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NINE MONTHS RESULTS

JK Pharmachem Ltd.
( in Crs.)

ParticularsJun 05Jun 04Jun 03Jun 02Jun 01
Net Sales/Income from operations6.1141.8169.2680.4946.54
Total Income From Operations6.1141.8169.2680.4946.54
      
EXPENDITURE     
Consumption of Raw Materials0.1820.7425.3926.500.00
Increase/Decrease in Stocks6.07-0.70-3.330.210.00
Power & Fuel0.3416.6619.2415.950.00
Employees Cost1.413.043.122.990.00
Depreciation0.217.397.507.357.35
Excise Duty0.095.916.2110.700.00
Other Expenses1.055.897.077.9345.78
Total Expenses9.3558.9365.2071.6353.13
      
P/L Before Other Inc. , Int., Excpt. Items & Tax-3.24-17.124.068.86-6.59
Other Income0.320.150.770.670.13
P/L Before Interest, Excpt. Items & Tax-2.92-16.974.839.53-6.46
Interest5.305.535.757.997.85
P/L Before Exceptional Items & Tax-8.22-22.50-0.921.54-14.31
P/L Before Tax-8.22-22.50-0.921.54-14.31
Tax0.000.00-0.190.550.00
P/L After Tax from Ordinary Activities-8.22-22.50-0.730.99-14.31
Extra Ordinary Item0.000.000.490.000.00
Net Profit/Loss For the Period-8.22-22.50-0.240.99-14.31
      
Equity Share Capital62.6862.6862.6862.6862.68
      
PBITOE Margin (%)-53.02-40.945.8611.00-14.15
PBTE Margin (%)-134.53-53.81-1.321.91-30.74
PBT Margin (%)-134.53-53.81-1.321.91-30.74
PAT Margin (%)-134.53-53.81-0.341.22-30.74
ParticularsJun 05
Net Sales/Income from operations6.11
Total Income From Operations6.11
  
EXPENDITURE 
Consumption of Raw Materials0.18
Increase/Decrease in Stocks6.07
Power & Fuel0.34
Employees Cost1.41
Depreciation0.21
Excise Duty0.09
Other Expenses1.05
Total Expenses9.35
P/L Before Other Inc. , Int., Excpt. Items & Tax-3.24
Other Income0.32
P/L Before Interest, Excpt. Items & Tax-2.92
Interest5.30
P/L Before Exceptional Items & Tax-8.22
P/L Before Tax-8.22
Tax0.00
P/L After Tax from Ordinary Activities-8.22
Extra Ordinary Item0.00
Net Profit/Loss For the Period-8.22
Equity Share Capital62.68
PBITOE Margin (%)-53.02
PBTE Margin (%)-134.53
PBT Margin (%)-134.53
PAT Margin (%)-134.53