H1U01025
Industry Other
Category Pre IPO
Incorporated 2019
Min Lot Size 250 shares
Demat Required Yes
ROFR Applicable No

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