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Financial Results · Q1 FY27

IIFL Finance Q1 FY27 Results: Net Profit ₹713.1 Cr, Up 160.1% YoY

IIFL Finance Ltd reported revenue from operations of ₹3,919 Cr (+32.7% YoY) and net profit of ₹713.1 Cr (+160.1% YoY) for Q1 FY27.

Q1 FY27 at a glance · ₹ crore
MetricQ1 FY27Q4 FY26Q1 FY26
Revenue from operations3919.23692.52952.8
Other income2.77.26.5
Total income3921.93699.72959.3
Profit before exceptional items & tax928.6832.7356.3
Profit before tax928.6832.7356.3
Net profit713.1623.3274.2
Operating margin23.7%22.5%12.0%

A dash means the filing did not report that period; n/m means not meaningful (margin on near-zero revenue). Growth is not shown when either period was a loss. Operating profit excludes other income.

Growth
Net profit, year on year+160.10%
Net profit, quarter on quarter+14.40%
Revenue, year on year+32.70%
Operating profit, year on year+165.40%
Operating profit, quarter on quarter+15.30%
Source

BSE results filing, NSE: IIFL. Figures extracted from the filing.

Read the filing ↗

IIFL Finance Ltd: key numbers

Share price
₹616.95
Market cap
₹26,332 Cr
Revenue (annual)
₹13,351 Cr
Net profit (annual)
₹1,661 Cr
P/E (TTM)
12.5×Sector 22.0×
Promoter holding
24.85%+0.00% QoQ
FII holding
23.86%Current quarter

Reference market data from a third-party provider, updated daily. Not a valuation or a recommendation.

More from IIFL Finance Ltd

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15:30 IST NSE
Debt & Borrowing

IIFL Finance Debt & Borrowing: ₹60 Cr

IIFL Finance Limited has redeemed commercial papers worth Rs. 60.00 Crore. The full redemption was completed upon maturity on September 25, 2026.

Value
₹60.00 Cr
12:39 IST BSE
Debt & Borrowing

IIFL Finance Debt & Borrowing

IIFL Finance allotted Non-Convertible debt securities on 21 September 2026 under a blanket board limit of Rs.10,000 Crore. No specific allotment amount or investor details were disclosed.

12:32 IST NSE
Debt & Borrowing

IIFL Finance Debt & Borrowing: ₹130 Cr

IIFL Finance allotted 13,000 secured NCDs aggregating ₹130 Crore under Series D37 Reissue I via private placement. The 2-year instrument carries a 9.25% coupon with first-ranking pari passu charge over loan assets.

Value
₹130.0 Cr
Execution
2 years
16:45 IST NSE
Debt & Borrowing

IIFL Finance Debt & Borrowing: ₹257 Cr

IIFL Finance successfully redeemed commercial paper worth ₹257 Crore upon maturity. This disclosure confirms the repayment of principal to all beneficiaries.

Value
₹257.0 Cr
18:54 IST NSE
Debt & Borrowing

IIFL Finance Debt & Borrowing: ₹500 Cr

IIFL Finance Limited has completed the full redemption of its Commercial Paper, amounting to ₹500 Crore. The payment was made upon maturity as per regulatory requirements.

Value
₹500.0 Cr
13:43 IST NSE
Employee Stock Options

IIFL Finance Employee Stock Options

IIFL Finance allotted 14,30,848 equity shares to employees upon exercise of ESOPs. The allotment was approved by the Nomination and Remuneration Committee via circular resolution.