Mar 24 | Mar 23 | Mar 22 | Mar 21 | Mar 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | ₹ 1.02B | ₹ 492.24M | ₹ 643.63M | ₹ 66.71M | ₹ 821.12M |
Gross Profit | ₹ 996.77M | ₹ 478.43M | ₹ 618.51M | ₹ 47.48M | ₹ 803.20M |
Operating Income | ₹ 983.55M | ₹ 469.02M | ₹ 710.41M | ₹ 259.38M | ₹ 784.58M |
EBITDA | ₹ 975.22M | ₹ 469.19M | ₹ 711.38M | ₹ 259.62M | ₹ 699.83M |
Net Income | ₹ 757.30M | ₹ 370.62M | ₹ 508.31M | ₹ 182.99M | ₹ 720.48M |
Balance Sheet | |||||
Cash & Short-Term Investments | ₹ 54.30M | ₹ 264.49M | ₹ 48.28B | ₹ 53.52B | ₹ 24.07B |
Total Assets | ₹ 100.78B | ₹ 56.40B | ₹ 49.36B | ₹ 54.35B | ₹ 24.61B |
Total Debt | ₹ 4.79M | ₹ 4.48M | ₹ 11.11M | ₹ 14.62M | ₹ 11.87M |
Net Debt | ₹ -33.16M | ₹ -93.46M | ₹ -306.37M | ₹ -57.30M | ₹ -308.05M |
Total Liabilities | ₹ 10.68B | ₹ 5.34B | ₹ 4.55B | ₹ 4.99B | ₹ 1.61B |
Stockholders' Equity | ₹ 90.26B | ₹ 51.06B | ₹ 44.82B | ₹ 49.36B | ₹ 23.00B |
Cash Flow | |||||
Free Cash Flow | ₹ 361.17M | ₹ 379.07M | ₹ 464.98M | ₹ -13.79M | ₹ 794.47M |
Operating Cash Flow | ₹ 361.81M | ₹ 379.15M | ₹ 465.08M | ₹ -13.59M | ₹ 796.55M |
Investing Cash Flow | ₹ -572.50M | ₹ -432.15M | ₹ -219.52M | ₹ -234.40M | ₹ -542.13M |
Financing Cash Flow | ₹ 0.00 | ₹ 0.00 | ₹ 0.00 | ₹ 0.00 | ₹ 0.00 |