Construction - Factories / Offices / Commercial
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Total Revenue | 1,394.78 | 1,521.02 | 1,136.50 | 708.46 | 1,176.46 |
Total Expenses | 1,455.89 | 1,351.39 | 991.70 | 711.62 | 992.79 |
Profit Before Tax | -70.87 | 168.09 | 144.80 | -3.16 | 183.67 |
Profit After Tax | -67.48 | 113.45 | 93.35 | -3.84 | 99.70 |
Operating Profit after Depreciation | 36.75 | 210.30 | 194.83 | 67.14 | 263.33 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Fixed Assets | 118.68 | 91.44 | 268.06 | 266.71 | 274.88 |
Total Non Current Assets | 676.96 | 573.10 | 665.20 | 737.88 | 723.47 |
Total Current Assets | 4,270.39 | 3,458.98 | 3,304.99 | 3,163.43 | 3,006.25 |
TOTAL ASSETS | 4,947.35 | 4,032.08 | 3,970.19 | 3,901.31 | 3,729.72 |
Total Shareholder's Fund | 733.93 | 867.40 | 959.29 | 893.92 | 904.97 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Net Cash from Operating Activities | -111.01 | 197.69 | 354.94 | 323.79 | 334.93 |
Net Cash used in Investing Activities | -133.80 | -58.88 | -115.23 | -154.73 | -69.17 |
Net Cash used in Financing Activities | 318.84 | -59.49 | -205.76 | -136.92 | -227.12 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Total Revenue | 634.28 | 931.85 | 397.94 | 527.34 | 745.30 |
Total Expenses | 736.52 | 878.94 | 449.47 | 538.44 | 630.65 |
Profit Before Tax | -102.24 | 52.91 | -51.53 | -11.10 | 114.65 |
Profit After Tax | -71.26 | 40.37 | -56.88 | -7.69 | 64.20 |
Operating Profit after Depreciation | -35.72 | 89.99 | -3.47 | 44.64 | 167.80 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Fixed Assets | 74.65 | 38.39 | 29.50 | 23.49 | 32.39 |
Total Non Current Assets | 947.47 | 849.83 | 766.93 | 803.09 | 833.57 |
Total Current Assets | 2,503.95 | 1,720.39 | 1,705.51 | 1,441.40 | 1,561.33 |
TOTAL ASSETS | 3,451.42 | 2,570.22 | 2,472.44 | 2,244.49 | 2,394.90 |
Total Shareholder's Fund | 748.28 | 829.87 | 804.86 | 861.20 | 863.07 |
Particulars (in ₹ Cr.) | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 |
---|---|---|---|---|---|
Net Cash from Operating Activities | -307.64 | 157.33 | 81.70 | 77.55 | 136.05 |
Net Cash used in Investing Activities | -13.97 | -149.32 | -44.56 | -40.40 | 5.24 |
Net Cash used in Financing Activities | 416.09 | -28.22 | 20.60 | -12 | -127.37 |
Particulars (in ₹ Cr.) | 2024-09 | 2024-06 | 2024-03 | 2023-12 | 2023-09 |
---|---|---|---|---|---|
Total Revenue | 308.29 | 340.75 | 526.38 | 75.79 | 198.15 |
Total Expenses | 292.12 | 312.97 | 547.50 | 115.94 | 209.27 |
Profit Before Tax | 17.23 | 16.78 | -44.63 | -67.24 | -16.95 |
Profit After Tax | 10.34 | 6.37 | -26.18 | -63.04 | -26.23 |
Operating Profit after Depreciation | 30.41 | 39.68 | -19.79 | -32.24 | -4.41 |
Particulars (in ₹ Cr.) | 2024-09 | 2024-06 | 2024-03 | 2023-12 | 2023-09 |
---|---|---|---|---|---|
Total Revenue | 267.70 | 64.50 | 207.89 | 20.26 | 101.94 |
Total Expenses | 236.88 | 90.52 | 256.77 | 49.49 | 113.43 |
Profit Before Tax | 54.62 | -44.88 | -68.03 | -56.20 | 14.60 |
Profit After Tax | 47.91 | -39.91 | -42.81 | -51.55 | 17.53 |
Operating Profit after Depreciation | 67.27 | -19.27 | -43.38 | -22.04 | 23.99 |
₹4/Share
Company | Price | Market Cap (in ₹ Cr) |
---|---|---|
Kolte Patil Developers Ltd | ₹322.75 | ₹2,453.04 |
DLF Ltd | ₹737.85 | ₹1,82,640.87 |
Macrotech Developers Ltd | ₹1,147.05 | ₹1,14,353.64 |
Godrej Properties Ltd | ₹2,366 | ₹71,260.02 |
Oberoi Realty Ltd | ₹1,856.80 | ₹67,513.66 |
Prestige Estates Projects Ltd | ₹1,388.30 | ₹59,798.28 |
21 Jan 2025, 02:46 pm
06 Nov 2024, 03:49 pm
17 Oct 2024, 11:09 am
02 Aug 2024, 05:48 pm
27 Jul 2024, 04:58 pm