Mar 25 | Mar 24 | Mar 23 | Mar 22 | Mar 21 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | ₹ 1.73B | ₹ 1.28B | ₹ 408.42M | ₹ 192.36M | ₹ 153.44M |
Gross Profit | ₹ 720.17M | ₹ 496.62M | ₹ 171.60M | ₹ 63.17M | ₹ 47.27M |
Operating Income | ₹ 532.82M | ₹ 332.01M | ₹ 84.47M | ₹ 17.12M | ₹ 14.44M |
EBITDA | ₹ 675.77M | ₹ 454.91M | ₹ 123.77M | ₹ 37.69M | ₹ 29.70M |
Net Income | ₹ 451.96M | ₹ 268.91M | ₹ 65.24M | ₹ 14.96M | ₹ 10.80M |
Balance Sheet | |||||
Cash & Short-Term Investments | ₹ 959.22M | ₹ 633.76M | ₹ 193.41M | ₹ 90.49M | ₹ 4.52M |
Total Assets | ₹ 1.46B | ₹ 769.08M | ₹ 390.67M | ₹ 303.62M | ₹ 165.19M |
Total Debt | ₹ 95.87M | ₹ 1.38M | ₹ 2.04M | ₹ 0.00 | ₹ 3.80M |
Net Debt | ₹ -597.25M | ₹ -631.89M | ₹ -191.36M | ₹ -9.75M | ₹ -718.23K |
Total Liabilities | ₹ 415.12M | ₹ 185.64M | ₹ 104.34M | ₹ 82.53M | ₹ 97.89M |
Stockholders' Equity | ₹ 1.04B | ₹ 575.92M | ₹ 286.33M | ₹ 221.09M | ₹ 67.30M |
Cash Flow | |||||
Free Cash Flow | ₹ 182.68M | ₹ 482.43M | ₹ 178.36M | ₹ -132.41M | ₹ -2.26M |
Operating Cash Flow | ₹ 290.64M | ₹ 509.71M | ₹ 239.04M | ₹ -74.39M | ₹ 23.33M |
Investing Cash Flow | ₹ 84.14M | ₹ -330.90M | ₹ -57.32M | ₹ -54.86M | ₹ -25.53M |
Financing Cash Flow | ₹ 67.47M | ₹ -2.62M | ₹ 1.94M | ₹ 134.49M | ₹ 3.28M |