Thryvv : Data page

Quarterly P&L

in ₹ Crores
View
Order
Quarterly P&L
TTM
Dec2024
Sep2024
Jun2024
Mar2024
Dec2023
Sep2023
Jun2023
Mar2023
Revenue
304
68 +44.5%
66 -8.5%
86 +55.8%
85 +0.3%
48
72
55
85
Total Operating Expenses
442
73 -0.6%
87 +17.3%
91 +1.3%
192 +14%
73
75
89
169
Operating Profit (Excl. OI)
-137
-4
-21
-4
-107
-25
-2
-34
-84
OPM (Excl. OI) %
-45.1%
-6.3%
-31.9%
-5.4%
-126.7%
-54.5%
-3%
-62.1%
-99.6%
Other Income (OI)
39
8 +225.5%
13 -65.7%
4 -81.1%
15 -35.9%
3
37
21
24
Operating Profit
-98
4
-8
0
-92
-23
35
-13
-60
Interest
4
1 -74.2%
1 -83%
1 -86.8%
2 -91.8%
2
4
7
17
Depreciation
7
2 -8.2%
2 -14.5%
2 -28.4%
3 -17.7%
2
2
3
3
Exceptional Income / Expense
NA
NA
NA
NA
-2
34
NA
7
1
Profit Before Tax
-110
2 -80.1%
-10
-3
-98
8
29
-15
-79
Tax
NA
NA
NA
NA
NA
NA
NA
NA
NA
Profit After Tax
-110
2 -80.1%
-10
-3
-98
8
29
-15
-79
PATM %
-36.3%
2.2%
-16.3%
-3.6%
-115.9%
16%
39.8%
-28.6%
-94.1%
EPS
-8.4
0.1 -81.4%
-0.8
-0.2
-7.5
0.6
2.2
-1.2
-6.1
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
Mar2024
Mar2023
Mar2022
Mar2021
Mar2020
Revenue
304
259 +46%
178 -42.4%
308 -7.5%
333 -40.8%
563
Sales
NA
NA
NA
NA
NA
Job Work/ Contract Receipts
257 +49.7%
172 -26.6%
234 -27.9%
324 -40.7%
546
Revenue from Property Development
NA
NA
NA
NA
NA
Processing Charges / Service Income
NA
NA
NA
NA
NA
Other Operational Income
3 -63.9%
6 -92.2%
75 +735.7%
9 -46.7%
17
Less: Excise Duty
NA
NA
NA
NA
NA
Total Operating Expenses
442
428 +42%
302 -42.7%
527 -5.1%
555 -0.4%
557
Increase / Decrease in Stock
NA
NA
NA
NA
NA
NA
Raw Material Consumed
NA
69 +68.9%
41 -59.7%
101 +10.3%
92 -35.8%
142
Employee Cost
NA
40 +9%
37 -16.4%
44 -10.9%
49 -26.7%
67
Power & Fuel Cost
NA
1 +90.3%
1 -31.1%
1 +2.3%
1 -60.4%
2
Other Manufacturing Expenses
NA
133 +33.3%
100 -30.3%
144 -9.6%
159 -44.5%
286
General & Admin Expenses
NA
22 +15.6%
19 -23.6%
25 +21.4%
20 -35.5%
31
Selling & Marketing Expenses
NA
1 -11.5%
1 +73.3%
1
1 -79.5%
1
Miscellaneous Expenses
NA
165 +55.8%
106 -50.7%
215 -9%
236 +697.6%
30
Less: Capitalised Expenses
NA
NA
NA
NA
NA
NA
Operating Profit (Excl. OI)
-137
-169
-124
-218
-221
6
OPM (Excl. OI) %
-45.1%
NA
NA
NA
NA
1.1 %
Other Income (OI)
39
75 +92.2%
39 -45.7%
72 +57.8%
46 -1.1%
46
Operating Profit
-98
-95
-85
-147
-176
52
Interest
4
14 -41.7%
24 -49.8%
46 +7.7%
43 +63.5%
27
Depreciation
7
8 -26.9%
11 -24.9%
14 -28.6%
19 -41%
33
Exceptional Income / Expenses
NA
39
-5
-179
-47
-399
Profit Before Tax
-110
-77
-124
-386
-285
-406
Tax
NA
NA
NA
NA
NA
NA
Profit After Tax
-110
-77
-124
-386
-285
-406
PATM %
-36.3%
NA
NA
NA
NA
NA
EPS
-8.4
-5.9
-9.5
-29.5
-21.7
-30.9
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.

Balance Sheet

in ₹ Crores
View
Order
Balance Sheet
Mar2024
Mar2023
Mar2022
Mar2021
Mar2020
Current Assets
643 -9.3%
709 -19.4%
880 -9.4%
971 -29.2%
1,372
Cash & Bank Balance
342 +3.2%
331 -0.2%
332 +27.2%
261 +0%
261
Cash in hand
1 -25%
1 -50%
1
1 -27.3%
1
Balances at Bank
342 +3.2%
331 -0.2%
332 +27.2%
261 +0%
261
Other cash and bank balances
0
0
0
0
0
Trade Receivables
40 -47.3%
75 -1.3%
76 -43.5%
135 -35%
207
Debtors more than Six months
314 +3.3%
304 -3.5%
315 -13.4%
364
0
Debtors Others
19 -43.9%
33 +47.3%
22
0
385
Inventories
16 +54.2%
11 -52.3%
22 -42.4%
38 -27.8%
53
Investments
0
0
0
0
0
Short-Term Loans & Advances
150 -9.8%
166 -41.5%
284 -11.4%
321 -3.3%
332
Advances recoverable in cash or in kind
31 +127.6%
14 -68.9%
43 -9.8%
48 -55.9%
108
Advance income tax and TDS
41 -3.1%
42 -4.1%
44 +38.4%
32
32
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
80 -28.7%
111 -43.8%
198 -18.2%
242 +25.7%
193
Other Current Assets
97 -24.2%
127 -23.8%
167 -23.5%
218 -58.2%
521
Interest accrued on Investments
26 +43.6%
18 +25.8%
14 +17.1%
12 +90.1%
7
Interest accrued on Debentures
0
0
0
0
0
Deposits with Government
0
0
0
0
0
Interest accrued and or due on loans
0
0
0
0
0
Prepaid Expenses
0
0
0
0
0
Other current_assets
71 -35.1%
110 -28.4%
153 -25.9%
206 -60%
515
Long-Term Assets
1,053 -5.8%
1,118 +7.8%
1,037 -15.4%
1,226 -2.3%
1,254
Net PPE / Net Block
34 -21%
43 -14.1%
49 -32.1%
73 -19.1%
90
Gross PPE / Gross Block
96 -18.9%
118 -2.6%
121 -50.5%
244 +0.5%
242
Less: Accumulated Depreication
62 -17.7%
76 +5.2%
72 -58.2%
171 +11.9%
153
Less: Impairment of Assets
0
0
0
0
0
Capital work-in-progress
0
0
0
0
1
Long-Term Investments
15 -71.2%
50 +9.6%
46 +9.5%
42 +10.7%
38
Long-Term Loans & Advances
349 -17.4%
422 +3.3%
409 -14.8%
480 -22.4%
618
Other Long-Term Assets
657 +8.7%
605 +13%
535 -15.5%
633 +24.1%
510
Total Assets
1,695 -7.2%
1,827 -4.7%
1,917 -12.7%
2,196 -16.4%
2,626
Current Liabilities
4,410 -2%
4,501 -2.6%
4,623 -2%
4,716 -3.3%
4,878
Trade Payables
583 -8.6%
638 -14.6%
747 +1.1%
740 -3.8%
768
Sundry Creditors
583 -8.6%
638 -14.6%
747 +1.1%
740 -3.8%
768
Acceptances
0
0
0
0
0
Due to Subsidiaries- Trade Payables
0
0
0
0
0
Other Current Liabilities
3,135 -1.2%
3,173 -0%
3,175 -2.8%
3,267 -3.3%
3,380
Bank Overdraft / Short term credit
0
0
0
0
0
Advances received from customers
346 -16.5%
415 +0.4%
413 -10.4%
461 -27.3%
634
Interest Accrued But Not Due
578
578 +0%
578 -5%
609 +5.4%
578
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
2,211 +1.4%
2,181 -0.1%
2,184 -0.6%
2,198 +1.4%
2,168
Short-Term Borrowigs
654 -0.1%
654 -0%
655 -0%
655 -0.3%
657
Secured ST Loans repayable on Demands
503 -0.1%
503 -0.1%
504 -0.1%
504 -0.4%
506
Working Capital Loans- Sec
503 -0.1%
503 -0.1%
504 -0.1%
504 -0.4%
506
Buyers Credits - Unsec
0
0
0
0
0
Commercial Borrowings- Unsec
0
0
0
0
0
Other Unsecured Loans
-351
-351
-352
-352
-354
Short-Term Provisions
39 +5.5%
37 -22.9%
48 -14.1%
55 -25.5%
74
Proposed Equity Dividend
0
0
0
0
0
Provision for Corporate Dividend Tax
0
0
0
0
0
Provision for Tax
0
0
0
0
0
Provision for post retirement benefits
0
0
0
0
0
Preference Dividend
0
0
0
0
0
Other Provisions
39 +5.5%
37 -22.9%
48 -14.1%
55 -25.5%
74
Long-Term Liabilities
470 +8.6%
433 +56.6%
276 +261%
77 +28.8%
60
Minority Interest
0
0
-107
-107
-107
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
79
79
79
79 -0.4%
79
Term Loans - Institutions
0
0
0
0
0
Other Secured
-78
-78
-78
-78
-78
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
1,016
1,016
1,016
1,016
1,016
Other Unsecured Loan
-1,015
-1,015
-1,015
-1,015
-1,015
Deferred Tax Assets / Liabilities
0
0
0
-242
-242
Deferred Tax Assets
0
0
0
243
243
Deferred Tax Liabilities
0
0
0
0
0
Other Long-Term Liabilities
75 +41.5%
53 +29.5%
41 -27.7%
57 +0.8%
56
Long-Term Trade Payables
354 +4.5%
339 +55.8%
218 +32.5%
164 -20.9%
208
Long-Term Provisions
43 +1.2%
42 +127.2%
19 -81.6%
100 +151.6%
40
Total Liabilities
4,880 -1.1%
4,933 +3%
4,791 +2.3%
4,684 -3%
4,829
Equity
-3,184
-3,106
-2,874
-2,488
-2,203
Share Capital
132
132
132
132
132
Share Warrants & Outstanding
0
0
0
0
0
Total Reserves
-3,315
-3,237
-3,005
-2,619
-2,334
Securities Premium
283
283
283
283
283
Capital Reserves
0
0
0
0
0
Profit & Loss Account Balance
-3,615
-3,537
-3,648
-3,262
-2,977
General Reserves
0
0
0
0
0
Other Reserves
18 -1.6%
18 -95.1%
362 -0%
362 +0.2%
361
Total Liabilities & Equity
1,695 -7.2%
1,827 -4.7%
1,917 -12.7%
2,196 -16.4%
2,626
Contingent Liabilities
1,623 +6.2%
1,528 +0.1%
1,526 -4.1%
1,591 -6.9%
1,709
Total Debt
2,669 -0%
2,669 -0%
2,669 -0%
2,670 -0.1%
2,672
Book Value
-242
-236
-219
-189
-168
Adjusted Book Value
-242
-236
-219
-189
-168
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.

Cash Flow

in ₹ Crores
View
Order
Cash Flow
Mar2024
Mar2023
Mar2022
Mar2021
Mar2020
Cash Flow from Operating Activities
-72
8 -92%
98 +178.8%
35 -83.8%
217
Profit Before Tax
-77
-124
-386
-285
-406
Adjustment
46 -7.1%
49 -84.3%
311 +13.2%
275 -35.9%
429
Changes In working Capital
-36
77
-100
34 -81.5%
183
Cash Flow after changes in Working Capital
-69
2
-175
23 -89.1%
204
Less: Taxes Paid (net of refunds)
-3
7 -97.5%
274 +2060.4%
13 +3.6%
13
Cash Flow from Investing Activities
-22
55
-13
10
-116
Cash Flow from Financing Activities
-9
-19
-46
-44
-48
Net Cashflow
-105
44 +17.2%
38 +370000%
1 -100%
52
Opening Cash & Cash Equivalents
148 +41.7%
104 +55.2%
67 +0%
67 +331.4%
16
Closing Cash & Cash Equivalent
43 -71.4%
148 +41.7%
104 +55.3%
67
67
Note: The percentage changes shown in “green” & “red” color are calculated on YoY basis.