Gujarat Toolroom Profit & Loss Annual

BSE: 513337 | NSE: - | ISIN: INE145J01032 | Sector: Construction Services
1.38 +0.01 (0.73%)Updated : 19 May 2025
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Revenue 555.432.41-0.00
Total Revenue 555.432.410.000.00
Costof Revenue Total 477.920.52--
Gross Profit 77.511.89--
Selling/ General/ Admin Expenses Total 0.280.020.010.00
Depreciation/ Amortization 0.030.00--
Other Operating Expenses Total 1.700.190.160.04
Total Operating Expense 479.940.730.170.04
Operating Income 75.491.68-0.17-0.04
Interest Inc( Exp) Net- Non- Op Total 0.000.000.000.00
Other Net 2.490.010.010.00
Net Income Before Taxes 77.981.69-0.16-0.04
Provisionfor Income Taxes 4.860.300.000.00
Net Income After Taxes 73.121.39-0.16-0.04
Net Income Before Extra Items 73.121.39-0.16-0.04
Net Income 73.121.39-0.16-0.04
Income Availableto Com Excl Extra Ord 73.121.39-0.16-0.04
Income Availableto Com Incl Extra Ord 73.121.39-0.16-0.04
Diluted Net Income 73.121.39-0.16-0.04
Diluted Weighted Average Shares 45.6920.3745.6845.68
Diluted EPS Excluding Extra Ord Items 1.600.070.000.00
Diluted Normalized EPS 1.600.070.000.00
period Length 12.0012.0012.0012.00
period Type ----
DPS- Common Stock Primary Issue -0.00--
*All figures in crores except per share values
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