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Refex Renewables & Infrastructure Ltd. - Research Center

531260 REFEXRENEW Group (XT) BSE data
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Results

Statement

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Profit & Loss Account
(Rs crore)
Mar ' 25 Mar ' 24 Mar ' 23 Mar ' 22 Mar ' 21
Income

Operating income

18.76 20.60 35.32 83.97 65.11
Expenses

Material consumed

0.02 4.79 31.36 79.11 57.49

Manufacturing expenses

12.72 7.12 - - -

Personnel expenses

8.93 8.73 8.57 7.15 14.28

Selling expenses

0.11 0.10 0.07 0.06 0.29

Adminstrative expenses

3.20 3.65 7.99 7.42 10.11

Expenses capitalised

- - - - -

Cost of sales

24.98 24.39 47.99 93.74 82.16

Operating profit

-6.23 -3.79 -12.67 -9.77 -17.06

Other recurring income

1.77 1.01 6.45 5.52 9.81

Adjusted PBDIT

-4.46 -2.78 -6.22 -4.25 -7.24

Financial expenses

4.50 4.08 6.79 1.55 2.12

Depreciation

0.19 0.27 0.38 0.42 0.39

Other write offs

- - - - -

Adjusted PBT

-9.15 -7.13 -13.39 -6.22 -9.76

Tax charges

0.04 -0.10 - - -

Adjusted PAT

-9.18 -7.02 - - -

Non recurring items

- - - - 0.17

Other non cash adjustments

- - - - -

Reported net profit

-9.18 -7.02 -13.39 -6.22 -9.59

Earnigs before appropriation

-59.15 -49.96 -42.94 -29.55 -23.16

Equity dividend

- - - - -

Preference dividend

- - - - -

Dividend tax

- - - - -

Retained earnings

-59.15 -49.96 -42.94 -29.55 -23.16
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