TAPARIAIron & Steel Products

Taparia Tools LtdProfit & Loss Statement

23.94
+0.00%

Taparia Tools Ltd Profit & Loss Statement (Annual)

Metric20252024202320222021
Tax Effect Of Unusual Items0.000.000.68 Cr0.35 Cr
Tax Rate For Calcs0.260.250.250.26
Normalized EBITDA167.77 Cr135.12 Cr95.79 Cr87.79 Cr
Total Unusual Items0.000.002.68 Cr1.36 Cr
Total Unusual Items Excluding Goodwill0.000.002.68 Cr1.36 Cr
Net Income From Continuing Operation Net Minority Interest122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Reconciled Depreciation2.61 Cr1.40 Cr1.64 Cr1.76 Cr
Reconciled Cost Of Revenue478.60 Cr486.42 Cr544.55 Cr469.62 Cr
EBITDA167.77 Cr135.12 Cr98.46 Cr89.15 Cr
EBIT165.17 Cr133.72 Cr96.82 Cr87.39 Cr
Net Interest Income-0.29 Cr-0.29 Cr0.39 Cr-0.09 Cr
Interest Expense0.29 Cr0.29 Cr0.10 Cr12000.00
Normalized Income122.52 Cr99.77 Cr70.32 Cr64.08 Cr
Net Income From Continuing And Discontinued Operation122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Total Expenses759.76 Cr703.95 Cr651.58 Cr563.86 Cr
Diluted NI Availto Com Stockholders122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Net Income Common Stockholders122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Otherunder Preferred Stock Dividend0.000.000.000.00
Net Income122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Net Income Including Noncontrolling Interests122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Net Income Continuous Operations122.52 Cr99.77 Cr72.32 Cr65.09 Cr
Tax Provision42.36 Cr33.66 Cr24.40 Cr22.30 Cr
Pretax Income164.88 Cr133.43 Cr96.72 Cr87.39 Cr
Other Non Operating Income Expenses12.03 Cr9.14 Cr1.06 Cr0.45 Cr
Special Income Charges0.000.00-0.01 Cr-0.01 Cr
Net Non Operating Interest Income Expense-0.29 Cr-0.29 Cr0.39 Cr-0.09 Cr
Interest Expense Non Operating0.29 Cr0.29 Cr0.10 Cr12000.00
Operating Income153.13 Cr124.58 Cr92.55 Cr85.68 Cr
Operating Expense281.15 Cr217.53 Cr107.03 Cr94.23 Cr
Other Operating Expenses235.85 Cr176.43 Cr0.10 Cr0.11 Cr
Depreciation And Amortization In Income Statement2.61 Cr1.40 Cr1.64 Cr1.76 Cr
Depreciation Income Statement2.61 Cr1.40 Cr1.64 Cr1.15 Cr
Gross Profit434.29 Cr342.11 Cr199.57 Cr179.91 Cr
Cost Of Revenue478.60 Cr486.42 Cr544.55 Cr469.62 Cr
Total Revenue912.89 Cr828.53 Cr744.13 Cr649.53 Cr
Operating Revenue912.89 Cr828.53 Cr744.13 Cr649.53 Cr
Interest Income0.08 Cr0.58 Cr0.02 Cr0.14 Cr
Rent Expense Supplemental1.18 Cr0.97 Cr0.65 Cr0.25 Cr
Diluted Average Shares1.52 Cr1.52 Cr1.52 Cr1.52 Cr
Basic Average Shares1.52 Cr1.52 Cr1.52 Cr1.52 Cr
Diluted EPS65.7347.6542.8831.84
Basic EPS65.7347.6542.8831.84
Other Special Charges0.03 Cr48000.0040000.00-0.04 Cr
Write Off0.33 Cr53000.0098000.000.06 Cr
Total Other Finance Cost0.13 Cr0.09 Cr0.11 Cr0.14 Cr
Interest Income Non Operating0.08 Cr0.58 Cr0.02 Cr0.14 Cr
Amortization0.03 Cr51000.000.61 Cr0.76 Cr
Selling General And Administration96.10 Cr87.72 Cr78.17 Cr63.40 Cr
Selling And Marketing Expense89.75 Cr82.72 Cr72.84 Cr58.37 Cr
General And Administrative Expense6.35 Cr4.99 Cr5.33 Cr5.04 Cr
Rent And Landing Fees1.18 Cr0.97 Cr0.65 Cr0.25 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.