GFL

NSE: GFLLIMITED · Holding Company

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Snapshot

Unlock GFL's vital signs

Growth · Profitability · Valuation · Strength · Conviction

Company Overview

Business

GFL Limited is a holding company primarily engaged in the operation and management of multiplex cinema theatres across India under the INOX brand. Additionally, the company maintains interests in real estate and property development activities.

Business Model

The company generates revenue through the operation of its multiplex cinema chain, including ticket sales, food and beverage services, and advertising. It also derives value from its real estate and property development portfolio.

  • Multiplexes:154
  • Screens:651
  • Cities:69

Growth Outlook

Growth is primarily driven by the expansion of the multiplex footprint and the strategic development of real estate assets. Future performance remains tied to consumer discretionary spending on entertainment and the health of the Indian property market.

Key Risks

  • Regulatory and Licensing Risk. The cinema exhibition business is subject to stringent government regulations, entertainment taxes, and licensing requirements that can impact operational costs.
  • Content Dependency. Revenue is highly dependent on the performance and availability of film content, which is subject to unpredictable audience reception.
  • Real Estate Market Volatility. The company's property development activities are susceptible to cyclical downturns and fluctuations in the Indian real estate market.
  • Competition from OTT Platforms. The increasing popularity of over-the-top (OTT) streaming services poses a significant threat to traditional cinema footfall and long-term growth.

Price

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Key Metrics

REVENUE

₹5 Cr

TTM · consolidated

+38.6%YoY

NET PROFIT

₹37 Cr

TTM · consolidated

+148.8%YoY

EPS

₹3.36

TTM · consolidated

+148.8%YoY

RETURN ON EQUITY

1.5%

TTM · consolidated

+4.4 ppYoY

P/E

13.4x

Q4 FY26 · consolidated

13.4 vs 183.5x5Y avg

NET PROFIT MARGIN

2838.9%

Q4 FY26 · consolidated

+5016.3 ppYoY

DEBT TO EQUITY

0.5x

Q4 FY21 · consolidated

+0.11xYoY

Peers · Holding Company

CompanyMkt Cap (Cr)P/EEV/EBITDARev Gr YoYEBITDA MgnROEROCE1Y Return
GFLGFLLIMITED
44913.3638.6%48.0%1.5%-31.1%
BF InvestmentBFINVEST
1,3296.3323.1%84.0%3.9%-5.1%
Abans FinancialAFSL
1,0187.40687.1%1.0%12.3%-9.9%
Nurture Well IndustriesNWIL
8717.4834.0%9.0%30.2%
Max India LtdMAXIND
737-7.0031.0%-58.0%-32.8%-15.2%
Nisus FinanceNISUS
36425.0%-44.9%

As of Q4 FY26

Financials