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NINE MONTHS RESULTS

Radiant Cash Management Services Ltd.
( in Crs.)

ParticularsDec 25Dec 24Dec 23Dec 22Dec 21
Net Sales/Income from operations301.25306.03287.25265.22207.78
Total Income From Operations301.25306.03287.25265.22207.78
Employees Cost64.5159.6853.7344.8536.90
Depreciation7.126.314.043.292.78
Other Expenses197.82194.64184.17153.68129.48
Total Expenses269.45260.63241.94201.82169.16
      
P/L Before Other Inc. , Int., Excpt. Items & Tax31.8045.4045.3163.4038.62
Other Income6.984.574.560.890.72
P/L Before Interest, Excpt. Items & Tax38.7849.9749.8764.2939.34
Interest3.181.350.640.632.47
P/L Before Exceptional Items & Tax35.6048.6249.2463.6636.87
P/L Before Tax35.6048.6249.2463.6636.87
Tax6.3312.9912.7916.489.65
P/L After Tax from Ordinary Activities29.2735.6336.4547.1927.22
Net Profit/Loss For the Period29.2735.6336.4547.1927.22
      
Equity Share Capital10.6710.6710.6710.1310.13
EPS Before Extra Ordinary *     
Basic EPS (Rs.)2.743.343.424.662.69
Diluted EPS (Rs.)2.743.343.424.662.69
EPS After Extra Ordinary *     
Basic EPS (Rs.) 2.743.343.424.662.69
Diluted EPS (Rs.) 0.000.003.424.662.69
      
PBITOE Margin (%)10.5514.8315.7723.9018.58
PBTE Margin (%)11.8115.8817.1424.0017.74
PBT Margin (%)11.8115.8817.1424.0017.74
PAT Margin (%)9.7111.6412.6817.7913.10
ParticularsDec 25
Net Sales/Income from operations301.25
Total Income From Operations301.25
Employees Cost64.51
Depreciation7.12
Other Expenses197.82
Total Expenses269.45
  
P/L Before Other Inc. , Int., Excpt. Items & Tax31.80
Other Income6.98
P/L Before Interest, Excpt. Items & Tax38.78
Interest3.18
P/L Before Exceptional Items & Tax35.60
P/L Before Tax35.60
Tax6.33
P/L After Tax from Ordinary Activities29.27
Net Profit/Loss For the Period29.27
Equity Share Capital10.67
EPS Before Extra Ordinary * 
Basic EPS (Rs.)2.74
Diluted EPS (Rs.)2.74
EPS After Extra Ordinary * 
Basic EPS (Rs.) 2.74
Diluted EPS (Rs.) 0.00
PBITOE Margin (%)10.55
PBTE Margin (%)11.81
PBT Margin (%)11.81
PAT Margin (%)9.71