Audited Results of Carysil Ltd. Company

(Rs in Cr.) Mar 31, 2025 Mar 31, 2024 Mar 31, 2023 Mar 31, 2022 Mar 31, 2021
Operating Income 420.31 371.26 335.70 388.03 248.34
Manufacturing Expenses 41.10 33.49 24.83 32.18 18.59
Personnel Expenses 40.17 32.08 26.95 25.16 16.01
Selling Expenses 18.64 13.49 8.76 7.58 4.48
Administrative Expenses 66.48 56.16 58.53 71.26 44.83
Expenses Capitalised 0 0 0 0 0
Cost Of Sales 345.61 291.49 270.61 309.23 198.89
Operating Profit 74.70 79.77 65.09 78.80 49.45
Other Recurring Income 13.21 6.89 1.15 14.28 7.29
Adjusted PBDIT 87.91 86.66 66.24 93.07 56.74
Financial Expenses 11.91 11.94 10.12 8.71 6.40
Depreciation 26.85 25.83 22.70 16.76 11.58
Other Write offs 0 0 0 0 0
Adjusted PBT 49.15 48.89 33.42 67.61 38.76
Tax Charges 12.26 12.62 7.84 16.08 12.14
Adjusted PAT 36.89 36.27 25.58 51.52 26.63
Non Recurring Items 0 0 0 0 0
Other Non Cash adjustments 0 0 0 0 0
Reported Net Profit 36.89 36.27 25.58 51.52 26.63
Equity Dividend 5.68 5.36 3.21 6.41 5.34
Preference Dividend 0 0 0 0 0
Retained Earnings 157.04 137.82 116.92 104.55 64.43

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