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Satin Creditcare - Quaterly Results

07 May 2025 Evaluate
A decrease in the sales to Rs. 5598.00 millions was observed for the quarter ended March 2025. The sales stood at Rs. 5925.82 millions during the similar quarter previous year.Net profit of the cmpany stood at Rs. 410.45 millions for the quarter ended March 2025 a decline of -67.24% from Rs. 1252.81 millions  in the same quarter last year.Operating profit for the quarter ended March 2025 decreased to 2631.74 millions as compared to 4058.28 millions of corresponding quarter ended March 2024.


(Rs. in Million)


  Quarter ended Year to Date Year ended
  202503 202403 % Var 202503 202403 % Var 202503 202403 % Var
Sales 5598.00 5925.82 -5.53 23734.82 20487.86 15.85 23734.82 20487.86 15.85
Other Income 18.65 13.35 39.70 32.81 18.62 76.21 32.81 18.62 76.21
PBIDT 2631.74 4058.28 -35.15 12063.42 14186.71 -14.97 12063.42 14186.71 -14.97
Interest 2355.72 2328.47 1.17 9497.62 8328.44 14.04 9497.62 8328.44 14.04
PBDT 276.02 1729.81 -84.04 2565.80 5858.27 -56.20 2565.80 5858.27 -56.20
Depreciation 66.02 56.16 17.56 236.01 199.78 18.13 236.01 199.78 18.13
PBT 210.00 1673.65 -87.45 2329.79 5658.49 -58.83 2329.79 5658.49 -58.83
TAX -200.45 420.84 -147.63 164.17 1430.05 -88.52 164.17 1430.05 -88.52
Deferred Tax -71.97 -26.48 171.79 -612.49 759.13 -180.68 -612.49 759.13 -180.68
PAT 410.45 1252.81 -67.24 2165.62 4228.44 -48.78 2165.62 4228.44 -48.78
Equity 1100.43 1100.43 0.00 1100.43 1100.43 0.00 1100.43 1100.43 0.00
PBIDTM(%) 47.01 68.48 -31.35 50.83 69.24 -26.60 50.83 69.24 -26.60
Peers
Company Name CMP
Power Finance Corpn. 346.00
REC 311.40
NHIT 171.00
Satin Creditcare Net 219.70
IFCI 76.57
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