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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 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales60535157569085928879
Expenses52444448457067746578
Operating Profit7.648.967.119.1511201918221.56
OPM %12.7417.0113.9816.1119.3321.6921.8319.8425.421.96
Other Income1.110.681.081.421.910.981.643.592.443.40
Interest0.170.260.160.160.130.480.150.690.810.51
Depreciation0.900.910.991.051.071.021.051.122.581.84
Profit Before Tax7.688.477.059.3512191920212.60
Tax %25.6526.2124.2622.6722.9627.1024.4632.3519.1829.62
Net Profit5.716.255.347.248.89141414171.83
EPS in Rs0.340.400.310.440.500.850.840.810.940.09

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales13416213299170190160197254254
Expenses11113911792149168146171207207
Operating Profit2223147.25212314274747
OPM %16.7914.3510.887.3312.3111.848.7713.5218.3718.37
Other Income0.990.961.200.330.711.952.763.945.385.39
Interest0.931.002.292.101.000.330.330.660.930.93
Depreciation2.542.813.783.823.513.503.473.534.134.13
Profit Before Tax11209.461.67172113264747
Tax %35.6332.8315.008.6729.4126.8922.8825.4124.7624.75
Net Profit7.10148.041.53121510203535
EPS in Rs0.641.172.102.68
Dividend Payout %20.4910.827.630.000.0010.2018.720.006.47

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital5.805.806.156.156.156.156.156.156.1516
Reserves33405763647793103121147
Borrowings6.916.6414176.053.090.281.521.310.00
Other Liabilities425979487472617099161
Total Liabilities87111157135150158160180227324
Fixed Assets18294747444139374255
CWIP6.461.462.241.481.561.752.552.565.001.11
Investments1.580.221.551.570.803.2217171216
Other Assets618010685104112102124168253
Total Assets87111157135150158160180227324

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity204.5516-9.79221825201.9371
Cash from Investing Activity-5.82-5.13-317.07-5.62-12-15-13-11-63
Cash from Financing Activity-3.72-1.0311-1.24-14-5.65-3.13-2.13-3.75-2.48
Net Cash Flow11-1.62-4.40-3.963.28-0.516.754.66-135.10

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