Shalimar Paints 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
    155.02
    184.59
    148.99
    146.13
    129.19
    Other Income Qtr Cr1.566.760.831.390.86
    Operating Revenues Qtr153.46177.83148.16144.74128.33
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    Operating Expenses Qtr
    161.00
    185.18
    163.48
    157.57
    149.51
    Operating Profit Qtr
    -7.54
    -7.35
    -15.32
    -12.83
    -21.18
    EBITDA Qtr Cr
    -5.98
    -0.59
    -14.49
    -11.44
    -20.32
    Depreciation Qtr
    4.54
    4.06
    4.08
    3.79
    3.84
    Net Profit Qtr
    -16.67
    -9.52
    -23.98
    -19.62
    -27.04
    Basic EPS Qtr
    -1.99
    -1.14
    -2.86
    -2.34
    -3.23
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