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Vivriti Capital Limited

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Company Name

Vivriti Capital Limited

Scrip Name

Vivriti Capital

ISIN No

INE01HV01018

No. of Outstanding Shares

114,259,578

PAN No.

AAFCV9757P

Face Value

₹10

EPS

₹31.4

PE ratio

32.64

P/S ratio

7.77

Market Capitalization

₹11,711.61 Crore

Book value

₹292.85

P/BV

3.5

DRHP Filed?

No

Available on

NSDL, CDSL

ROFR Require

Yes

Sector

Financial Service

CIN

U65929TN2017PLC117196

Registration Date

22/06/2017

Vivriti Capital Private Limited Unlisted Shares - Company Overview

On June 22, 2017, Vivriti Capital Private Limited was established as a private company. It is registered with the Registrar of Companies in Chennai and is categorised as a non-government company. Its paid-up capital is Rs. 2157.58 Lakhs and its authorised share capital is Rs. 2,746 Lakhs. It is a part of yet another financial transaction. Financial intermediation carried out by entities other than monetary institutions is included in this group. Vivriti Capital fills the gap in financing availability for mid-market businesses. They provide companies without excellent credit with technology power and superior credit. Small and medium-sized businesses (SMEs), major corporations, mid-market loans, and retail non-banking financial organisations (NBFCs) are all covered by their lending solutions. The product suite consists of term loans, working capital demand loans, non-convertible debentures, capital demand loans, co-lending, and novel products.

Vivriti Capital Private Limited Share Price, Share Details as of March 31, 2025

Vivriti Capital Private Limited Outstanding Shares:

11,42,59,578

Face Value of Vivriti Capital Private Limited Share:

10.00

ISIN of Vivriti Capital Private Limited Share:

INE01HV01018

Lot Size of Vivriti Capital Private Limited Share:

100

Vivriti Capital Private Limited Share Price:

Best In Industry

PAN Number of Vivriti Capital Private Limited:

AAFCV9757P

GST Number of Vivriti Capital Private Limited:

33AAFCV9757P2ZD

Vivriti Capital Private Limited Incorporation Details

Vivriti Capital Private Limited CIN Number U65929TN2017PLC117196
GST Number 33AAFCV9757P1ZE
Vivriti Capital Private Limited Registration Date 22-Jun-17
Category / Sub-Category of Vivriti Capital Private Limited Non-govt company
Vivriti Capital Private Limited Registered Office Address PRESTIGE ZACKRIA METROPOLITAN NO. 200/1-8, 2ND FLOOR, BLOCK -1, ANNASALAI, CHENNAI – 600002, INDIA.

Vivriti Capital Private Limited Board of Directors

Directors Post
Mr. Vineet Sukumar Managing Director
Mr. Gaurav Kumar Non-executive Director
Ms. Namrata Kaul Independent Non-executive director
Mr. John Tyler Day (Nonexecutive) Director
Mr. Kartik Srivatsa (Nonexecutive) Director
Ms. Anita Belani Independent Non-executive Dire
Gopal Srinivasan (Nonexecutive) Director
Santanu Paul Independent Non-executive Direct
Lazar Zdravko Vic (Nonexecutive) Director

Vivriti Capital Private Limited Principal Business Activities

Name and Description of main products/services NIC Code of the product/service* % to the total turnover of the Company
Other financial intermediation 659 100%

Vivriti Capital Private Limited Shareholding Pattern (as on 2025)

Category No. of Shares % of Shares held
Promoters 67,37,840 31.23%
Others 1,48,37,895 68.77%
Total 2,15,75,735 100.00%

Vivriti Capital Limited Consolidated Balance Sheet (Rs in Lakhs)

Particulars 31-03-2025 31-03-2024
Financial Assets
Cash and cash equivalents 31,807.17 43,290.49
Bank Balances other than cash and cash equivalents 68,554.26 52,500.38
Derivative financial instruments 171.54 488.08
Trade receivables 2,043.97 1,774.62
Loans 8,65,846.78 7,30,352.11
Investments 2,03,146.01 2,28,781.77
Other financial assets 7,343.76 5,487.53
Non-Financial Assets
Current tax assets (net) 837.04 308.23
Deferred tax assets (net) 4,901.43 2,677.09
Investment property 868.70 901.07
Property, plant and equipment 2,366.70 3,119.09
Capital work-in-progress 0.51 161.97
Right of use asset 1,476.82 3,775.06
Intangible assets under development 340.56 872.93
Other intangible assets 1,879.43 543.97
Other non-financial assets 4,586.86 4,724.81
Non-current assets held for sale 1,033.71 1,033.71
Total assets 11,97,205.25 10,80,792.91
Financial Liabilities
Trade Payables
Total outstanding dues of micro enterprises and small enterprises 1.91 4.25
Total outstanding dues of creditors other than above 1,717.47 1,606.06
Debt securities 2,02,416.85 1,80,773.70
Borrowings (Other than debt securities) 6,01,927.97 5,26,220.77
Other financial liabilities 28,995.37 23,540.25
Non-Financial Liabilities
Deferred tax liabilities (net) 19,926.49 46,083.88
Current tax liabilities (net) - 1,035.43
Provisions 1,280.48 898.80
Other non-financial liabilities 758.48 389.78
Equity
Equity share capital 1,804.08 1,766.22
Convertible preference share capital 9,094.02 9,094.02
Other equity 3,23,706.27 2,83,791.16
Non-controlling interests 5,575.86 5,588.59
Total Liabilitie and Equity 11,97,205.25 10,80,792.91

Vivriti Capital Limited Consolidated Profit & Loss Statement (Rs in Lakhs)

Particulars 31-03-2025 31-03-2024
Revenue from Operations
Interest income 1,28,641.89 94,807.30
Fees and commission income 10,536.43 7,581.58
Net gain on fair value change 610.95 4,536.36
Net gain on derecognition 1,015.26 1,005.96
Other Income 1,694.38 1,911.83
Gain on loss/dilution of control 8,156.88 1,196.89
Total income 1,50,655.79 1,11,039.92
Expenses
Finance costs 70,370.15 54,202.26
Impairment on financial instruments 19,380.05 10,272.50
Employee benefit expense 13,840.72 12,425.01
Depreciation and amortisation 1,795.81 1,919.21
Other expenses 8,603.50 6,443.05
Total expenses 1,13,990.23 85,262.03
Profit before tax 36,665.56 25,777.89
Current Tax 9,341.33 7,861.56
Deferred tax charge/(benefit) -28,580.90 -1,389.17
Net profit after tax 55,905.13 19,305.50
Share of loss from associate -20,026.96 -18,985.95
Net (loss)/profit after tax for the year 35,878.17 319.55
Other comprehensive income
Items that will not be reclassified to profit or loss:
Re-measurements of the defined benefit asset/ (liability) -15.13 -20.68
Income tax relating to items that will not be reclassified to profit or loss 3.81 5.20
Items that will be reclassified to profit or loss:
Fair valuation of financial instruments through other comprehensive income 1,165.61 750.97
Changes in cash flow hedge reserve -338.82 -59.71
Income tax relating to items that will be reclassified to profit or loss -208.09 -173.98
Other Comprehensive Income 607.38 501.81
Share of other comprehensive loss from associate -20.70 -6.67
Other comprehensive income 586.68 495.13
Total comprehensive income for the year 36,464.85 814.68
Profit for the year attributable to
Owners of the Company 35,895.45 362.97
Non-controlling interest -17.28 -43.42
Other comprehensive income for the year, net of tax
Owners of the Company 589.12 497.57
Non-controlling interest -2.44 -2.44
Total comprehensive income for the year, net of income tax
Owners of the Company 36,484.57 860.54
Non-controlling interest -19.72 -45.86
Earnings per equity share
Basic 37.35 0.34
Diluted 36.69 0.33

Vivriti Capital Limited Consolidated Cash Flow Statement (Rs in Lakhs)

Particulars 31-03-2025 31-03-2024
Cash Flow from Operating Activities
Profit before tax 36,665.56 25,777.89
Adjustment for:
Depreciation and Amortization 1,795.80 1,919.22
Fair Valuation gain on derivative contract 316.54 -103.76
Impairment on Financial Instruments (net) 19,380.05 10,272.50
Employee share based payment expenses 2,253.73 2,717.19
Finance Cost 70,375.67 54,431.29
National interest income & Net gain on sublease -37.66 -106.05
Interest Income on bank balances other than cash & cash Equivalents -3,465.25 -2,124.72
Gain on loss/dilution of control -8,156.88 -1,196.89
Net gain/(loss) on derecognition of financial instruments 1,015.26 -1,005.96
Gain on sale of shares in associate company - -1,519.25
Unrealised change in fair value of financial instruments -447.21 -838.34
Gain on sale of fixed assets -135.97 -
Gain on termination of finance leases -172.97 -
Liabilities no longer required written back -793.73 -27.78
Operating Loss before Working Capital Changes 1,18,592.94 88,195.34
Movements in Working Capital:
(Increase)/Decrease in other financial assets -43.86 298.75
(Increase) in loans -1,52,881.64 -2,86,266.50
(Increase) in trade receivables -256.38 -154.97
(Increase)/Decrease in other non-financial assets 371.97 -2,141.33
Increase in trade payables, other liabilities and provisions 6,273.30 14,003.87
Cash used in Operating Activities -27,943.67 -1,86,064.83
Finance Cost paid -69,501.75 -46,596.15
Income tax paid (net) -10,527.60 -3,616.95
Net cash flows used in Operating Activities -1,07,973.02 -2,36,277.93
Cash Flow from Investing Activities
Investment in bank balances other than cash and cash equivalents -14,602.21 -26,004.40
Interest received on bank balances other than cash and cash equivalents 1,966.38 1,320.60
Purchase of property plant and equipment -1,036.53 -1,741.76
Sale of property plant and equipment, Intangible assets 290.61 20.32
(Investment in)/Redemption of investments in alternative investment funds 1,487.59 6,528.77
Change in Investment in associate - 2,325.03
Investments in Mutual funds -1,463.01 -2,346.26
Investments other than Alternative investment funds and Mutual funds 14,398.28 59,717.49
Net Cash Used in Investing Activities 1,041.11 39,819.79
Cash Flow from Financing Activities
Proceeds from issue of share capital including securities premium - 10,614.41
Proceeds from issue of debt securities 1,72,757.51 1,34,910.04
Repayment of debt securities -1,49,211.09 -1,12,231.04
Proceeds from borrowings 4,16,889.50 4,36,109.40
Repayment of borrowings -3,43,938.71 -2,57,923.87
Payments of lease liabilities -1,048.62 -1,304.20
Net Cash Used in Financing Activities 95,448.59 2,10,174.74
Net (Decrease)/Increase in cash & Cash Equivalents -11,483.32 13,716.59
Cash & Cash equivalents at the beginning of the Year 43,290.49 29,573.90
Cash & Cash equivalents at the end of the Period 31,807.17 43,290.49
Components of cash and cash equivalents:
Balances with banks:
In Current accounts 27,999.42 43,290.49
In Deposit accounts 3,807.75 -
Total Cash & Cash equivalents 31,807.17 43,290.49

Here is a summary of the Cash Flow Statement for the years 2025 and 2024:

Cash Flow from Operating Activities

For FY 2025, the company reported a profit before tax of ₹36,665.56 lakhs, an increase from ₹25,777.89 lakhs in FY 2024. Significant non-cash adjustments and operational adjustments included:

  • Depreciation and amortization: ₹1,795.80 lakhs, showing consistent capital asset usage.
  • Impairment on financial instruments: ₹19,380.05 lakhs (vs ₹10,272.50 lakhs), suggesting higher risk provisioning.
  • Finance cost: ₹70,375.67 lakhs, indicating higher borrowing levels or costlier debt.
  • Employee share-based expenses and various valuation adjustments (derivatives, fair value changes, etc.) also influenced the operations.

After adjustments, the Operating Profit before working capital changes was ₹1,18,592.94 lakhs (up from ₹88,195.34 lakhs in FY 2024).

However, working capital movements were a major drain:

  • A massive increase in loans of ₹-1,52,881.64 lakhs, though an improvement over ₹-2,86,266.50 lakhs in FY 2024.
  • Modest changes in receivables and non-financial assets.
  • Positive impact from liabilities and provisions (+₹6,273.30 lakhs).

After deducting finance costs paid (₹-69,501.75 lakhs) and tax payments (₹-10,527.60 lakhs), the net cash used in operations was ₹-1,07,973.02 lakhs, a significant improvement from the previous year’s ₹-2,36,277.93 lakhs outflow.

Cash Flow from Investing Activities

This section reflects cash spent or received from investments and asset purchases.

  • Investments in bank balances: ₹-14,602.21 lakhs (vs ₹-26,004.40 lakhs in 2024)
  • Interest income on those balances: ₹1,966.38 lakhs
  • Property and equipment purchases: ₹-1,036.53 lakhs, while proceeds from sales were ₹290.61 lakhs
  • Redemption from alternative investment funds: ₹1,487.59 lakhs
  • Investments in mutual funds: ₹-1,463.01 lakhs
  • Investments in other assets: ₹14,398.28 lakhs (inflow)

Overall, net cash generated from investing activities was ₹1,041.11 lakhs, down from ₹39,819.79 lakhs in FY 2024.

Cash Flow from Financing Activities

Financing was the company’s largest source of liquidity:

  • Debt securities issued: ₹1,72,757.51 lakhs
  • Repayment of debt securities: ₹-1,49,211.09 lakhs
  • Proceeds from borrowings (non-debt securities): ₹4,16,889.50 lakhs
  • Repayment of borrowings: ₹-3,43,938.71 lakhs
  • Lease liabilities payments: ₹-1,048.62 lakhs
  • There were no equity issuances this year (unlike ₹10,614.41 lakhs raised in FY 2024).

The result was a net cash inflow from financing of ₹95,448.59 lakhs, compared to a larger inflow of ₹2,10,174.74 lakhs in FY 2024.

Net Movement in Cash & Cash Equivalents

  • Net cash outflow: ₹-11,483.32 lakhs in FY 2025 (vs net inflow of ₹13,716.59 lakhs in FY 2024)
  • Opening balance: ₹43,290.49 lakhs
  • Closing balance: ₹31,807.17 lakhs

Cash components at year-end:

  • Current accounts: ₹27,999.42 lakhs
  • Deposit accounts: ₹3,807.75 lakhs

A V Thomas International Limited Annual Report 2023-24

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