Type | Audited |
Date Begin | 01-Apr-21 |
Date End | 31-Mar-22 |
Net Sales/Revenue From Operations | 15,253.20 |
Other Income | 70.20 |
Total Income | 15,323.40 |
Expenditure | -13,229.90 |
Cost of Materials Consumed | -4,311.60 |
Finance Costs | -460.20 |
Other Expenses | -2,413.80 |
Changes in inventories of finished goods, work-in-progress and stock-in-trade | 9.50 |
Depreciation and amortisation expense | -686.20 |
Employee benefit expense | -559.60 |
Purchases of stock-in-trade | -56.30 |
Power and fuel | -4,751.70 |
Profit after Interest but before Exceptional Items | 2,093.50 |
Profit (+)/ Loss (-) from Ordinary Activities before Tax | 2,093.50 |
Tax | -748.20 |
Current tax | -359.70 |
Deferred tax | -388.50 |
Net Profit (+)/ Loss (-) from Ordinary Activities after Tax | 1,345.30 |
Net Profit | 1,341.70 |
Basic EPS for continuing operation | 12.56 |
Diluted EPS for continuing operation | 12.56 |
Basic for discontinued operation | -0.03 |
Diluted for discontinued operation | -0.03 |
Basic for discontinued & continuing operation | 12.53 |
Diluted for discontinued & continuing operation | 12.53 |
| Notes |