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Audited Results of Steel Authority of India (SAIL) Ltd. Company
(Rs in Cr.) |
Mar 31, 2023 |
Mar 31, 2022 |
Mar 31, 2021 |
Mar 31, 2020 |
Mar 31, 2019 |
Operating Income |
1,04,447.36 |
1,03,473.32 |
69,110.02 |
61,660.55 |
66,967.31 |
Manufacturing Expenses |
7,703.71 |
7,131.44 |
5,709.46 |
6,191.55 |
6,052.52 |
Personnel Expenses |
12,053.62 |
12,846.24 |
10,445.94 |
8,781.32 |
8,830.34 |
Selling Expenses |
0 |
0 |
0 |
0 |
0 |
Administrative Expenses |
14,966.81 |
15,748.37 |
9,595.67 |
9,107.06 |
9,798.77 |
Expenses Capitalised |
0 |
0 |
0 |
0 |
0 |
Cost Of Sales |
96,423.29 |
82,151.17 |
56,381.97 |
51,461.54 |
57,233.20 |
Operating Profit |
8,024.07 |
21,322.15 |
12,728.05 |
10,199.01 |
9,734.11 |
Other Recurring Income |
1,354.84 |
1,042.03 |
1,011.69 |
985.22 |
532.82 |
Adjusted PBDIT |
9,378.91 |
22,364.18 |
13,739.74 |
11,184.23 |
10,266.93 |
Financial Expenses |
2,037.47 |
1,697.88 |
2,817.14 |
3,486.76 |
3,154.92 |
Depreciation |
4,962.52 |
4,274.17 |
4,102 |
3,755.05 |
3,384.72 |
Other Write offs |
0 |
0 |
0 |
0 |
0 |
Adjusted PBT |
2,378.92 |
16,392.13 |
6,820.60 |
3,942.42 |
3,727.29 |
Tax Charges |
733.84 |
4,023.68 |
3,029.01 |
1,149.12 |
1,159.07 |
Adjusted PAT |
1,645.08 |
12,368.45 |
3,791.59 |
2,793.30 |
2,568.22 |
Non Recurring Items |
-232.24 |
-437.06 |
326.08 |
-900.20 |
-174.78 |
Other Non Cash adjustments |
0 |
0 |
0 |
0 |
0 |
Reported Net Profit |
1,903.07 |
12,015.04 |
3,850.02 |
2,021.54 |
2,178.82 |
Equity Dividend |
1,342.42 |
3,428.33 |
0 |
0 |
0 |
Preference Dividend |
0 |
0 |
0 |
0 |
0 |
Retained Earnings |
41,993.22 |
41,369.62 |
32,988.74 |
28,531.97 |
26,292.32 |