Satin Creditcare Network Ltd Financials Statements

    Annual and Quarterly P/L, Balance Sheet, Cash Flow & Financial Ratios

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    Financial Year
    Jun '25
    Mar '25
    Dec '24
    Sep '24
    Jun '24
    Total Qtr Revenue cr
    713.27
    622.50
    687.59
    657.46
    634.35
    Other Income Qtr Cr4.691.443.520.561.69
    Operating Revenues Qtr708.58621.06684.07656.90632.66
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    Operating Expenses Qtr
    209.00
    223.26
    194.96
    185.71
    165.90
    Operating Profit Qtr
    356.70
    288.05
    286.56
    333.80
    396.02
    EBITDA Qtr Cr
    361.39
    289.49
    290.08
    334.36
    397.71
    Depreciation Qtr
    6.21
    7.58
    7.30
    6.70
    5.69
    Net Profit Qtr
    45.10
    21.89
    14.26
    44.69
    105.28
    Basic EPS Qtr
    4.10
    1.99
    1.30
    4.06
    9.57
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