Financial Highlights and Forward Looking Strategy slide image

Financial Highlights and Forward Looking Strategy

K Bodal Chemicals Ltd." Standalone Financial Statement Highlights for Q2 of FY2021 v/s Q2 of FY2020 Particulars (MN) Revenue from Operations Q2 FY 21 2,828.33 Q2 FY 20 2,575.21 23 Other Income 69.60 27.87 Total Revenue 2,897.93 2,603.08 Total Expenses 2,663.94 2,417.40 EBITDA 316.36 279.10 EBITDA Margin (%) 10.92% 10.72% Depreciation & Amortization Expenses 64.42 59.84 Finance Cost 17.95 33.58 PBT with Exceptional Item 233.99 185.68 Exceptional Items - PBT 233.99 185.68 Current Tax - (7.44) Deferred Tax 58.99 (48.77) Tax 58.99 (56.21) PAT 175.00 241.89 Other comprehensive profit / loss 3.99 (1.60) Net PAT 178.99 240.29 TOTAL Comprehensive PAT Margin % 6.18% 9.23% Diluted EPS 1.43 1.98 www.bodal.com
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