Financial Information of Premium Plast Limited IPO
The Revenues from operations for the three months period ended June 30, 2024 and the Fiscals 2024, 2023 and 2022 were ₹ 1,212.81 lakhs, ₹ 4,670.59 lakhs, ₹ 4,404.83 lakhs, and ₹3,104.78 lakhs, respectively. The EBITDA for the three months period ended June 30, 2024 and the Fiscals 2024, 2023 and 2022 were ₹ 194.51 lakhs, ₹ 645.33 lakhs, ₹ 220.77 lakhs and ₹ 97.23 lakhs, respectively. The Profit after Tax for the three months period ended June 30, 2024 and the Fiscals 2024, 2023 and 2022 was ₹ 141.16 lakhs, ₹ 477.55 lakhs, ₹ 159.32 lakhs and ₹ 77.70 lakhs, respectively.
Period Ended | Mar 31, 2024 | Mar 31, 2023 | Mar 31, 2022 |
---|---|---|---|
Reserve of Surplus | 1,176.45 | 698.91 | 539,59 |
Total Assets | 3,809.23 | 2,905.45 | 2,516.95 |
Total Borrowings | 830.98 | 505.35 | 512.28 |
Fixed Assets | 1,270,87 | 1,166.05 | 1,124.62 |
Cash | 20.44 | 9.74 | 23.12 |
Net Borrowing | 810.54 | 495.61 | 489.16 |
Revenue | 4,670.59 | 4,404.83 | 3,104.78 |
EBITDA | 645.33 | 220.77 | 97.23 |
PAT | 477.55 | 159.32 | 77.70 |
EPS | 10.03 | 3.35 | 1.63 |
Note 1:- RoE & ROCE calculation in KPI is based on 31st Mar, 2024 Data, given in RHP.
Note 2:- Pre EPS and Post EPS calculation in KPI is based (PAT) on 31st Mar, 2024 Data, given in RHP.
Note 3:- RoNW calculation in KPI is based on 31st Mar, 2024 Data, given in RHP.
Note 4:- Price to Book Value calculation in KPI is based on 31st Mar, 2024 Data, given in RHP.
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