Currently, the share price for Gretex Corporate Services Ltd. is delayed. Login to view live prices.
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.
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.
Particulars (In Cr) | Sep 2024 | Y/Y Change |
---|---|---|
Operating Revenue | 93.68 | +136.51% |
Other Income | 2.58 | +681.82% |
Total Income | 96.25 | +140.99% |
Total Expenditure | 77.00 | +154.97% |
EBIDT | 19.26 | +97.74% |
Depreciation | 0.76 | +85.37% |
Interest | -0.11 | -1200.00% |
Tax | 4.05 | +72.34% |
Net Profit | 9.92 | +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.
Particulars (In Cr) | Mar 2024 | Y/Y Change |
---|---|---|
Total Current Assets | 85.46 | +642.48% |
Total Non-Current Assets | 91.03 | +209.31% |
Fixed assets | 33.68 | +737.81% |
Total assets | 176.49 | +331.09% |
Total Current Liabilities | 17.13 | +194.33% |
Total Non-Current Liabilities | 9.85 | +2492.11% |
Total Capital Plus Liabilities | 176.49 | +331.09% |
Total Shareholder Funds | 108.72 | +248.35% |
Total Debt to Equity | 0.00 | -- |
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.
Particulars (In Cr) | Mar 2024 | Y/Y Change |
---|---|---|
Cash from Operating Activity | -18.62 | -192.87% |
Cash from Financing Activities | 67.35 | -3307.14% |
Cash from Investing Activities | -37.21 | +116.09% |
Net Cash Flow | 11.52 | +1478.08% |
Trademarks owned by their respective owners and shown here only for ease of recall of the respective owner by public.Disclaimer