info iconCurrently, the share price for Gretex Corporate Services Ltd. is delayed.

close icon
Gretex Corporate Services Ltd. Logo

Gretex Corporate Services Ltd.

₹760.00
BSE
--   ( -- %) 1D



Earnings Per Share

Earnings Per Share (EPS) is calculated by dividing a company’s net income by its average number of outstanding shares.
Created with Highcharts 7.2.2EPSEPSSep 2023Dec 2023Mar 2024Jun 2024Sep 2024051015

Income Statement

Also called a Profit & Loss statement, an Income Statement shows how a company has performed financially over a specific accounting period. It focuses on revenue, expenses, profits, and losses.
Created with Highcharts 7.2.2RevenueNet IncomeProfit Margin025.050.075.0100.00%20%40%60%80%
Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
Particulars (In Cr)Sep 2024Y/Y Change
Operating Revenue93.68+136.51%
Other Income2.58+681.82%
Total Income96.25+140.99%
Total Expenditure77.00+154.97%
EBIDT19.26+97.74%
Depreciation0.76+85.37%
Interest-0.11-1200.00%
Tax4.05+72.34%
Net Profit9.92+97.61%

Balance Sheet

A financial statement that provides details about a company’s assets, liabilities, and shareholders’ equity at a given point in time.
Created with Highcharts 7.2.2Total AssetsTotal LiabilitiesTotal Debt to Equity050.0100.0150.0200.00%30%60%90%120%
Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Total Current Assets85.46+642.48%
Total Non-Current Assets91.03+209.31%
Fixed assets33.68+737.81%
Total assets176.49+331.09%
Total Current Liabilities17.13+194.33%
Total Non-Current Liabilities9.85+2492.11%
Total Capital Plus Liabilities176.49+331.09%
Total Shareholder Funds108.72+248.35%
Total Debt to Equity0.00--

Cash Flow

The net amount of cash or cash equivalents being transferred in and out of a company for a specified period of time. Cashflow stems from operating, investing and financing activities.
Created with Highcharts 7.2.2OperatingInvestingFinancing-120.0-60.0060.0120.0
Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Cash from Operating Activity-18.62-192.87%
Cash from Financing Activities67.35-3307.14%
Cash from Investing Activities-37.21+116.09%
Net Cash Flow11.52+1478.08%
Trademarks owned by their respective owners and shown here only for ease of recall of the respective owner by public.Disclaimer