Cash Flow - Euro Panel Products Ltd.
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ISIN No INE639C01013 52Wk High (Rs.) 46 BV (Rs.) 27.67 FV (Rs.) 10.00
Bookclosure 17/09/2021 52Wk Low (Rs.) 24 EPS (Rs.) 0.00 P/E (X) 0.00
Mkt Cap. (Rs. Cr.) 16.77 P/BV (X) 1.33 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)ARARARARAR
FaceValue10.0010.0010.0010.0010.00
      
      
INCOME     
Revenue From Operations [Net]30.4130.0646.8850.6740.38
Other Operating Revenues0.010.000.000.000.00
Total Operating Revenues30.4230.0646.8850.6740.38
      
Other Income0.070.150.330.230.08
Total Revenue30.4930.2247.2150.8940.46
      
EXPENSES     
Cost Of Materials Consumed23.4223.7439.0739.9528.94
Operating And Direct Expenses2.982.974.143.731.06
Changes In Inventories Of FG,WIP And Stock-In Trade0.470.21-0.25-0.310.54
Employee Benefit Expenses2.432.622.552.372.03
Finance Costs0.460.410.540.720.73
Depreciation And Amortisation Expenses0.570.980.980.970.00
Other Expenses1.081.190.850.804.53
Total Expenses31.4432.1247.8848.2337.83
      
Profit/Loss Before Exceptional, ExtraOrdinary Items And Tax-0.95-1.90-0.682.672.64
      
Profit/Loss Before Tax-0.95-1.90-0.682.672.64
      
Tax Expenses-Continued Operations     
Current Tax0.000.000.000.710.54
Less: MAT Credit Entitlement0.000.000.000.00-0.08
Deferred Tax-0.24-0.48-0.18-0.090.15
Total Tax Expenses-0.23-0.48-0.180.620.76
Profit/Loss After Tax And Before ExtraOrdinary Items-0.72-1.42-0.502.051.88
      
Profit/Loss From Continuing Operations-0.72-1.42-0.502.051.88
      
Profit/Loss For The Period-0.72-1.42-0.502.051.88
      
OTHER INFORMATION     
      
EARNINGS PER SHARE     
Basic EPS (Rs.)-1.56-3.10-1.094.484.11
Diluted EPS (Rs.)-1.56-3.10-1.094.484.11
      
DIVIDEND AND DIVIDEND PERCENTAGE     
Equity Share Dividend0.000.000.230.230.00
Equity Dividend Rate (%)0.000.000.005.005.00