Cash Ur Drive Marketing
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Cash Ur Drive Marketing

156.50
-1.50
(-0.95%)
Market Cap
276.16 Cr
PE Ratio
15.77
Volume
13,000.00
Day High - Low
157.00 - 151.25
52W High-Low
166.50 - 84.95
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Key Fundamentals
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Market Cap
276.16 Cr
EPS
14.16
PE Ratio
15.77
PB Ratio
2.44
Book Value
64.65
EBITDA
23.50
Dividend Yield
0.00 %
Industry
Media
Return on Equity
31.58
Debt to Equity
0.01
Forecast For
Actual

Company News

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Caret
neutral
Cash Ur Drive Marketing Limited submits Compliance Certificate for Structured Digital Database under SEBI PIT Regulations 3(5) and 3(6) for FY 2025-26, certified by Practicing Company Secretary.
neutral
CASHurDRIVE Marketing Limited held an EGM on April 30, 2026, approving material related party transactions and authorizing loans up to ₹100 Crores.
positive
Cash Ur Drive Marketing has won a contract from HLL Infra Tech Services to establish 200 EV charging stations in Delhi. The project includes advertising rights and is scheduled to be completed over a 10-year period.
Competitors
LTP
Market Cap (₹ Cr.)
P/E Ratio
Revenue (₹ Cr.)
YoY Revenue Growth %
Net Profit (₹ Cr.)
YoY Profit Growth %
RSI
282.00
#1 1,507.29
29.46
#1 458.40
15.79
#1 34
212.07
55.22
390.00
851.13
-
153.03
19.46
24
123.08
43.22
341.10
475.64
80.60
87.60
36.66
6
-
42.63
90.80
458.33
24.68
306.20
-8.71
19
-22.22
50.76
293.85
311.40
15.30
138.23
54.79
18
64.86
32.87
156.50
#6 276.16
#4 15.77
#6 142.20
#3 45.40
#5 18
-
77.09
28.08
163.39
27.52
450.20
7.88
24
-210.61
43.38
32.90
80.37
#1 7.14
239.60
0.55
8
#1 4,000.00
45.88
36.00
65.80
7.61
113.40
14.55
4
-
49.38
262.00
49.50
-
8.80
#1 76.00
1
-
7.71
Growth Rate
Revenue Growth
45.40 %
Net Income Growth
92.39 %
Cash Flow Change
-159.88 %
ROE
-19.19 %
ROCE
-20.90 %
EBITDA Margin (Avg.)
26.14 %

Yearly Financial Results

Annual Financials
2022
2023
2024
2025
TTM
Revenue
85
83
98
142
0
Expenses
80
76
85
119
0
EBITDA
5
8
13
24
0
Operating Profit %
2 %
8 %
9 %
15 %
0 %
Depreciation
0
0
0
0
0
Interest
0
0
1
0
0
Profit Before Tax
5
7
12
23
0
Tax
1
2
3
6
0
Net Profit
4
5
9
18
0
EPS in ₹
2,997.05
553.16
7.68
14.16
0.00

Balance Sheet

Balance Sheet
2022
2023
2024
2025
Total Assets
52
79
93
94
Fixed Assets
1
1
1
1
Current Assets
44
70
68
60
Capital Work in Progress
0
0
1
1
Investments
0
0
3
2
Other Assets
51
77
89
90
Total Equity & Liabilities
52
79
93
94
Current Liabilities
38
59
69
38
Non Current Liabilities
1
0
1
1
Total Equity
14
19
24
56
Reserve & Surplus
14
19
18
43
Share Capital
0
0
6
13

Cash Flow

Cash Flow
2022
2023
2024
2025
Net Cash Flow
-10
3
13
-7
Investing Activities
-1
0
-6
-6
Operating Activities
-9
3
24
-14
Financing Activities
-0
-0
-5
14

Share Holding

% Holding
Jul 2024
Feb 2025
Jul 2025
Aug 2025
Sept 2025
Dec 2025
Mar 2026
Promoter
93.33 %
78.21 %
78.21 %
78.21 %
57.23 %
57.23 %
57.23 %
FIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
8.14 %
7.38 %
DIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
6.47 %
6.48 %
Government
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
Public / Retail
0.00 %
0.00 %
0.00 %
0.00 %
13.99 %
14.63 %
14.81 %
Others
6.67 %
21.79 %
21.79 %
21.79 %
28.78 %
13.53 %
14.09 %
No of Share Holders
12
71
76
77
485
419
391

Corporate Action

Record Date Corporate Action Information Announcement Day LTP at Annoucement LTP at Record Day
12 Nov 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
12 Nov 2025 145.60 154.00
30 Apr 2026 EXTRAORDINARY GENERAL MEETING Extraordinary General Meeting
NA
30 Apr 2026 93.00 142.50

Technical Indicators

RSI(14)
Neutral
77.09
ATR(14)
Volatile
6.16
STOCH(9,6)
Overbought
89.98
STOCH RSI(14)
Neutral
70.95
MACD(12,26)
Bullish
0.19
ADX(14)
Strong Trend
40.91
UO(9)
Bearish
81.70
ROC(12)
Uptrend And Accelerating
17.04
WillR(14)
Overbought
-2.78