Audited Results of CFF Fluid Control Ltd. Company

(Rs in Cr.) Mar 31, 2026Mar 31, 2025Mar 31, 2024Mar 31, 2023Mar 31, 2022
Operating Income 208.74145.56106.8670.6746.99
Manufacturing Expenses 18.3727.829.261.991.63
Personnel Expenses 15.1511.104.142.510.97
Selling Expenses 00000
Administrative Expenses 16.727.8183.410.79
Expenses Capitalised 00000
Cost Of Sales 149.56104.7976.1152.2534.52
Operating Profit 59.1840.7730.7518.4112.46
Other Recurring Income 0.240.540.120.430.14
Adjusted PBDIT 59.4241.3030.8718.8512.60
Financial Expenses 1.362.242.423.111.25
Depreciation 66.134.451.320.91
Other Write offs 00000
Adjusted PBT 52.0632.942414.4210.44
Tax Charges 12.859.096.914.262.64
Adjusted PAT 39.2223.8517.0910.157.80
Non Recurring Items 00000
Other Non Cash adjustments -0.0200-0.02-0.07
Reported Net Profit 39.2023.8517.0910.147.73
Equity Dividend 2.021.950.9700
Preference Dividend 00000
Retained Earnings 85.9148.7326.8321.4911.35

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