Refresh

Petro Carbon and Chemicals Ltd. - Research Center

Group () BSE data
Back to Company

Results

Statement

More

Profit & Loss Account
(Rs crore)
Mar ' 23 Mar ' 22 Mar ' 21
Income

Operating income

515.51 276.97 152.00
Expenses

Material consumed

449.24 234.10 126.59

Manufacturing expenses

4.91 3.30 1.22

Personnel expenses

4.46 3.13 2.58

Selling expenses

- - -

Adminstrative expenses

32.73 23.12 20.06

Expenses capitalised

- - -

Cost of sales

491.35 263.66 150.45

Operating profit

24.16 13.31 1.55

Other recurring income

2.10 2.96 3.28

Adjusted PBDIT

26.26 16.27 4.83

Financial expenses

14.99 6.87 3.92

Depreciation

1.78 1.08 0.62

Other write offs

- - -

Adjusted PBT

9.50 8.31 0.29

Tax charges

2.77 2.34 0.17

Adjusted PAT

6.72 5.98 0.12

Non recurring items

- -0.27 -

Other non cash adjustments

- - -

Reported net profit

6.72 5.71 0.12

Earnigs before appropriation

11.52 4.80 -0.87

Equity dividend

- - -

Preference dividend

- - -

Dividend tax

- - -

Retained earnings

11.52 4.80 -0.87
Sectoral Indices Market Indicators Listed Companies Gainers Losers Mutual Funds Portfolio Watchlist
© 2024 Rediff.com