Markolines Pavement Technologies Profit & Loss Annual

BSE: - | NSE: - | ISIN: - | Sector: -
152.00 +0.05 (0.03%)Updated : 10 Apr 2026
Fiscal Period2025202420232022
Period End DateMar 25Mar 24Mar 23Mar 22
Total Operating Expense 275.80307.35242.75128.06
Other Net 3.211.26-0.43-1.60
Total Adjustmentsto Net Income 0.000.00--
Diluted Weighted Average Shares 2.251.911.911.66
Gain( Loss)on Saleof Assets 0.000.040.000.00
Depreciation/ Amortization 7.045.002.262.65
Operating Income 31.2126.3525.0519.92
Net Income 22.5617.3015.7510.11
Income Availableto Com Excl Extra Ord 22.5617.3015.7510.11
Other Operating Expenses Total 90.74112.1656.25-11.11
Net Income Before Taxes 29.3825.0922.3814.67
Net Income After Taxes 22.0016.9815.7510.11
Income Availableto Com Incl Extra Ord 22.5617.3015.7510.11
Costof Revenue Total 112.45109.6631.6734.70
Gross Profit 194.56224.05236.13113.28
Interest Inc( Exp) Net- Non- Op Total -5.04-2.56-2.25-3.64
Diluted Net Income 22.5617.3015.7510.11
DPS- Common Stock Primary Issue 1.501.000.700.50
Provisionfor Income Taxes 7.388.106.634.57
Equity In Affiliates 0.560.32--
period Type ----
Net Income Before Extra Items 22.5617.3015.7510.11
Total Revenue 307.01333.70267.81147.98
period Length 12.0012.0012.0012.00
Revenue 307.01333.70267.81147.98
Selling/ General/ Admin Expenses Total 65.5780.11152.27101.62
Diluted Normalized EPS 10.049.198.356.16
Diluted EPS Excluding Extra Ord Items 10.049.068.246.08
Unusual Expense( Income) -0.420.290.21
*All figures in crores except per share values
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