Lodha Developers Ltd. IPO

Lodha Developers Ltd. IPO Details

Check out the issue details for Lodha Developers Ltd. IPO as disclosed in SEBI.

IPO Price

₹ 486

Price Band

₹ 483 - 486

Issue Size

2500 Cr.

Issue Type

Book Built

Open

2021-04-07

Close

2021-04-09

Listingprice

₹ 439

ListingGain

-9.67%

Listing Date

2021-04-19

CMP

₹ 1119.8

Current Return

130.41%

Lodha Developers Ltd. News

Lodha Developers moves up as its consolidated net profit jumps 87% in Q231 Oct 2025, 12:49PM Lodha Developers’ consolidated net profit jumps 87% in Q2 31 Oct 2025, 12:39PM Lodha Developers acquires 100% stake in Chaitanya Bilva14 Oct 2025, 10:13AM Lodha Developers acquires one land parcel in MMR during Q2FY2613 Oct 2025, 10:08AM Lodha Developers reports 7% growth in pre-sales during Q2FY268 Oct 2025, 11:53AM Lodha Developers raises Rs 350 crore through NCDs 16 Sep 2025, 2:47PM Lodha Developers informs about allotment of NCDs16 Sep 2025, 12:26PM Lodha Developers signs MoU with Maharashtra government 12 Sep 2025, 9:39AM Lodha Developers informs about resignation of director19 Aug 2025, 10:10AM Lodha Developers to launch Rs 17,000 crore worth residential projects by March next year28 Jul 2025, 4:15PM Lodha Developers - Quaterly Results26 Jul 2025, 7:28PM Lodha Developers - Quaterly Results26 Jul 2025, 7:28PM Lodha Developers informs about committee meeting21 Jul 2025, 5:25PM Lodha Developers raises Rs 300 crore through NCDs9 Jul 2025, 11:22AM Lodha Developers reports 10% growth in sales bookings in Q1FY26 8 Jul 2025, 9:17AM Macrotech Developers planning to invest over Rs 8,000 crore for expansion in FY26 28 Apr 2025, 10:58AM Macrotech Developers informs about newspaper advertisement26 Apr 2025, 1:08PM Macrotech Developers reports 38% rise in Q4 consolidated net profit25 Apr 2025, 12:38PM Macrotech Developers - Quaterly Results24 Apr 2025, 8:53PM Macrotech Developers - Quaterly Results24 Apr 2025, 8:53PM

Company Financials

You can get the following financial statements of Lodha Developers Ltd. as of now.

Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Net Sales 5925.66 8353.3 9225.3 9459.5 12677.3
Total Expenditure 4722.13 7475.8 7345 8774.1 9306.5
Operating Profit 1203.53 877.5 1880.3 685.4 3370.8
Other Income 336.05 1179.2 363 1958.9 435.2
Interest 854.65 401.9 529.1 545 614.4
Depreciation 68.93 56.1 124.2 251.3 295.9
Exceptional Items -460 0 -1177.4 -263.9 0
Profit Before Tax 156 1598.7 412.6 1584.1 2895.7
Provision for Tax 33.86 465.1 -43.4 420.3 706.1
Net Profit 122.14 1133.6 456 1163.8 2189.6
Adjusted EPS (Rs.) 0.15 1.18 0.47 1.17 2.19

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Equity and Liabilities
Share Capital 395.88 481.5 481.8 994.5 997.6
Total Reserves 4158.6 11694.6 12089.9 15999.1 18106.2
Borrowings 1291.68 2068.3 1574.3 969.7 652.2
Other N/C liabilities 141.6 435.6 278.5 391.6 474.9
Current liabilities 29874.01 22881.8 25712.3 29269.6 28514.7
Total Liabilities 35861.77 37561.8 40136.8 47624.5 48745.6
Assets
Net Block 1304.16 1351 1710.1 898.2 721.4
Capital WIP 6.29 0 0 0 0
Intangible WIP 0 0 0 0 0
Investments 384.22 222.7 345.1 377.4 1225.3
Loans & Advances 2255.7 3460.6 1476.2 1305.8 986
Other N/C Assets 411.65 514 333.3 535.9 750.2
Current Assets 31499.75 32013.5 36272.1 44507.2 45062.7
Total Assets 35861.77 37561.8 40136.8 47624.5 48745.6
* Other Non-current Liabilities include Net deferred Liabilities

Quarterly Result (All Figures in Cr.)

PARTICULARS Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025
Other Income 91.2 86.9 155 145.7 63.9
Profit Before Tax 523.1 763.5 981 868 429.3
Tax 129.7 198.8 206.9 223.7 93.7
Profit After Tax 393.4 564.7 774.1 644.3 335.6
Adjusted EPS (Rs) 3.95 5.66 7.76 6.46 3.36

Share Holding Pattern

Promoter Pledging %

Date Promoter % Pledge %
Sep 2025 71.87 0
Jun 2025 71.9 0
Mar 2025 71.94 0
Dec 2024 71.98 0
Sep 2024 72.11 0
* Figures given above are % of equity capital

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025
Profit from operations 156 1598.7 412.6 1584.1 2895.7
Adjustment 2455.87 1629.9 2577.9 880.4 739.9
Changes in Assets & Liabilities 1119.73 -1122.6 -1153.3 -662.7 -1870.8
Tax Paid 86.61 -145.4 -203.8 -22 -582.2
Operating Cash Flow 3818.21 1960.6 1633.4 1779.8 1182.6
Investing Cash Flow 83.66 -1624.4 1684.3 -1930.7 -217.8
Financing Cash Flow -3808.12 -202.3 -2376.9 667.3 -1940.8
Net Cash Flow 93.75 133.9 940.8 516.4 -976
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