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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
Sales43653246303342131128
Expenses36553038252436117.4424
Operating Profit7.29112.547.454.718.906.501.614.004.37
OPM %17.0116.317.8416.2915.8027.0415.3812.5634.9715.41
Other Income0.520.512.78-1.761.140.701.010.741.031.04
Interest4.045.043.093.131.902.432.011.722.712.92
Depreciation0.150.150.130.130.130.220.270.260.270.25
Profit Before Tax3.626.002.092.433.836.945.230.372.042.24
Tax %37.297.8318.18-4.9447.0019.4534.4245.9548.0441.52
Net Profit2.275.531.712.552.035.593.430.201.061.31
EPS in Rs0.290.860.270.370.650.980.720.060.240.26

Consolidated Profit Loss (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales3154494766101180141151
Expenses174434596078152117123
Operating Profit141015-125.8924292428
OPM %44.3018.8329.96-25.998.9123.4015.9816.7518.29
Other Income2.942.811.252.950.781.462.013.201.09
Interest6.067.276.516.878.001517119.47
Depreciation0.660.770.670.590.630.710.600.600.75
Profit Before Tax104.928.66-17-1.969.10131618
Tax %23.5350.0425.84-26.98-69.5223.8819.2227.8726.21
Net Profit7.752.466.42-21-3.326.93101114
EPS in Rs2.340.59-5.85-0.191.511.552.281.27
Dividend Payout %0.000.000.000.000.000.000.000.00

Consolidated Balance Sheet (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital1115313131313145
Reserves40624926253745114
Borrowings5831506511013811964
Other Liabilities8074595455687392
Total Liabilities189181188176222274268315
Fixed Assets9.308.587.937.447.316.776.197.76
CWIP0.000.000.000.000.000.540.540.54
Investments1626222220148.878.36
Other Assets164147158146195252253298
Total Assets189181188176222274268315

Consolidated Cash Flows (in ₹ Crores)

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Total Figures
YoY Changes
Total Figures
Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity1823-6.97-1.39-27-153623
Cash from Investing Activity-4.30-8.676.65-1.53-4.38-4.17-5.13-12
Cash from Financing Activity-12-190.613.573518-327.05
Net Cash Flow1.34-4.710.290.653.77-1.56-1.3818

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