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Rainbow Foundations Ltd

RAINBOWF BSE Real Estate Services Real Estate

Rainbow Foundations Limited develops real estate properties in India. The company engages in the construction of residential flats, commercial complexes, and resorts. It also develops and markets plots and parcels of la…

ISIN INE230F01014
Listed β€”
Quarters tracked 5
Filings 20 docs

About

Rainbow Foundations Limited develops real estate properties in India. The company engages in the construction of residential flats, commercial complexes, and resorts. It also develops and markets plots and parcels of land. The company was incorporated in 1994 and is based in Chennai, India.

Quarterly Results

Rs. Crores Β· hover row for definition
Metric Jun 2026 Mar 2026 Dec 2025 Jun 2025 Mar 2025
Sales 84.96 43.26 38.37 50.34 32.94
Expenses 72.12 27.24 27.56 39.19 24.41
Operating Profit 12.84 16.02 10.81 11.15 8.53
OPM % 15.11 37.03 28.17 22.15 25.90
Other Income 0.51 0.34 -0.52 0.22 0.31
Depreciation 0.07 0.07 0.09 0.09 0.14
Interest 8.33 10.76 8.96 9.42 5.45
Profit before tax 4.95 5.53 1.24 1.86 3.25
Tax % 24.44 29.29 41.13 20.43 6.77
Net Profit 3.75 3.91 0.73 1.48 3.03
EPS in Rs 0.76 0.79 0.15 0.30 0.61

Profit & Loss

Annual Β· Rs. Crores
Metric Mar 2026Mar 2025
Sales 167.00156.00
Expenses 119.00117.00
Operating Profit 48.0040.00
OPM % 28.0025.00
Other Income 0.001.00
Interest 37.0029.00
Depreciation 0.000.00
Profit before tax 10.0011.00
Tax % 30.0027.00
Net Profit 7.008.00
EPS in Rs 1.431.61
Dividend Payout % 0.000.00

Balance Sheet

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025
Equity Capital 50.0050.00
Reserves 38.0031.00
Borrowings 481.00266.00
Other Liabilities 273.00393.00
Total Liabilities 841.00739.00
Fixed Assets 2.002.00
CWIP 0.000.00
Investments 4.004.00
Other Assets 835.00733.00
Total Assets 841.00739.00

Cash Flows

Annual Β· Rs. Crores β€” latest first
Metric Mar 2026Mar 2025
Cash from Operating Activity -24.00-81.00
Cash from Investing Activity -7.00-2.00
Cash from Financing Activity 32.0083.00
Net Cash Flow 1.001.00
Free Cash Flow -24.00-81.00
CFO/OP % -44.00-199.00

Ratios

Annual Β· Days / % β€” latest first
Metric Mar 2026Mar 2025
Debtor Days 96.00141.00
Inventory Days 2,431.002,119.00
Days Payable 36.0010.00
Cash Conversion Cycle 2,491.002,249.00
Working Capital Days 474.00171.00
ROCE % 11.00β€”

Shareholding Pattern

% holding β€” latest first
Holder Jun 2026 Mar 2026 Dec 2025 Sep 2025 Jun 2025 Mar 2025 Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023
Promoters 41.48 41.48 41.48 41.48 41.48 41.48 41.48 41.48 41.48 41.48 41.48 41.48
Public 58.53 58.53 58.52 58.53 58.53 58.52 58.52 58.53 58.52 58.53 58.53 58.52
No. of Shareholders 4,474 4,518 4,559 4,827 5,014 4,773 4,490 4,385 3,975 4,022 3,669 3,156

Corporate Actions

1 records
ActionEx DateRecord DateRatioAmount (β‚Ή)Notes
Other 10 Mar 2022 11 Mar 2022 β€” β€” Right Issue of Equity Shares

Announcements

5 filings