114  Total SME IPOs listed in 2025

5,174.44 Crs.  Total funds raised in 2025

79  SME IPOs listed with Gain in 2025

35  SME IPOs listed with loss in 2025

114  Total SME IPOs listed in 2025

5,174.44 Crs.  Total funds raised in 2025

79  SME IPOs listed with Gain in 2025

35  SME IPOs listed with loss in 2025

114  Total SME IPOs listed in 2025

5,174.44 Crs.  Total funds raised in 2025

79  SME IPOs listed with Gain in 2025

35  SME IPOs listed with loss in 2025

114  Total SME IPOs listed in 2025

5174.44 Crs.  Total funds raised in 2,025.00

79  SME IPOs listed with Gain in 2025

35  SME IPOs listed with loss in 2025

CFF Fluid Control Limited - FPO IPO Analysis

CFF Fluid Control - FPO IPO is a Fixed Price listing on BSE SME exchange, with an ipo size of ₹ 87.75 Cr. The company is based in Raigarh and caters to Defence sector. Aryaman Financial Services is the merchant banker of CFF Fluid Control - FPO IPO. It is a SME IPO which filed its Draft Red Herring Prospectus (DRHP) on 11th January 2025.

CFF Fluid Control - FPO IPO posted revenues of ₹ 145.56 Cr. and PAT of ₹ 23.85 Cr. in FY25 on annualised basis.

IPO Key Highlights

*At the time of IPO, on Annualised Basis
  • Revenue: ₹ 145.56 Cr.
            EBITDA: ₹ 41.31 Cr.
            PAT: ₹ 23.85 Cr.
  • EBITDA Margin: 28.38 %
            Pat Margin: 16.38 %
  • Net Worth: ₹ 147.84 Cr.
  • Market Capitalisation: ₹ 1226.98 Cr.
  • P/E: 51.45 times
  • P/BV: 5.21 times
  • EV/EBITDA: 30.15 times
Nature of IPO : SME
Exchange : BSE SME
IPO Type : Fixed Price

CFF Fluid IPO Financial Performance (Restated)

Financial results of CFF Fluid Control - FPO IPO based on restated financials as per prospectus and IPO review parameters can be referred to below.

Amount in ₹ crores
Financials FY25 FY24 FY23
Balance Sheet
Assets 199.03 161.16 88.68
Net Worth 147.84 125.94 24.99
Total Debt 21.12 23.48 45.89
Profit & Loss
Revenue
Revenue on annualised basis
145.56 106.86 70.67
EBITDA
EBITDA on annualised basis
41.31 30.85 18.83
PAT
PAT on annualised basis
23.85 17.08 10.14
Financials
FY25
FY24
FY23
Balance Sheet
Assets
199.03
161.16
88.68

Net Worth
147.84
125.94
24.99

Total Debt
21.12
23.48
45.89

Profit & Loss
Revenue
Revenue on annualised basis
145.56
145.56
106.86
70.67

EBITDA
EBITDA on annualised basis
41.31
41.31
30.85
18.83

PAT
PAT on annualised basis
23.85
23.85
17.08
10.14

Notes:
1) Total debt incluides long-term borrowings and short-term borrowings.
2) Revenue means the Revenue from Operations as appearing in the Restated Financial Statements.

CFF Fluid IPO Key performance Indicators (KPI)

CFF Fluid Control - FPO IPO PAT Margin is 16.38 % , ROCE (Return on Capital Employed) is 21.84 % as per latest financial. The below table shows CFF Fluid Control - FPO IPO Key Performance Indicators (KPI) as mentioned in company’s prospectus.

Particulars FY25 FY24 FY23
EBITDA Margin (%) 28.38 28.87 26.64
PAT Margin (%) 16.38 15.98 14.35
EPS (₹) 12.25 9.21 7.10
ROE (%) 16.13 13.56 40.58
ROCE (%) 21.84 17.50 24.18
ROA (%) 11.98 10.60 11.43
Debt to Equity 0.14 0.19 1.84
Particulars
FY25
FY24
FY23

EBITDA Margin (%)
28.38
28.87
26.64

PAT Margin (%)
16.38
15.98
14.35

EPS (₹)
12.25
9.21
7.10

ROE (%)
16.13
13.56
40.58

ROCE (%)
21.84
17.50
24.18

ROA (%)
11.98
10.60
11.43

Debt to Equity (x)  
0.14
0.19
1.84

Notes:
1) The EPS represents post-bonus basic EPS.
2) Return on Equity is ratio of Profit after Tax and Total Equity.
3) Return on Assets is ratio of Profit after Tax and Total Assets.
4) Debt to Equity is ratio of Total borrowings and Total Equity.

CFF Fluid Control - FPO IPO Valuation Metrics

The market Capitalisation of CFF Fluid Control - FPO IPO is ₹ 1226.98 crores at the time of IPO and other IPO valuation metrics of this IPO is mentioned below.

Key Metrics (at the time of IPO)


Market Capitalisation (₹ Cr.):
1,226.98

Enterprise Value (EV) (₹ Cr.):
1,245.50

EV/EBITDA (times) :
30.15

PE Multiple (times) :
51.45

P/B (times) :
5.21

NAV (₹) :
75.92

Notes:
1) The Enterprise Value is calculated as Market Cap. + Total Debt - Cash and Cash Equivalents.
2) Price to Book multiple is calculated as the ratio of Market Cap. and Net Worth post IPO proceeds.

What are the key financial metrics in CFF Fluid prospectus?

The CFF Fluid Control - FPO IPO prospectus highlights an Return on Equity (ROE) of 16.13 % , Return on Assets (ROA) of 11.98 %, and an EBITDA Margin of 28.38 %, showcasing financial performance.

How do profitability ratios impact the evaluation of CFF Fluid IPO?

Profitability ratios like Return on Equity (ROE), Return on Assets (ROA), and Net Profit Margin shows CFF Fluid Control - FPO IPO financial report. Analysing these metrics can provide insights into the company’s efficiency, profitability, and long-term growth potential.

What is the market capitalisation for CFF Fluid IPO ?

The post-IPO market capitalisation of CFF Fluid Control - FPO IPO is ₹ 1226.98 Cr., based on the issue price and share structure. It helps investors gauge the company’s valuation and compare it with industry peers before investing.

What is the PE Multiple of CFF Fluid IPO?

The CFF Fluid Control - FPOIPO has a Price-to-Earnings (PE) ratio of 51.45 X, indicating valuation compared to industry peers. It helps investors determine if the stock is overvalued or undervalued compared to its earnings and industry peers.

What is the Revenue of CFF Fluid Control - FPO IPO?

CFF Fluid Control - FPO IPO reported revenue of ₹ 145.56 Cr. in the latest fiscal year, showing business performance, on annualised basis. Revenue figures from CFF Fluid Control - FPO IPO provide insights into sales growth, market demand, and business scalability.

What is the EBITDA of CFF Fluid Control - FPO IPO?

CFF Fluid Control - FPO recorded an EBITDA of ₹ 41.31 Cr., reflecting operational efficiency. EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortisation) measures operational profitability.

What is the PAT of CFF Fluid Control - FPO IPO?

CFF Fluid Control - FPO Profit After Tax (PAT) is ₹ 23.85 Cr., reflecting earnings growth. Profit After Tax (PAT) reflects the company’s actual earnings after all expenses, taxes, and deductions

IPO Key Highlights

*At the time of IPO, on Annualised Basis
  • Revenue: ₹ 145.56 Cr.
            EBITDA: ₹ 41.31 Cr.
            PAT: ₹ 23.85 Cr.
  • EBITDA Margin: 28.38 %
            Pat Margin: 16.38 %
  • Net Worth: ₹ 147.84 Cr.
  • Market Capitalisation: 1,226.98
  • P/E: 51.45 times
  • P/BV: 5.21 times
  • EV/EBITDA: 30.15

Revenue

(As Annualised)

EBITDA

(As Annualised)

PAT

(As Annualised)
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FAQs

CFF Fluid Control - FPO operates in Defence and Manufactures And Services Submarine Machinery, Critical Component Systems, And Test Facilities For The Indian Defence PSU Shipyard. The Issue is listed on BSE SME in Jul, 2025. CFF Fluid Control - FPO IPO size was 87.75 with Issue price of 585.00 .

CFF Fluid Control - FPO IPO subscription was 8.45 X. IPO subscription refers to applications received in an IPO by each quota, i.e., QIB, Retail, and NII. In some IPOs, Eligible employee quota and shareholder’s quota are also present. Learn more about IPO subscriptions here.

CFF Fluid Control - FPO IPO listed at a listing price of 621.00 against the offer price of 585.00.

The current market price of CFF Fluid Control - FPO is 654.20.

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