Date:03-May-2024  Time: 7:12 PM
 
 
        
Carysil Ltd
(Rs. In Crores)
ParticularsMar 2023Mar 2022Mar 2021Mar 2020Mar 2019
Sales Turnover 335.70388.03248.34214.37198.76
Other Income 1.1514.287.294.992.73
Stock Adjustments -2.1125.80-4.70-1.595.70
Total Income334.74428.11250.93217.77207.19
Raw Materials 101.01126.8166.6968.2573.08
Excise Duty0.000.000.000.000.00
Power & Fuel Cost10.9013.756.576.125.60
Other Manufacturing Expenses 64.0692.3657.5446.5642.69
Employee Cost 22.3721.9714.1715.0812.07
Selling and Administration Expenses 61.1075.5441.0139.0436.56
Miscellaneous Expenses 8.123.767.605.133.76
Less: Preoperative Expenditure Capitalised0.000.000.000.000.00
Profit before Interest, Depreciation & Tax67.1893.9257.3537.5933.43
Interest & Financial Charges 11.059.557.018.469.07
Profit before Depreciation & Tax56.1384.3750.3429.1324.36
Depreciation22.7016.7611.5810.927.68
Profit Before Tax33.4267.6038.7718.2116.68
Tax7.8416.0812.145.424.90
Profit After Tax25.5851.5226.6312.7911.78
Adjustment below Net Profit 0.000.000.00-1.14-0.53
P & L Balance brought forward94.5559.4343.1537.6131.95
Appropriations 13.2116.4110.346.115.59
P & L Bal. carried down106.9294.5559.4343.1537.61
Equity Dividend3.216.415.343.112.59
Preference Dividend0.000.000.000.000.00
Corporate Dividend Tax0.000.000.000.000.00
Equity Dividend (%)100.00120.00100.0060.0060.00
Earning Per Share (Rs.)9.5619.309.974.794.54
Book Value83.9175.0456.7348.8243.85
Extraordinary Items 0.070.410.010.000.01
 
Source:Capital Market
 
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