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Overview (18 Sep 2026)
Home First Finance Company India Ltd
HOMEFIRST
INE481N01025
Housing Finance Company
Result was last declared on 25 Jul 2025
68
Prev. Close
Previous Close
1173.3
Current Close
1241.3
Current High
1265
Current Low
1158.2
52 Week High
1313
52 Week Low
893.95
Resistance 1
1284.80
Resistance 2
1328.30
Support 1
1178.00
Support 2
1071.20
Std Deviation
1.59%
DMA 200
1131.56
DMA 50
1200.43
DMA 20
1197.50
Fundamentals and Ratios
Standalone
Trailing EPS
52.35
Forwad EPS
57.57
Trailing P/E
23.71
Forward P/E
21.56
PEG Ratio
3.21
Mkt. Cap (Cr)
Market Cap (Cr)
12974.72
Total Debt(Cr)
Tot. Debt(Cr)
10590.05
Reserve (Cr)
4335.67
Book Value
417.29
P/BV Ratio
2.97
ROCE(%)
10.00
ROE
36.00
Financial Result
Standalone
Type
Jun-26
Mar-26
Dec-25
Sep-25
Jun-25
FY25-26
Revenue
538.01
501.41
482.25
477.32
453.61
1914.59
Other Income
1.83
3.33
1.43
1.73
1.65
8.13
Total Income
539.84
504.74
483.68
479.05
455.27
1922.72
Interest
208.45
195.32
194.10
202.62
200.28
792.32
Expenditure
-332.21
-309.55
-300.84
-305.81
-298.77
-1214.97
PBDT
0.00
0.00
0.00
0.00
0.00
0.00
Depreciation
-5.30
-5.10
-4.88
-4.54
-4.39
-18.90
PBT
207.64
195.19
182.83
173.23
156.50
707.75
Tax
-47.78
-45.75
-42.63
-41.39
-37.61
-167.37
Equity
20.91
20.87
20.79
20.71
20.65
20.87
OPM
38.46
38.67
37.80
36.16
34.38
36.81
Net Profit
159.85
149.45
140.2
131.85
118.89
540.38
NPM
29.61
29.61
28.99
27.52
26.11
28.11
EPS
15.31
14.35
13.52
12.76
11.69
52.35
Consolidated
Type
FY25-26
Revenue
1914.59
Other Income
8.13
Total Income
1922.72
Interest
792.32
Expenditure
-1214.97
PBDT
0.00
Depreciation
-18.90
PBT
707.75
Tax
-167.37
Equity
20.87
OPM
36.81
Net Profit
540.38
NPM
28.11
EPS
52.35
Annual Reports
Corporate Action
Quarterly Result
Dividend
Year
Dividend Type
Amount
Remark
Ex Date
2026
Final Dividend
5.20
Final Dividend - Rs. - 5.2000
29 May 2026
2025
Final Dividend
3.70
Final Dividend - Rs. - 3.7000
30 May 2025
2024
Final Dividend
3.40
Final Dividend - Rs. - 3.4000
07 Jun 2024
2023
Final Dividend
2.60
Final Dividend - Rs. - 2.6000
19 May 2023
Bonus
Split
Mutual Fund Holddings