🔥 We have been featured on Shark Tank India.Episode 13

🔥 We have been featured on Shark Tank India

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Financial Statements

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Consolidated Quarterly Results (in ₹ Crores)

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Total Figures
QoQ Changes
Total Figures
Dec 2024Sep 2025Dec 2025
Revenue6.435.345.66
Expenses1.461.431.13
Interest2.072.753.03
Financing Profit2.901.161.50
Financing Margin %45.1021.7226.50
Other Income0.041.980.05
Depreciation0.010.190.18
Profit Before Tax2.932.951.37
Tax %24.2322.3724.82
Net Profit2.222.291.02
EPS in Rs0.170.180.08
Gross NPA %0.000.000.00
Net NPA %0.000.000.00

Standalone Profit Loss (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Revenue9.223.844.744.795.269.7117362525
Expenses7.682.402.093.052.665.018.3216127.50
Interest0.440.360.480.310.531.594.75151110
Financing Profit1.101.082.171.432.083.123.734.932.747.17
Financing Margin %11.9728.1145.7829.8439.5132.0922.2213.8710.8728.68
Other Income0.000.320.010.040.010.050.048.373.00NaN
Depreciation0.010.020.030.030.020.030.030.040.980.51
Profit Before Tax1.101.382.151.442.073.143.74134.758.36
Tax %335.49318.17410.60292.73314.48471.80301.67372.34190.7026.44
Net Profit0.770.941.630.951.412.472.509.702.266.15
EPS in Rs0.060.100.130.090.100.190.190.750.520.55
Dividend Payout %200.00190.00

Standalone Balance Sheet (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital5.105.105.105.105.395.396.106.106.106.44
Reserves9.73101112171825324963
Borrowings9.234.697.247.890.551616115165130
Other Liabilities0.280.860.600.851.141.921.225.707.4411
Total Liabilities24212426244249160228211
Fixed Assets0.300.340.350.340.320.420.400.480.453.99
CWIP0.000.000.000.000.000.000.000.000.000.00
Investments0.000.000.000.010.010.201.553.428.9727
Other Assets24202425244247156218180
Total Assets24212426244249160228211

Standalone Cash Flows (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity-137.94-5.78-1.592.69-15-0.25-95-6018
Cash from Investing Activity-0.30-2.772.400.270.03-0.31-1.30-1.842.80-7.12
Cash from Financing Activity14-4.542.540.65-2.65164.7810457-19
Net Cash Flow0.380.64-0.84-0.660.070.173.226.55-0.59-8.42

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