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A decrease in the sales to Rs. 591.62 millions was observed for the quarter ended June 2023. The sales stood at Rs. 627.76 millions during the similar quarter previous year.Net profit declined -2.46% to Rs. 243.68 millions from Rs. 249.82 millions.A decline of 526.31 millions was observed in the OP in the quarter ended June 2023 from 578.46 millions on QoQ basis.


(Rs. in Million)


  Quarter ended Year to Date Year ended
  202306 202206 % Var 202306 202206 % Var 202303 202203 % Var
Sales 591.62 627.76 -5.76 591.62 627.76 -5.76 2314.51 2541.85 -8.94
Other Income 0.30 0.38 -21.05 0.30 0.38 -21.05 2.51 1.25 100.80
PBIDT 526.31 578.46 -9.02 526.31 578.46 -9.02 2016.79 2294.10 -12.09
Interest 229.77 259.39 -11.42 229.77 259.39 -11.42 906.46 1200.44 -24.49
PBDT 296.54 319.07 -7.06 296.54 319.07 -7.06 1110.33 1093.66 1.52
Depreciation 2.86 4.25 -32.71 2.86 4.25 -32.71 16.62 14.67 13.29
PBT 293.68 314.82 -6.71 293.68 314.82 -6.71 1093.71 1078.99 1.36
TAX 50.00 65.00 -23.08 50.00 65.00 -23.08 214.20 225.81 -5.14
Deferred Tax 0.00 0.00 0.00 0.00 0.00 0.00 -0.30 -5.67 -94.71
PAT 243.68 249.82 -2.46 243.68 249.82 -2.46 879.51 853.18 3.09
Equity 903.72 903.72 0.00 903.72 903.72 0.00 903.72 903.72 0.00
PBIDTM(%) 88.96 92.15 -3.46 88.96 92.15 -3.46 87.14 90.25 -3.45
Peers
Company Name CMP
Power Finance Corpn. 339.50
REC 308.10
NHIT 171.00
Satin Creditcare Net 226.15
IFCI 75.18
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