Shalimar Paints Income Statement

Quarterly

Yearly

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20212022
EBITDA11-18
EBIT-5-42
Earning Per Share-9-11
Expenses322381
Net Profit-50-64
Net Profit Margin-15-18
Operating Profit Margin3-5
Profit Before Tax-24-64
Dividends Per Share00
Operation Revenue333363

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
NANANANANANA
20231,261.571,538.77873.57NA1,175.51
20235,833.286,646.324,101.48NA5,594.98
2022-42.05-17.82-64.20357.43-64.20
2023663.89843.97468.47NA634.89
The EBITDA of Shalimar Paints is -18 as of 3/5/2024
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20182019202020212023
Operating Activities36-94-916-48
Investing Activities-11-34-28-5-84
Financing Activities-18198-46-11-7
Others00000
Net Cash Flow770-83-0-139

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
201617.38-123.21108.172.34
2020724.64-223.37-479.4221.85
20213,683.35-547.79-650.402,485.16
2023-47.93-83.78-6.86-138.57
2021645.87-452.84-274.16-81.13
The cash flow from Operating Activities of Shalimar Paints is -48 as of 3/5/2024