Cash Flow - SK Minerals & Additives Ltd.
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ISIN No INE270A01029 52Wk High (Rs.) 24 BV (Rs.) -42.76 FV (Rs.) 1.00
Bookclosure 03/02/2020 52Wk Low (Rs.) 11 EPS (Rs.) 0.00 P/E (X) 0.00
Mkt Cap. (Rs. Cr.) 7,164.84 P/BV (X) -0.34 Div Yield (%) 0.00 Mkt Lot 1
Standalone Consolidated
(Rs. in Crs.)
ParticularsMar 26Sep 25Mar 25Sep 24Mar 24
Net Sales/Income from operations1739.591785.711735.081821.512668.66
Total Income From Operations1739.591785.711735.081821.512668.66
      
EXPENDITURE     
Consumption of Raw Materials860.47904.92910.09912.731620.84
Increase/Decrease in Stocks65.85-3.71-16.91111.27222.74
Power & Fuel330.76355.540.000.000.00
Employees Cost198.82220.64233.02201.88202.78
Depreciation124.50134.15146.43145.61152.74
Other Expenses282.59295.40623.46611.22604.58
Total Expenses1862.991906.941896.091982.712803.68
      
P/L Before Other Inc. , Int., Excpt. Items & Tax-123.40-121.23-161.01-161.20-135.02
Other Income16.4317.6863.199.535.35
P/L Before Interest, Excpt. Items & Tax-106.97-103.55-97.82-151.67-129.67
Interest294.34305.75307.02306.44292.71
P/L Before Exceptional Items & Tax-401.31-409.30-404.84-458.11-422.38
Exceptional Items-0.0630.8594.140.000.00
P/L Before Tax-401.37-378.45-310.70-458.11-422.38
P/L After Tax from Ordinary Activities-401.37-378.45-310.70-458.11-422.38
Net Profit/Loss For the Period-401.37-378.45-310.70-458.11-422.38
      
Equity Share Capital496.53496.53496.53496.53496.53
Reserves And Surplus0.000.000.000.00-18631.37
EPS Before Extra Ordinary *     
Basic EPS (Rs.)-0.80-0.76-0.62-0.92-0.85
Diluted EPS (Rs.)(0.81)-0.76(0.63)-0.92(0.85)
EPS After Extra Ordinary *     
Basic EPS (Rs.) -0.80-0.76-0.62-0.92-0.85
Diluted EPS (Rs.) 0.00-0.760.00-0.920.00
      
PBITOE Margin (%)-7.09-6.78-9.27-8.84-5.05
PBTE Margin (%)-23.06-22.92-23.33-25.15-15.82
PBT Margin (%)-23.07-21.19-17.90-25.15-15.82
PAT Margin (%)-23.07-21.19-17.90-25.15-15.82