X
Udaan

₹0.00

mrf 0.00%
13 Nov 4:01 p.m.

Listing Status:

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Key Metrics of udaan
  • Market Cap
  • Total Equity Funding ₹22,437 Cr in 20 rounds
  • Latest Funding Round ₹75 Cr, Series H Sep 07, 2026
  • Post Money Valuation ₹15,394 Cr as on Jun 02, 2025
  • Annual Revenue ₹4,561 Cr
    ▼ 20% YoYas on Mar 31, 2025
  • EBITDA -₹885 Cr
    ▲ 47% YoYas on Mar 31, 2025
  • EBITDA Margin -19.39%
    ▲ 34% YoYas on Mar 31, 2025
  • Net Profit ₹1,055 Cr (Loss)
    ▲ 37% YoYas on Mar 31, 2025
  • Net Profit Margin -23.14%
    ▲ 21% YoYas on Mar 31, 2025
About the Company

Provider of digital wholesale platforms for small business inventory procurement. This platform enables retailers to source food, beverages, consumer goods,...

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Price on BSE Volume

Funding Rounds

Total Rounds: 20 Udaan

S.No. Date Round Name Amount TTM Revenue Investors & Facilitators
1. Sep 7, 2026 Series H ₹75 Cr ₹4,302 Cr
Inst: Swiggy
2. Jul 14, 2026 Series H ₹1,540 Cr ₹4,302 Cr
Inst: Lightspeed Venture Partners, M&G
3. Jul 14, 2026 Conventional Debt - ₹4,302 Cr -
4. Jun 2, 2025 Series G ₹3,484 Cr ₹4,302 Cr
Inst: M&G, Lightspeed Venture Partners, Prudential
5. Feb 17, 2025 Series G ₹650 Cr ₹4,657 Cr
Inst: M&G, Lightspeed Venture Partners
6. Oct 28, 2024 Conventional Debt ₹300 Cr ₹5,039 Cr
Inst: Lighthouse Canton, Innoven Capital, Trifecta Capital, Stride Ventures
7. Dec 14, 2023 Series E ₹4,866 Cr ₹5,682 Cr
Inst: M&G, Lightspeed Venture Partners, DST Global, Prudential, Microsoft, Tencent, Altimeter Capital, Ishana Capital, Kora
Angel: Sujeet
8. May 18, 2023 Venture Debt - ₹5,626 Cr
Inst: Trifecta Capital
9. Nov 24, 2022 Conventional Debt ₹286 Cr ₹7,035 Cr
Inst: EvolutionX
10. Oct 27, 2022 Series D ₹989 Cr ₹7,391 Cr
Inst: Microsoft, Kaiser Permanente, Nomura, Arena Investors, Samena Capital, Ishana Capital, Lightspeed, M&G
11. Jan 4, 2022 Series D ₹1,491 Cr ₹9,224 Cr
Inst: Microsoft, Kaiser Permanente, Nomura, Tor Investment, Ishana Capital, Arena Investors, Samena Capital, M&G
12. Jan 4, 2022 Conventional Debt ₹373 Cr ₹9,224 Cr -
13. Nov 18, 2021 Conventional Debt ₹50 Cr ₹8,563 Cr
Inst: BlackSoil, VBG Group, Corsa Ventures, Walton Street India
14. Nov 6, 2021 Venture Debt ₹75 Cr ₹8,563 Cr
Inst: Innoven Capital
15. Sep 23, 2021 Venture Debt ₹50 Cr ₹7,902 Cr
Inst: BlackSoil
16. Jan 6, 2021 Series D ₹2,047 Cr ₹5,096 Cr
Inst: Octahedron Capital, Moonstone Capital Partners, DST Global, Altimeter Capital, Tencent, Lightspeed, Granite Asia
17. Aug 14, 2019 Series D ₹4,170 Cr ₹435 Cr
Inst: Altimeter Capital, Hillhouse, DST Global, Tencent, Citi Ventures, Footpathventures, ACORN, Fifth Avenue Private Equity, Lightspeed, Citi, Footpath Ventures, Granite Asia
18. Sep 3, 2018 Series C ₹1,602 Cr ₹25 Cr
Inst: Lightspeed, DST Global
19. Feb 10, 2018 Series B ₹322 Cr -
Inst: A. Poletto & Associates, Stanford, Fifth Avenue Private Equity, Lightspeed Venture Partners
Facil: Nishith Desai Associates
20. Nov 23, 2016 Series A ₹69 Cr -
Inst: Lightspeed

Financial Statements

Revenue - INR (Cr)

Net Profit/Loss - INR (Cr)

Select a year from the tabs

FY 24-25
FY 23-24
FY 22-23
FY 21-22
FY 20-21
FY 19-20
FY 18-19
FY 17-18
Detailed Income StatementFY 24-25 (in Cr)
Revenue from Operations 4,561.4
Expenses 5,610.3
(884.5)
(1,048.9)
Profit/(Loss) for the year (1,055.4)
Profit after taxes - from Discontinued Operations 0
Retained Earnings /(Accumulated Loss) (6,661.4)
Other Reserves 1,595.6
Detailed Balance SheetFY 24-25 (in Cr)
2,003.6
2,003.6
Detailed Cash Flow StatementFY 24-25 (in Cr)
Net Cash Flow from Operating Activities (521.0)
Net Cash Flow from Investing Activities 121.6
Net Cash Flow from Financing Acitivies 223.7
Detailed Income StatementFY 23-24 (in Cr)
Revenue from Operations 5,706.6
Expenses (7,375.9)
(1,293.2)
(1,669.3)
Profit/(Loss) for the year (1,674.1)
Profit after taxes - from Discontinued Operations 0
Retained Earnings /(Accumulated Loss) (12,688.4)
Other Reserves 2,934.3
Detailed Balance SheetFY 23-24 (in Cr)
2,339.6
2,339.6
Detailed Cash Flow StatementFY 23-24 (in Cr)
Net Cash Flow from Operating Activities (920.5)
Net Cash Flow from Investing Activities 178.8
Net Cash Flow from Financing Acitivies 848.9
Detailed Income StatementFY 22-23 (in Cr)
Revenue from Operations 5,609.3
Expenses (7,684.2)
(1,882.1)
(2,074.9)
Profit/(Loss) for the year (2,075.9)
Profit after taxes - from Discontinued Operations 0
Retained Earnings /(Accumulated Loss) (11,020.8)
Other Reserves 2,468.2
Detailed Balance SheetFY 22-23 (in Cr)
2,643.7
2,643.7
Detailed Cash Flow StatementFY 22-23 (in Cr)
Net Cash Flow from Operating Activities (1,292.8)
Net Cash Flow from Investing Activities (111.2)
Net Cash Flow from Financing Acitivies 1,122.5
Detailed Income StatementFY 21-22 (in Cr)
Revenue from Operations 9,885.2
Expenses 13,012.7
(2,915.9)
(3,127.5)
Profit/(Loss) for the year (3,123.4)
Profit after taxes - from Discontinued Operations (8,957.8)
Retained Earnings /(Accumulated Loss) 0
Other Reserves 910.1
Detailed Balance SheetFY 21-22 (in Cr)
3,276.6
3,276.6
Detailed Cash Flow StatementFY 21-22 (in Cr)
Net Cash Flow from Operating Activities (2,615.6)
Net Cash Flow from Investing Activities 103.2
Net Cash Flow from Financing Acitivies 1,326.9
Detailed Income StatementFY 20-21 (in Cr)
Revenue from Operations 5,919.0
Expenses 8,401.8
(2,397.6)
(2,482.8)
Profit/(Loss) for the year (2,482.3)
Profit after taxes - from Discontinued Operations (5,843.4)
Retained Earnings /(Accumulated Loss) 0
Other Reserves 0
Detailed Balance SheetFY 20-21 (in Cr)
4,475.4
4,475.4
Detailed Cash Flow StatementFY 20-21 (in Cr)
Net Cash Flow from Operating Activities (2,363.4)
Net Cash Flow from Investing Activities (561.6)
Net Cash Flow from Financing Acitivies 2,227.5
Detailed Income StatementFY 19-20 (in Cr)
Revenue from Operations 978.0
Expenses 3,487.9
(2,446.5)
(2,509.9)
Profit/(Loss) for the year (2,518.7)
Profit after taxes - from Discontinued Operations (3,009.5)
Retained Earnings /(Accumulated Loss) 0
Other Reserves 0
Detailed Balance SheetFY 19-20 (in Cr)
4,207.9
4,207.9
Detailed Cash Flow StatementFY 19-20 (in Cr)
Net Cash Flow from Operating Activities (2,702.9)
Net Cash Flow from Investing Activities (662.7)
Net Cash Flow from Financing Acitivies 4,660.5
Detailed Income StatementFY 18-19 (in Cr)
Revenue from Operations 46.3
Expenses (824.2)
0
(777.9)
Profit/(Loss) for the year (779.6)
Profit after taxes - from Discontinued Operations 0
Retained Earnings /(Accumulated Loss) 0
Other Reserves 0
Detailed Balance SheetFY 18-19 (in Cr)
1,484.0
1,484.0
Detailed Cash Flow StatementFY 18-19 (in Cr)
Net Cash Flow from Operating Activities (831.7)
Net Cash Flow from Investing Activities (73.5)
Net Cash Flow from Financing Acitivies 1,605.4
Detailed Income StatementFY 17-18 (in Cr)
Revenue from Operations 3.2
Expenses (63.5)
0
(60.3)
Profit/(Loss) for the year (60.3)
Profit after taxes - from Discontinued Operations 0
Retained Earnings /(Accumulated Loss) 0
Other Reserves 0
Detailed Balance SheetFY 17-18 (in Cr)
345.9
345.9
Detailed Cash Flow StatementFY 17-18 (in Cr)
Net Cash Flow from Operating Activities (69.7)
Net Cash Flow from Investing Activities 66.1
Net Cash Flow from Financing Acitivies 320.5

Shareholding Pattern

As of Jul 8, 2026 • Udaan

Total Shares 4.38M

Top Shareholders

Shareholder Category Shares (Mn) % Holding
Luxembourg Specialist Investment Fund Fcp-Raif M&G Catalyst Capital Fund Other 0.33M 7.43%
The Prudential Assurance Company Limited Other 0.26M 5.93%
Sujeet Kumar Other 0.22M 5.02%
Amod Malviya Other 0.21M 4.88%
Lightspeed Opportunity Fund, L.P. Other 0.21M 4.78%
Others

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