PTC India Income Statement

Quarterly

Yearly

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20202021
EBITDA1,8481,727
EBIT1,7471,606
Earning Per Share1215
Expenses16,27716,653
Net Profit406458
Net Profit Margin22
Operating Profit Margin109
Profit Before Tax589679
Dividends Per Share68
Operation Revenue18,12418,374

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
202300610.21NA2,257.54
20224,0645,4921,235.705,757.361,700.40
20230016,341.58NA23,550.82
20211,6061,727457.704,124678.60
2022405.76417.02307.10599.30403.70
The EBITDA of PTC India is 1,727 as of 2/21/2024
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20172018201920202023
Operating Activities111-1,438-1083,2943,575
Investing Activities-1,374249244-414168
Financing Activities1,3531,278-408-2,570-4,019
Others00000
Net Cash Flow9189-272309-276

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
20237,159.13-7,375.251,340.771,124.65
20233,776.99-4,698.71923.221.50
202340,051.55-26,107.20-14,154.47-210.12
20233,575.10167.71-4,019.01-276.20
2023-22.6270.26-214.79-167.15
The cash flow from Operating Activities of PTC India is 3,575 as of 2/21/2024