Cash Flow - Enfuse Solutions Ltd.
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ISIN No INE179G01029 52Wk High (Rs.) 6 BV (Rs.) 3.49 FV (Rs.) 1.00
Bookclosure 06/08/2025 52Wk Low (Rs.) 3 EPS (Rs.) 0.08 P/E (X) 45.68
Mkt Cap. (Rs. Cr.) 499.07 P/BV (X) 1.00 Div Yield (%) 0.00 Mkt Lot 1
Standalone
(Rs. in Crs.)
ParticularsMar 25Mar 24Mar 23Mar 22Mar 21
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)PRARARARAR
FaceValue1.0010.0010.0010.0010.00
      
      
INCOME     
Revenue From Operations [Net]214.99210.89274.46124.23147.47
Other Operating Revenues0.005.645.490.000.00
Total Operating Revenues214.99216.53279.94124.23147.47
      
Other Income1.776.440.640.240.34
Total Revenue216.76222.97280.58124.47147.81
      
EXPENSES     
Cost Of Materials Consumed133.49126.44156.06133.0592.37
Changes In Inventories Of FG,WIP And Stock-In Trade-14.4212.7533.16-65.646.52
Employee Benefit Expenses8.368.468.537.487.61
Finance Costs28.1923.8927.1319.0916.52
Depreciation And Amortisation Expenses12.7011.9611.588.888.88
Other Expenses35.5725.0226.4514.9412.71
Total Expenses203.90208.52262.90117.80144.59
      
Profit/Loss Before Exceptional, ExtraOrdinary Items And Tax12.8614.4517.686.673.22
      
Profit/Loss Before Tax12.8614.4517.686.673.22
      
Tax Expenses-Continued Operations     
Current Tax1.920.000.000.000.00
Less: MAT Credit Entitlement0.00-2.52-3.31-1.110.00
Deferred Tax0.00-0.311.16-0.120.13
Tax For Earlier Years0.000.000.000.000.59
Total Tax Expenses1.922.214.460.990.72
Profit/Loss After Tax And Before ExtraOrdinary Items10.9412.2413.225.682.50
      
Profit/Loss From Continuing Operations10.9412.2413.225.682.50
      
Profit/Loss For The Period10.9412.2413.225.682.50
      
OTHER INFORMATION     
      
EARNINGS PER SHARE     
Basic EPS (Rs.)1.161.301.481.020.45
Diluted EPS (Rs.)1.161.301.481.020.45