Mar 24 | Mar 23 | Mar 22 | Mar 21 | Mar 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | ₹ 6.21B | ₹ 6.47B | ₹ 6.42B | ₹ 3.96B | ₹ 3.06B |
Gross Profit | ₹ 1.54B | ₹ 1.56B | ₹ 1.78B | ₹ 1.25B | ₹ 969.97M |
Operating Income | ₹ 1.32B | ₹ 642.24M | ₹ 978.18M | ₹ 622.71M | ₹ 517.04M |
EBITDA | ₹ 681.10M | ₹ 729.68M | ₹ 1.05B | ₹ 688.05M | ₹ 548.59M |
Net Income | ₹ 405.00M | ₹ 435.01M | ₹ 679.06M | ₹ 424.85M | ₹ 347.04M |
Balance Sheet | |||||
Cash & Short-Term Investments | ₹ 84.00K | ₹ 838.00K | ₹ 83.00K | ₹ 460.00K | ₹ 308.00K |
Total Assets | ₹ 3.34B | ₹ 3.42B | ₹ 3.24B | ₹ 2.59B | ₹ 2.21B |
Total Debt | ₹ 73.18M | ₹ 501.68M | ₹ 620.30M | ₹ 568.03M | ₹ 666.73M |
Net Debt | ₹ 73.09M | ₹ 501.60M | ₹ 620.22M | ₹ 567.77M | ₹ 666.42M |
Total Liabilities | ₹ 443.77M | ₹ 831.48M | ₹ 919.26M | ₹ 898.68M | ₹ 921.41M |
Stockholders' Equity | ₹ 2.90B | ₹ 2.59B | ₹ 2.32B | ₹ 1.69B | ₹ 1.29B |
Cash Flow | |||||
Free Cash Flow | ₹ 563.52M | ₹ 348.89M | ₹ 58.91M | ₹ 163.03M | ₹ 8.47M |
Operating Cash Flow | ₹ 744.80M | ₹ 496.15M | ₹ 404.85M | ₹ 394.26M | ₹ 311.76M |
Investing Cash Flow | ₹ -176.25M | ₹ -144.92M | ₹ -341.84M | ₹ -228.02M | ₹ -239.03M |
Financing Cash Flow | ₹ -568.55M | ₹ -351.24M | ₹ -63.19M | ₹ -166.29M | ₹ -72.58M |