RECL Income Statement

Quarterly

Yearly

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202120222023
EBITDA32,28434,5140
EBIT32,27234,4950
Earning Per Share425042
Expenses3,2944,8281,865
Net Profit8,38010,04811,167
Net Profit Margin242628
Operating Profit Margin918895
Profit Before Tax10,78212,44213,898
Dividends Per Share13150
Operation Revenue35,57539,33939,520

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
20230021,178.58NA26,496.06
2022227.93229.4085.30846.54107.80
NANANANANANA
2023001,140.29NA1,530.80
20230011,166.98NA13,897.67
The EBITDA of RECL is 0 as of 6/8/2023
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20182018201820182018
Operating Activities-32,510-32,510-32,510-32,510-32,510
Investing Activities4646464646
Financing Activities28,24428,24428,24428,24428,244
Others00000
Net Cash Flow-4,220-4,220-4,220-4,220-4,220

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
2014-22,473.349.2017,670.92-4,793.22
2022138.80-2.0956.63193.33
NANANANANA
20222,826.17-1,785.45-819.12221.59
2018-32,509.8145.8828,243.85-4,220.08
The cash flow from Operating Activities of RECL is -32,510 as of 6/8/2023