Thryvv : Data page

Quarterly P&L

in ₹ Crores
View
Order
Quarterly P&L
TTM
Jun2025
Mar2025
Dec2024
Sep2024
Jun2024
Mar2024
Dec2023
Sep2023
Revenue
28,342
5,487 +0%
8,994 +8.9%
7,278 +32.2%
6,585 +28.5%
5,485
8,261
5,504
5,126
Total Operating Expenses
27,468
6,025 +6.5%
8,162 +8.4%
6,973 +31.9%
6,310 +19.5%
5,655
7,533
5,288
5,279
Operating Profit (Excl. OI)
874
-537
832 +14.3%
305 +40.5%
275
-169
728
217
-153
OPM (Excl. OI) %
3.1%
-9.8%
9.3%
4.2%
4.2%
-3.1%
8.8%
3.9%
-3%
Other Income (OI)
540
172 +76.7%
150 -4.7%
108 +12.6%
112 -38.2%
97
157
96
181
Operating Profit
1,414
-365
981 +10.9%
413 +31.9%
387 +1364.3%
-72
885
313
27
Interest
768
182 +12%
202 +4.2%
184 -3.1%
202 +11.6%
162
194
190
181
Depreciation
288
75 +26.4%
86 +24.3%
68 +12%
61 +0.3%
59
69
61
60
Exceptional Income / Expense
NA
NA
NA
NA
NA
NA
NA
NA
NA
Profit Before Tax
359
-621
695 +11.5%
161 +158.2%
125
-293
623
63
-213
Tax
127
-152
200 +36.3%
45 +82.2%
36
-67
147
25
-138
Profit After Tax
232
-469
495 +3.9%
117 +206.6%
90
-225
477
38
-74
PATM %
0.8%
-8.6%
5.5%
1.6%
1.4%
-4.1%
5.8%
0.7%
-1.5%
EPS
0.8
-1.3
1.5 +2.8%
0.4 +129.4%
0.3
-0.6
1.4
0.2
-0.2
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.

Annual P&L

in ₹ Crores
View
Order
Annual P&L
TTM
Mar2025
Mar2024
Mar2023
Mar2022
Mar2021
Revenue
28,342
28,340 +18.6%
23,893 +2.3%
23,365 +10.2%
21,212 +22.5%
17,309
Sales
31,907 +19.5%
26,707 +3.9%
25,703 +11.2%
23,124 +23.7%
18,689
Job Work/ Contract Receipts
NA
NA
NA
NA
NA
Revenue from Property Development
NA
NA
NA
NA
NA
Processing Charges / Service Income
159 -3.4%
164 -12.8%
188 +45.2%
130 +38.6%
94
Other Operational Income
827 +2.2%
809 -22.3%
1,041 +12.1%
929 +1%
920
Less: Excise Duty
4,552 +20.2%
3,786 +6.2%
3,566 +20.1%
2,970 +24.1%
2,393
Total Operating Expenses
27,468
32,558 +15.9%
28,095 +10.7%
25,384 +7.6%
23,590 +3.3%
22,827
Increase / Decrease in Stock
NA
-1,542
-436
-57
526 +2.9%
511
Raw Material Consumed
NA
14,966 +24.9%
11,985 +13.8%
10,533 +14.4%
9,205 +12.8%
8,159
Employee Cost
NA
5,924 +5.2%
5,629 -1.3%
5,701 +3.3%
5,520 +2.6%
5,379
Power & Fuel Cost
NA
512 +7.5%
476 -6.8%
511 +17.2%
436 +23.1%
354
Other Manufacturing Expenses
NA
5,998 +4%
5,766 -8.2%
6,280 +14.3%
5,493 +50.2%
3,657
General & Admin Expenses
NA
732 +19.6%
612 +4.1%
588 +14.6%
513 -14.6%
600
Selling & Marketing Expenses
NA
249 +14.3%
218 -17.1%
262 +4.2%
252 +9.1%
231
Miscellaneous Expenses
NA
5,724 +48.7%
3,848 +145.4%
1,569 -4.9%
1,650 -58.1%
3,939
Less: Capitalised Expenses
NA
NA
NA
NA
NA
NA
Operating Profit (Excl. OI)
874
-4,218
-4,201
-2,018
-2,378
-5,518
OPM (Excl. OI) %
3.1%
NA
NA
NA
NA
NA
Other Income (OI)
540
6,083 +11.5%
5,457 +53.7%
3,551 -0.3%
3,562 +26.4%
2,818
Operating Profit
1,414
1,865 +48.6%
1,256 -18.1%
1,533 +29.6%
1,183
-2,700
Interest
768
907 +9.5%
828 +35.2%
613 +36.6%
449 -4%
467
Depreciation
288
272 +9.3%
249 -4.4%
261 -17.1%
315 -33.6%
474
Exceptional Income / Expenses
NA
NA
NA
NA
NA
NA
Profit Before Tax
359
746 +207.3%
243 -66.1%
716 +52.1%
471
-3,595
Tax
127
212
-39
62 +138.8%
26
-896
Profit After Tax
232
534 +89.2%
283 -56.9%
655 +47.1%
445
-2,699
PATM %
0.8%
1.9 %
1.2 %
2.8 %
2.1 %
NA
EPS
0.8
1.5 +88.9%
0.8 -56.9%
1.9 +46.9%
1.3
-7.8
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.

Balance Sheet

in ₹ Crores
View
Order
Balance Sheet
Mar2025
Mar2024
Mar2023
Mar2022
Mar2021
Current Assets
42,772 +23.7%
34,568 +18.6%
29,154 +4.4%
27,924 -3.7%
29,002
Cash & Bank Balance
7,613 +23.6%
6,158 -8.1%
6,699 -6.4%
7,154 +6.7%
6,702
Cash in hand
1
1 -12.5%
1
1 +14.3%
1
Balances at Bank
7,607 +23.6%
6,155 -6.3%
6,569 -8%
7,138 +6.5%
6,702
Other cash and bank balances
6 +76.3%
4 -97.6%
130 +680.9%
17 +16420%
1
Trade Receivables
5,885 +23%
4,786 +53%
3,129 +3.4%
3,025 -25%
4,036
Debtors more than Six months
2,427 +29.3%
1,878 +33.9%
1,403 +0.7%
1,393 -50.1%
2,792
Debtors Others
4,834 +20.5%
4,013 +67.3%
2,399 +7.8%
2,226 +4.7%
2,125
Inventories
9,870 +36.7%
7,221 +6.9%
6,756 +3%
6,561 -8.8%
7,195
Investments
0
0
0
0
0
Short-Term Loans & Advances
17,735 +17.5%
15,096 +32.7%
11,375 +14.8%
9,910 +1.5%
9,768
Advances recoverable in cash or in kind
17,056 +14.4%
14,909 +29%
11,556 +22%
9,470 +22.1%
7,758
Advance income tax and TDS
150 -41.2%
255 -11.1%
286 +58.2%
181 -83%
1,063
Amounts due from directors
0
0
0
0
0
Due From Subsidiaries
0
0
0
0
0
Inter corporate deposits
0
0
0
0
0
Corporate Deposits
0
0
0
0
0
Other Loans & Advances
531
-67
-466
259 -72.7%
948
Other Current Assets
1,671 +27.7%
1,309 +9.3%
1,197 -6.2%
1,276 -2.2%
1,304
Interest accrued on Investments
141 +14.8%
123 -12.7%
141 +83.6%
77 -0.7%
78
Interest accrued on Debentures
0
0
0
0
0
Deposits with Government
503 +27.1%
396 -2.1%
404 -27.4%
557 -11.1%
626
Interest accrued and or due on loans
0
0
0
0
0
Prepaid Expenses
0
0
0
0
0
Other current_assets
1,028 +30%
790 +21.1%
653 +1.4%
643 +6.9%
602
Long-Term Assets
21,256 +4.9%
20,259 -14.1%
23,579 -5.1%
24,852 +7%
23,226
Net PPE / Net Block
2,947 +14.5%
2,575 +4%
2,476 +3.2%
2,399 -3.7%
2,492
Gross PPE / Gross Block
7,749 +7.1%
7,237 +4.1%
6,949 +4.7%
6,640 +2.6%
6,471
Less: Accumulated Depreication
4,802 +3%
4,663 +4.2%
4,473 +5.5%
4,242 +6.6%
3,980
Less: Impairment of Assets
0
0
0
0
0
Capital work-in-progress
162 -42.7%
283 -18.1%
345 -18.4%
423 +4.7%
404
Long-Term Investments
276 +7.8%
256 +8.6%
236 +14.8%
206 +10.7%
186
Long-Term Loans & Advances
3,379 -4.1%
3,522 -3.8%
3,662 +6.9%
3,425 -2%
3,495
Other Long-Term Assets
14,460 +6.3%
13,599 -19.3%
16,853 -8.4%
18,393 +10.6%
16,635
Total Assets
64,028 +16.8%
54,826 +4%
52,733 -0.1%
52,776 +1%
52,228
Current Liabilities
28,238 +11.7%
25,273 +7.4%
23,539 +9.8%
21,433 +2%
21,016
Trade Payables
9,541 +11.7%
8,540 -13.7%
9,896 +27.7%
7,750 +16%
6,681
Sundry Creditors
9,506 +11.8%
8,503 -13%
9,770 +28.1%
7,627 +16.1%
6,567
Acceptances
36 -3.2%
37 -71%
127 +2.9%
123 +7.7%
114
Due to Subsidiaries- Trade Payables
0
0
0
0
0
Other Current Liabilities
8,075 +44.7%
5,582 +3.3%
5,403 -7%
5,810 +2.7%
5,659
Bank Overdraft / Short term credit
0
0
0
0
0
Advances received from customers
5,551 +80.8%
3,071 +0.7%
3,050 -20.9%
3,855 -5%
4,058
Interest Accrued But Not Due
28 +9.4%
25 +204.5%
9 -10.1%
10 +840.2%
1
Share Application Money
0
0
0
0
0
Current maturity of Debentures & Bonds
0
0
0
0
0
Current maturity - Others
0
0
0
0
0
Other Liabilities
2,497 +0.4%
2,487 +6.1%
2,345 +20.5%
1,947 +21.7%
1,600
Short-Term Borrowigs
8,795 -0.1%
8,808 +63.6%
5,385 +13.5%
4,745 -2.2%
4,850
Secured ST Loans repayable on Demands
8,795 -0.1%
8,808 +63.6%
5,385 +13.5%
4,745 +757.5%
554
Working Capital Loans- Sec
8,795 -0.1%
8,808 +106.3%
4,270 -10%
4,745 +834.7%
508
Buyers Credits - Unsec
0
0
0
0
0
Commercial Borrowings- Unsec
0
0
0
0
9
Other Unsecured Loans
-8,795
-8,808
-4,270
-4,745
3,781
Short-Term Provisions
1,828 -22%
2,344 -17.9%
2,857 -8.7%
3,129 -18.3%
3,828
Proposed Equity Dividend
0
0
0
0
0
Provision for Corporate Dividend Tax
0
0
0
0
0
Provision for Tax
13 -51.5%
26 -57.7%
60 -3.3%
62 -90.7%
659
Provision for post retirement benefits
0
0
0
0
0
Preference Dividend
0
0
0
0
0
Other Provisions
1,816 -21.7%
2,319 -17.1%
2,797 -8.8%
3,067 -3.2%
3,169
Long-Term Liabilities
11,068 +116.4%
5,115 +6.2%
4,816 -0.4%
4,836 -7.7%
5,240
Minority Interest
0
0
0
0
-11
Long-Term Borrowings
0
0
0
0
0
Secured Loans
0
0
0
0
0
Non Convertible Debentures
0
0
0
0
0
Convertible Debentures & Bonds
0
0
0
0
0
Packing Credit - Bank
0
0
0
0
0
Inter Corporate & Security Depsoit
0
0
0
0
0
Term Loans - Banks
0
0
0
0
0
Term Loans - Institutions
0
0
0
0
0
Other Secured
0
0
0
0
0
Unsecured Loans
0
0
0
0
0
Fixed Deposits - Public
0
0
0
0
0
Loans and advances from subsidiaries
0
0
0
0
0
Inter Corporate Deposits
0
0
0
0
0
Foreign Currency Convertible Notes
0
0
0
0
0
Long Term Loan in Foreign Currency
0
0
0
0
0
Loans - Banks
0
0
0
0
0
Loans - Govt.
0
0
0
0
0
Loans - Others
0
0
0
0
0
Other Unsecured Loan
0
0
0
0
0
Deferred Tax Assets / Liabilities
-4,067
-4,201
-4,246
-3,530
-3,671
Deferred Tax Assets
4,142 -2%
4,227 -0.5%
4,247 +20.3%
3,531 -3.8%
3,672
Deferred Tax Liabilities
74 +195.3%
25
0
0
0
Other Long-Term Liabilities
10,380 +128.9%
4,535 +56.6%
2,896 +17.6%
2,463 -20.6%
3,102
Long-Term Trade Payables
2,171 -5.3%
2,293 +11%
2,066 -3.1%
2,132 +13.2%
1,884
Long-Term Provisions
2,586 +3.9%
2,490 -39.3%
4,102 +8.7%
3,772 -3.9%
3,926
Total Liabilities
39,306 +29.3%
30,388 +7.2%
28,355 +7.9%
26,269 +0.1%
26,244
Equity
24,723 +1.2%
24,439 +0.2%
24,379 -8%
26,507 +2%
25,984
Share Capital
697
697
697
697
697
Share Warrants & Outstanding
0
0
0
0
0
Total Reserves
24,026 +1.2%
23,743 +0.3%
23,682 -8.2%
25,811 +2.1%
25,288
Securities Premium
0
0
0
0
0
Capital Reserves
36
36
36
36
36
Profit & Loss Account Balance
-5,943
-6,390
-6,533
-4,421
-4,867
General Reserves
30,477
30,477
30,477
30,477
30,477
Other Reserves
-542
-379
-296
-280
-357
Total Liabilities & Equity
64,028 +16.8%
54,826 +4%
52,733 -0.1%
52,776 +1%
52,228
Contingent Liabilities
6,309 -20.6%
7,946 +8.7%
7,307 +8.2%
6,756 +11.7%
6,046
Total Debt
8,795 -0.1%
8,808 +63.6%
5,385 +13.5%
4,745 -2.2%
4,850
Book Value
71 +1.2%
71 +0.2%
71 -8%
77 +2%
75
Adjusted Book Value
71 +1.2%
71 +0.2%
71 -8%
77 +2%
75
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.

Cash Flow

in ₹ Crores
View
Order
Cash Flow
Mar2025
Mar2024
Mar2023
Mar2022
Mar2021
Cash Flow from Operating Activities
2,192
-3,712
-740
661 +17.9%
560
Profit Before Tax
746 +207.3%
243 -66.1%
716 +52.1%
471
-3,595
Adjustment
-364
-733
-770
-813
1,726
Changes In working Capital
1,730
-3,444
-796
595 -77.3%
2,621
Cash Flow after changes in Working Capital
2,111
-3,935
-851
252 -66.5%
751
Less: Taxes Paid (net of refunds)
82 -63.4%
223 +101.2%
111 -73%
409
-190
Cash Flow from Investing Activities
-2,730
1,331 -10.1%
1,481
-1,125
-42
Cash Flow from Financing Activities
-856
2,656 +2885.3%
89
-329
-394
Net Cashflow
-1,395
274 -67%
829
-794
124
Opening Cash & Cash Equivalents
1,836 +17.5%
1,562 +113.1%
733 -51.8%
1,520 +8.8%
1,397
Closing Cash & Cash Equivalent
440 -76.1%
1,836 +17.5%
1,562 +113.1%
733 -51.8%
1,520
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.