RCFFertilizers

Rashtriya Chemicals & Fertilizers LtdProfit & Loss Statement

106.67
-2.74%

Rashtriya Chemicals & Fertilizers Ltd Profit & Loss Statement (Annual)

Metric20252024202320222021
Other Operating Expenses4.49K Cr4.92K Cr6.26K Cr4.11K Cr
Tax Effect Of Unusual Items1.14 Cr10.16 Cr21.43 Cr35.70 Cr
Tax Rate For Calcs0.260.250.240.25
Normalized EBITDA841.16 Cr678.42 Cr1.57K Cr1.10K Cr
Total Unusual Items4.37 Cr40.32 Cr88.98 Cr140.66 Cr
Total Unusual Items Excluding Goodwill4.37 Cr40.32 Cr88.98 Cr140.66 Cr
Net Income From Continuing Operation Net Minority Interest242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Reconciled Depreciation263.53 Cr233.93 Cr206.58 Cr183.84 Cr
Reconciled Cost Of Revenue10.28K Cr10.13K Cr12.14K Cr6.35K Cr
EBITDA845.53 Cr718.74 Cr1.66K Cr1.24K Cr
EBIT582.00 Cr484.81 Cr1.45K Cr1.05K Cr
Net Interest Income-253.68 Cr-183.64 Cr-166.39 Cr-69.34 Cr
Interest Expense253.68 Cr183.64 Cr177.22 Cr112.18 Cr
Normalized Income239.22 Cr195.12 Cr898.76 Cr597.43 Cr
Net Income From Continuing And Discontinued Operation242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Total Expenses16.52K Cr16.70K Cr6.43K Cr4.49K Cr
Diluted Average Shares55.23 Cr55.22 Cr55.17 Cr55.17 Cr
Basic Average Shares55.23 Cr55.22 Cr55.17 Cr55.17 Cr
Diluted EPS4.394.0817.5212.73
Basic EPS4.394.0817.5212.73
Diluted NI Availto Com Stockholders242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Net Income Common Stockholders242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Otherunder Preferred Stock Dividend0.000.000.000.00
Net Income242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Net Income Including Noncontrolling Interests242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Net Income Continuous Operations242.45 Cr225.28 Cr966.31 Cr702.39 Cr
Tax Provision85.87 Cr75.89 Cr306.83 Cr239.55 Cr
Pretax Income328.32 Cr301.17 Cr1.27K Cr941.94 Cr
Other Non Operating Income Expenses164.82 Cr165.43 Cr117.27 Cr70.93 Cr
Special Income Charges4.37 Cr40.32 Cr87.64 Cr135.67 Cr
Other Special Charges-4.37 Cr-40.32 Cr-92.97 Cr-135.39 Cr
Net Non Operating Interest Income Expense-253.68 Cr-183.64 Cr-166.39 Cr-69.34 Cr
Interest Expense Non Operating253.68 Cr183.64 Cr177.22 Cr112.18 Cr
Operating Income411.99 Cr281.52 Cr1.39K Cr825.21 Cr
Operating Expense6.24K Cr6.57K Cr-5.71K Cr-1.86K Cr
Depreciation And Amortization In Income Statement262.76 Cr233.10 Cr206.26 Cr183.55 Cr
Depreciation Income Statement262.76 Cr233.10 Cr205.08 Cr181.98 Cr
Selling General And Administration892.21 Cr869.58 Cr776.63 Cr699.04 Cr
Selling And Marketing Expense892.21 Cr869.58 Cr731.35 Cr659.28 Cr
Gross Profit6.65K Cr6.85K Cr-4.32K Cr-1.04K Cr
Cost Of Revenue10.28K Cr10.13K Cr12.14K Cr6.35K Cr
Total Revenue16.93K Cr16.98K Cr7.82K Cr5.31K Cr
Operating Revenue16.93K Cr16.98K Cr7.82K Cr5.31K Cr
Interest Income51.17 Cr23.41 Cr51.25 Cr30.66 Cr
Rent Expense Supplemental15.10 Cr9.17 Cr8.98 Cr12.18 Cr
Write Off-0.12 Cr-0.53 Cr-0.28 Cr1.88 Cr
Impairment Of Capital Assets6.35 Cr5.86 Cr0.000.20 Cr
Total Other Finance Cost2.53 Cr12.58 Cr8.41 Cr2.71 Cr
Interest Income Non Operating51.17 Cr23.41 Cr51.25 Cr30.66 Cr
Amortization0.41 Cr1.18 Cr1.57 Cr1.32 Cr
Research And Development6.70 Cr6.23 Cr4.92 Cr2.30 Cr
General And Administrative Expense48.87 Cr45.28 Cr39.76 Cr44.22 Cr
Rent And Landing Fees15.10 Cr9.17 Cr8.98 Cr12.18 Cr

All figures in ₹ Crores. Source: NSE/BSE filings via Bull Run.

Data from NSE/BSE public filings. Educational purposes only. Bull Run is not SEBI-registered. Not investment advice.