Nine Month Financial Results of PTC India Ltd. (Figures in Rs crores)

Dec 31, 2025Dec 31, 2024Dec 31, 2023Dec 31, 2022Dec 31, 2021
Other Income 289.0213.4669.3111.094.01
Raw Material 00000
Power And Fuel 00000
Employee Expenses 51.8050.9152.0245.8839.76
Excise
Admin And Selling Expenses 00000
Research And Devlopment Expenses 00000
Expenses Capitalised 00000
Other Expenses 12,202.5512,241.3712,313.5111,153.5512,376.47
Provisions Made 00000
Interest 75.8225.844.9826.4424.77
Gross Profit 436.63450.35373.61292.07363.28
Depreciation 2.042.032.462.752.67
Taxation 111.37114.9285.0774.9291.69
Extra Ordinary Item -1.920000
Prior Year Adjustments 00000
Equity Capital 296.01296.01296.01296.01296.01
Equity Dividend Rate 00000
Agg.Of Non-Prom. Shares (in lacs) 00000
Agg.Of Non PromotoHolding (%) 00000
EPS (in Rs.) 10.8511.269.667.249.08

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