Financial Information of Rapid Fleet Management Services Limited IPO
The Revenues from operations for the period ended on Sep 30, 2024, Fiscals ended 2024, 2023 and 2022 were ₹ 8,739.41 Lakh, ₹ 11,632.15 Lakh, ₹ 10,602.58 Lakh and ₹ 11,402.23 Lakh respectively. The EBITDA for the period ended on Sep 30, 2024, Fiscals ended 2024, 2023 and 2022 were ₹ 1,385.39 Lakh, ₹ 1770.49 Lakh, ₹ 1,263.57 Lakh, and ₹ 904.69 Lakh, respectively. The Profit after Tax for the period ended on Sep 30, 2024, Fiscals ended 2024, 2023 and 2022 were ₹ 701.34 Lakh, ₹ 807.19 Lakh, ₹ 471.34 Lakh, and ₹ 339.59 Lakh respectively. This indicates a steady growth in financial performance.
Period Ended | Sep 30, 2024 | Mar 31, 2024 | Mar 31, 2023 | Mar 31, 2022 |
---|---|---|---|---|
Reserve of Surplus | 2,373.98 | 2,004.98 | 1,197.79 | 731.45 |
Total Assets | 10,129.90 | 7,066.15 | 7,181.32 | 7,537.07 |
Total Borrowings | 3,406.53 | 1,493.17 | 1,578.83 | 2,742.99 |
Fixed Assets | 3,517.59 | 2,673.33 | 2,402.42 | 2,556.56 |
Cash | 2,063.27 | 562.03 | 1,064.16 | 2,074.68 |
Net Borrowing | 1,343.26 | 931.14 | 514.67 | 668.31 |
Revenue | 8,739.41 | 11,632.15 | 10,602.58 | 11,402.23 |
EBITDA | 1,385.39 | 1,770.49 | 1,263.57 | 904.69 |
PAT | 701.34 | 807.19 | 471.34 | 339.59 |
EPS | 13.79 | 16.14 | 9.73 | 6.79 |
Note 1:- RoE, ROCE & RoNW 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 (Profit/Loss for the Year) 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.
Copyright @2020 Design & Developed by Info Web Software