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SASAN POWER LIMITED

www.reliancepower.co.in
Active
Updated: 26 Sep 2025

Sasan Power Limited is an power generation company that operates in the electricity sector. It focuses on the development and operation of large-scale thermal power plants, primarily serving the needs of utilities and industries, while contributing to the country's energy security and sustainability goals.

Sasan Power Limited, is an unlisted public company incorporated on 10 February, 2006. It is classified as a public limited company and is located in , Maharashtra. It's authorized share capital is INR 6,000.00 cr and the total paid-up capital is INR 4,363.15 cr.

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Subscription Plans
Industry and products
Electricity, Gas & Water
  • , Communication Service., coals, Coal Crusher, Steam Coal, Coal, steam coals, Coal Briquettes
Company size
Auth Capital
₹ 6,000.0 Cr
Paidup Capital
₹ 4,363.2 Cr
Revenue
₹ 4500-4750 cr
# Key metrics of Sasan Power Limited - All rupee values in INR crores. Based on March 2024 numbers. | Metric | Value | Change | |---|---|---| | Auth Capital | ₹ 6,000.0 Cr | | | Paidup Capital | ₹ 4,363.2 Cr | | | Revenue | ₹ 4500-4750 cr | | | Total Revenue | ₹4,723.0 | 5.63% | | EBITDA | ₹1,906.1 | 10.76% | | Net Profit | ₹-178.3 | -1260.94% | | Networth | ₹8,135.9 | -2.15% | | Borrowings | ₹8,008.7 | -22.26% | | Assets | ₹22,985.5 | -2.4% | | Gross Margin | 61.1% | 1.07 | | Operating Margin | 41.5% | 1.21 | | Net Profit Margin | -3.8% | -4.12 | | Return on Equity | -2.2% | -2.37 | | ROCE | 8.2% | 1.78 | | Debt to Equity | 1.0 | -0.26 |
Key Metrics

** All rupee values in INR crores. Based on March 2024 numbers.

Total Revenue
5.63%
₹ 4,723.0
EBITDA
10.76%
₹ 1,906.1
Net Profit
-1260.94%
₹ -178.3
Networth
-2.15%
₹ 8,135.9
Borrowings
-22.26%
₹ 8,008.7
Assets
-2.4%
₹ 22,985.5
Gross Margin
1.07
61.1 %
Operating Margin
1.21
41.5 %
Net Profit Margin
-4.12
-3.8 %
Return on Equity
-2.37
-2.2 %
ROCE
1.78
8.2 %
Debt to Equity
-0.26
1.0
Sales
Mar 2024
Net worth
Mar 2024

Locations

indian flag India (3)
State Type Address

location icon Locations on Map

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People

Designation Name DIN/PAN Tenure
Whole-time Director Sachin Mohapatra 07791421 9 years
Director Suresh Babu Konakanchi 07757710 4 years
Additional Director Manoj Bhaiyasaheb Pongde 07728913 1 years
Additional Director Vijayalakshmy Gupta 08636754 1 years

Financial Highlights

** All numbers in INR crores
Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Sales 4,561.6 4,787.5 4,680.9 4,270.4 4,591.7
Operating profit 2,416.5 2,424.4 2,297.5 1,720.8 1,906.1
Net profit -93.1 -380.4 301.5 15.4 -178.3
Gross margin 70.6 68.3 67.2 60.0 61.1
Operating margin 53.0 50.6 49.1 40.3 41.5
Net margin -1.9 -7.7 6.3 0.3 -3.8
Networth 8,387.5 8,007.9 8,308.7 8,314.9 8,135.9
Borrowings 13,036.1 12,071.1 11,175.1 10,301.5 8,008.7
Assets 25,536.1 24,064.6 23,830.8 23,550.7 22,985.5
Debt to equity 1.6 1.5 1.3 1.2 1.0
Current ratio 0.4 0.5 0.6 0.5 0.3
ROE -1.1 -4.8 3.6 0.2 -2.2
Days payable 63.0 58.0 63.0 66.0 50.0
WC days -134.0 -105.0 -113.0 -187.0 -304.0
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Margins

Gross margin
Operating margin
Net margin

Balance Sheet

%
** All numbers in INR crores
Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity Capital 4,327.4 4,327.4 4,327.4 4,327.4 4,327.4
Reserves 4,060.1 3,680.5 3,981.3 3,987.6 3,808.5
Borrowings + 13,036.1 12,071.1 11,175.1 10,301.5 8,008.7
Long term borrowings 12,658.1 11,573.9 10,658.5 9,774.0 7,450.1
Short term borrowings 378.0 497.2 516.6 527.4 558.6
Trade payables + 231.8 240.5 265.6 307.9 246.2
Days payable 63.0 58.0 63.0 66.0 50.0
Other liabilities + 4,112.6 3,985.7 4,347.0 4,934.3 6,841.0
Other non-current liabilities 1,509.9 1,465.6 1,466.2 1,432.0 1,562.0
Other current liabilities 2,370.8 2,279.6 2,615.2 3,194.3 5,032.8
Total liabilities 25,536.1 24,064.6 23,830.8 23,550.7 22,985.5
Fixed Assets + 23,240.6 21,836.9 21,354.5 21,176.8 20,491.6
Tangible assets 23,206.8 21,804.3 21,329.1 21,152.0 20,469.6
CWIP 7.9 7.7 1.7 2.1 0.3
Intangible assets 25.9 24.8 23.7 22.7 21.6
LT loans and advances - - - - -
Other non-current assets 987.6 589.2 525.6 531.2 485.8
Current assets + 1,307.9 1,638.6 1,950.7 1,842.6 2,008.1
Inventories 594.3 654.3 641.0 679.0 644.0
Trade receivables 551.1 774.9 1,076.9 820.4 1,045.7
Cash and cash equivalents 8.1 16.2 30.3 138.3 137.5
ST loans and advances - - - - -
Other current assets 154.4 193.1 202.6 205.0 181.0
Total assets 25,536.1 24,064.6 23,830.8 23,550.7 22,985.5
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Total assets

Profit & Loss

%
** All numbers in INR crores
Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Sales + 4,561.6 4,787.5 4,680.9 4,270.4 4,591.7
Sales growth % -0.86 4.95 -2.23 -8.77 7.52
Expenses + 4,979.1 4,932.7 4,401.4 4,390.0 4,702.4
Cost of goods 1,339.6 1,515.7 1,532.9 1,708.7 1,787.9
Employee cost 108.8 84.4 100.1 100.9 106.2
Other costs 696.7 763.0 750.4 739.9 791.6
Operating profit + 2,416.5 2,424.4 2,297.5 1,720.8 1,906.1
Operating margin % 53.0 50.6 49.1 40.3 41.5
Other income 399.9 141.6 86.0 200.9 131.3
Interest 1,474.3 1,389.8 1,336.2 1,328.6 1,469.3
Depreciation 1,359.7 1,179.9 681.9 511.9 547.5
Exceptional items - - - - -
Profit before tax -17.5 -3.7 365.4 81.2 20.6
Tax 75.6 376.7 64.0 65.9 198.9
Profit - disc. ops - - - - -
Net profit -93.1 -380.4 301.5 15.4 -178.3
Net margin % -1.9 -7.7 6.3 0.3 -3.8
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Revenue from operations

Ratios

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Solvency +
Total Debt/Equity 1.6 1.5 1.3 1.2 1.0
Net Debt/Equity 1.6 1.5 1.3 1.2 1.0
Total Debt/Assets 0.5 0.5 0.5 0.4 0.3
Total Assets/Equity 3.0 3.0 2.9 2.8 2.8
Liquidity +
Current Ratio 0.4 0.5 0.6 0.5 0.3
Quick Ratio 0.2 0.3 0.4 0.3 0.2
Interest Coverage 1.6 1.7 1.7 1.3 1.3
Performance
Gross Margin 70.6 68.3 67.2 60.0 61.1
Operating Margin 53.0 50.6 49.1 40.3 41.5
Net Margin -1.9 -7.7 6.3 0.3 -3.8
Return +
Return on Equity -1.1 -4.8 3.6 0.2 -2.2
Pre-tax ROCE 4.9 6.1 8.1 6.4 8.2
Return on Assets -0.4 -1.6 1.3 0.1 -0.8
Pre-tax ROIC 4.9 6.2 8.3 6.5 8.5
Efficiency +
Days Payable 63.0 58.0 63.0 66.0 50.0
Days Inventory 162.0 158.0 153.0 145.0 131.0
Days Receivable 44.0 59.0 84.0 70.0 83.0
Fixed Asset Turnover 0.2 0.2 0.2 0.2 0.2
Total Asset Turnover 0.2 0.2 0.2 0.2 0.2
Working Capital
Cash Conversion Cycle 143.0 159.0 174.0 149.0 164.0
Working Capital Days -134.0 -105.0 -113.0 -187.0 -304.0
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Ratios

Current ratio
Debt/equity ratio

Charges on assets

Bank wise
Charges
1

State Bank of India

No. of Loans: 2

Total Amount : 20,300.2 cr

2

SBICap Trustee Company Limited

No. of Loans: 2

Total Amount : 16,912.6 cr

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Charges

State Bank of India
SBICap Trustee Company Limited

Company Network

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RSMART RESOURCES AND ADVERTISEMENT NETWORK LIMITED
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ROSA POWER SUPPLY COMPANY LIMITED
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RELIANCE POWER LIMITED
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V V HOLDINGS PRIVATE LIMITED
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BSES YAMUNA POWER LIMITED
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Tofler Score

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Risk

Severe Risk
  • VERY LOW INTEREST COVERAGE
Moderate Risk
  • LOSS MAKING
  • LOW ROCE
Low Risk
  • No risks identified
About Tofler Score
Tofler Score measures the quality of performance and integrity of a company. It is dependent on three key factors - Sustainability, Governance, and Growth.

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Registered Details

CIN

U40102MH2006PLC190557

PAN

AAKCS0723M

Incorporation

2006, 19.8 years

Company Email

rpower.mcafiling@relianceada.com

Paid up Capital

₹ 4,363.2 Cr

Authorised Capital

₹ 6,000.0 Cr

AGM

Sep 2024

Type

Public
Others

FAQ - SASAN POWER LIMITED

What is the incorporation date of SASAN POWER LIMITED?

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The incorporation date of SASAN POWER LIMITED is 10 February, 2006

What is the authorized share capital of SASAN POWER LIMITED?

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The authorized share capital of SASAN POWER LIMITED is INR ₹ 6,000.0 Cr.

What is the paid-up capital of SASAN POWER LIMITED?

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The paid-up capital of SASAN POWER LIMITED is INR ₹ 4,363.2 Cr.

What is the registered address of SASAN POWER LIMITED?

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The registered address of SASAN POWER LIMITED is Reliance Centre, Ground Floor, 19, Walchand Hirachand Marg, Ballard Est, ate, Mumbai City, Mumbai, Maharashtra, India, 400001 - 400001

What is the CIN number of SASAN POWER LIMITED?

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The CIN number of SASAN POWER LIMITED is U40102MH2006PLC190557.

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