Professional Documents
Culture Documents
50.35 50.25
50.35 50.25
652.46 465.29
652.46 465.29
102.15 0
804.96 515.54
86.21 145.69
70.93 82.7
3.32 7.84
160.46 236.22
306.39 269.55
251.97 174.79
96.62 122.29
107.59 40.69
762.57 607.32
1727.98 1359.08
434.98 418.37
48.11 0
0 0
483.09 418.37
3.76 11.67
55.31 24.28
5.66 6.71
547.82 461.03
0 0
130.61 19.86
791.96 661.37
29.21 31.22
36.4 35.1
191.99 150.5
1180.17 898.05
1727.98 1359.08
21.65 27.89
2.19 1.55
- -
14.07 8.64
3.18 2.25
25.02 25.02
3.01 2.49
1.21 9.37
- -
- -
Mar-17 Mar-16 Mar-15 Mar-14
INCOME
Revenue From Operations [Gross] 3948.85 3168.6 2775.37 1965.38
Revenue From Operations [Net] 3948.85 3168.6 2775.37 1965.38
Other Operating Revenues 0.1 0.01 0 0.01
Total Operating Revenues 3948.95 3168.61 2775.37 1965.39
Other Income 13.57 12.03 9.56 9.24
Total Revenue 3962.52 3180.64 2784.94 1974.63
EXPENSES
Operating And Direct Expenses 2947.8 2307.9 2019.08 1356.02
Changes In Inventories Of FG,WIP And Stock-In Trade -4.92 1.14 -0.65 11.63
Employee Benefit Expenses 42.34 25.36 19.57 26.22
Finance Costs 49.79 55.92 74.92 77.88
Depreciation And Amortisation Expenses 72.96 163.53 164.35 180.32
Other Expenses 34.85 22.41 19.56 16.61
Total Expenses 3142.83 2576.26 2296.83 1668.67
42795 42430 42064 41699
Profit/Loss Before Exceptional, ExtraOrdinary Items And Tax 819.69 604.38 488.1 305.96
Profit/Loss Before Tax 819.69 604.38 488.1 305.96
Tax Expenses-Continued Operations
Current Tax 309.54 240.75 182.48 122.95
Less: MAT Credit Entitlement 0 0 0 5.03
Deferred Tax -12.79 -29.6 -14.96 -11.77
Tax For Earlier Years 0 1.76 0.01 0.82
Total Tax Expenses 296.75 212.91 167.53 106.96
Profit/Loss After Tax And Before ExtraOrdinary Items 522.95 391.47 320.57 199
Profit/Loss From Continuing Operations 522.95 391.47 320.57 199
Profit/Loss For The Period 522.95 391.47 320.57 199
42795 42430 42064 41699
1555.76
1555.76
0.01
1555.78
7.42
1563.2
1148.46
-16.1
25.05
85.84
156.94
14.56
1414.74
41334
148.45
148.45
43.73
13.76
9.54
-0.33
39.18
109.27
109.27
109.27
41334
2.18
2.14
10.05
1.71
20
Mar-17 Mar-16 Mar-15 Mar-14 Mar-13
Net Profit/Loss Before Extraordinary Items And Tax 819.69 604.38 488.1 305.96 148.45
Net CashFlow From Operating Activities 679.65 244.23 -7.17 233.02 80.01
Net Cash Used In Investing Activities 39.18 -4.33 5.17 -231.6 -36.1
Net Cash Used From Financing Activities -141.55 -111.29 9.57 -3.43 -38.66
Net Inc/Dec In Cash And Cash Equivalents 577.28 128.62 7.56 -2.01 5.25
Cash And Cash Equivalents Begin of Year -143.97 36.78 29.21 31.22 25.97
Cash And Cash Equivalents End Of Year 433.31 165.4 36.78 29.21 31.22