Mar 24 | Mar 23 | Mar 22 | Mar 21 | Mar 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | ₹ 4.01B | ₹ 4.27B | ₹ 4.62B | ₹ 3.52B | ₹ 3.04B |
Gross Profit | ₹ 133.77M | ₹ 135.26M | ₹ 172.83M | ₹ 82.24M | ₹ 34.14M |
Operating Income | ₹ 118.54M | ₹ 49.29M | ₹ 84.95M | ₹ 69.85M | ₹ -45.81M |
EBITDA | ₹ 81.43M | ₹ 80.78M | ₹ 112.48M | ₹ 96.56M | ₹ -46.73M |
Net Income | ₹ 1.69M | ₹ -4.13M | ₹ 29.74M | ₹ 20.88M | ₹ -102.88M |
Balance Sheet | |||||
Cash & Short-Term Investments | ₹ 134.13M | ₹ 113.30M | ₹ 67.73M | ₹ 32.68M | ₹ 35.63M |
Total Assets | ₹ 1.70B | ₹ 1.57B | ₹ 1.14B | ₹ 1.01B | ₹ 911.04M |
Total Debt | ₹ 558.87M | ₹ 608.78M | ₹ 492.44M | ₹ 310.74M | ₹ 372.90M |
Net Debt | ₹ 554.22M | ₹ 578.67M | ₹ 488.35M | ₹ 302.76M | ₹ 337.47M |
Total Liabilities | ₹ 1.10B | ₹ 931.51M | ₹ 870.60M | ₹ 775.89M | ₹ 714.63M |
Stockholders' Equity | ₹ 608.46M | ₹ 640.95M | ₹ 264.70M | ₹ 233.76M | ₹ 196.41M |
Cash Flow | |||||
Free Cash Flow | ₹ 150.07M | ₹ -394.79M | ₹ -158.41M | ₹ 89.83M | ₹ 116.37M |
Operating Cash Flow | ₹ 150.07M | ₹ -368.47M | ₹ -105.31M | ₹ 97.70M | ₹ 127.73M |
Investing Cash Flow | ₹ -64.23M | ₹ -31.93M | ₹ -37.06M | ₹ -5.47M | ₹ -9.71M |
Financing Cash Flow | ₹ -111.30M | ₹ 426.41M | ₹ 138.49M | ₹ -100.17M | ₹ -106.63M |