Audited Results of Pranav Constructions Ltd. Company

(Rs in Cr.) Mar 31, 2025Mar 31, 2024
Operating Income 636.27447.48
Manufacturing Expenses 491.86434.94
Personnel Expenses 23.6518.38
Selling Expenses 2.791
Administrative Expenses 17.9211.67
Expenses Capitalised 00
Cost Of Sales 539.69390
Operating Profit 96.5857.48
Other Recurring Income 1.962.26
Adjusted PBDIT 98.5559.74
Financial Expenses 23.2817.96
Depreciation 3.172.66
Other Write offs 00
Adjusted PBT 72.0939.12
Tax Charges 9.83-0.51
Adjusted PAT 62.2639.63
Non Recurring Items 0-0.03
Other Non Cash adjustments 00
Reported Net Profit 62.2639.63
Equity Dividend 00
Preference Dividend 00
Retained Earnings 87.9825.72

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