Cash Flow - Indian Toners & Developers Ltd.
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ISIN No INE092D01013 52Wk High (Rs.) 61 BV (Rs.) 30.82 FV (Rs.) 10.00
Bookclosure 28/09/2024 52Wk Low (Rs.) 37 EPS (Rs.) 5.78 P/E (X) 6.62
Mkt Cap. (Rs. Cr.) 19.13 P/BV (X) 1.24 Div Yield (%) 0.00 Mkt Lot 1
Standalone Consolidated
(Rs. in Crs.)
ParticularsJun 25Mar 25Dec 24Sep 24Jun 24
Net Sales/Income from operations31.4928.5025.3425.2624.86
Total Income From Operations31.4928.5025.3425.2624.86
Purchase of Traded Goods21.0919.8818.5318.7917.45
Increase/Decrease in Stocks0.11-1.250.13-0.62-0.04
Employees Cost1.361.551.431.351.36
Depreciation0.560.740.490.490.47
Other Expenses8.137.964.475.065.66
Total Expenses31.2628.8825.0525.0824.90
      
P/L Before Other Inc. , Int., Excpt. Items & Tax0.23-0.380.290.18-0.04
Other Income0.731.700.811.070.78
P/L Before Interest, Excpt. Items & Tax0.961.321.101.250.74
Interest0.220.250.180.200.21
P/L Before Exceptional Items & Tax0.741.070.921.050.53
P/L Before Tax0.741.070.921.050.53
Tax0.170.190.210.140.14
P/L After Tax from Ordinary Activities0.570.880.710.910.39
Net Profit/Loss For the Period0.570.880.710.910.39
      
Equity Share Capital4.984.984.984.984.98
EPS Before Extra Ordinary *     
Basic EPS (Rs.)1.151.781.421.830.77
Diluted EPS (Rs.)1.151.781.421.830.77
EPS After Extra Ordinary *     
Basic EPS (Rs.) 1.151.781.421.830.77
Diluted EPS (Rs.) 1.151.781.421.830.77
      
PBITOE Margin (%)0.72-1.321.140.71-0.16
PBTE Margin (%)2.363.773.624.172.12
PBT Margin (%)2.363.773.624.172.12
PAT Margin (%)1.823.102.793.601.55