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Ratnamani Metals & Tubes Ltd.
BSE CODE: 520111   |   NSE CODE: RATNAMANI   |   ISIN CODE : INE703B01027   |   09-Jun-2026 Hrs IST
BSE NSE
Rs. 2564.30
17.2 ( 0.68% )
 
Prev Close ( Rs.)
2547.10
Open ( Rs.)
2575.00
 
High ( Rs.)
2595.75
Low ( Rs.)
2551.85
 
Volume
409
Week Avg.Volume
1536
 
52 WK High-Low Range(Rs.)
BSE NSE
Rs. 2564.20
12.5 ( 0.49% )
 
Prev Close ( Rs.)
2551.70
Open ( Rs.)
2551.70
 
High ( Rs.)
2575.00
Low ( Rs.)
2536.10
 
Volume
12525
Week Avg.Volume
20202
 
52 WK High-Low Range(Rs.)
1936.5
3345
Gross Sales Operating Profit
PBIT Profit after tax
Year EndMar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Gross Sales15.785.360.000.000.00
Operating Profit4535.222508.671988.582108.342161.38
Operating Profit428.82293.19295.31727.02286.17
Operating Profit-20.85-10.3411.800.51-0.48
Operating Profit170.49266.99283.93185.27141.52
Operating Profit132.4087.20135.90125.9061.70
Operating Profit191.23195.8919.8361.730.19
Operating Profit278.50186.05178.25179.2573.07
PBIT233.29-4.35-1.56-1.93-1.19
PBIT7781.098097.516938.374306.913633.76
PBIT2708.18176.7492.7382.99157.74
Operating Profit3066.871426.401693.89334.6711.29
PBIT-22.56-13.820.96-0.38-0.48
PBIT316.60193.5323.95628.04193.81
PBIT164.5558.75144.01163.3054.34
PBIT94.4050.70102.3096.6032.70
PBIT15.44105.08141.89103.3862.73
PBIT191.21195.6919.8361.730.18
Profit after tax171.46-4.35-1.56-2.02-1.19
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PBIT1715.501101.601050.30250.1711.18
Profit after tax2001.2967.1649.3659.3257.09
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Profit after tax67.9036.1073.5069.5023.40
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Profit after tax241.12163.032.21465.65152.86
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Profit after tax-15.65-10.480.96-0.38-0.48
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Profit after tax5780.106086.065140.323223.932759.00
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Profit after tax11.5278.04100.9675.3044.99
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Operating Profit19701.8017013.7013597.8011649.3010023.60Profit after tax1276.57809.90785.85184.067.84More >Profit after tax114.8743.55107.15121.6939.68More >Profit after tax162.84172.5217.5558.560.03More >PBIT18869.5016177.5012738.2010797.309259.50Profit after tax14144.4012012.209494.107987.006906.90More >
Back
Type :
(Rs.in Million)
Particulars Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
INCOME :          
Gross Sales52176.9051525.1046371.9031408.6023168.80
     Sales51496.8050905.3046016.8031060.8022896.20
     Job Work/ Contract Receipts247.30261.90170.50122.30139.70
     Processing Charges / Service Income
     Revenue from property development
     Other Operational Income432.80357.90184.60225.50132.90
Less: Excise Duty
Net Sales51864.7050591.0044744.0031387.8022981.30
EXPENDITURE :
Increase/Decrease in Stock1031.10-1093.10-1404.20-2207.501115.40
Raw Material Consumed32689.4034389.4030860.8023246.3013598.40
     Opening Raw Materials5621.105951.106529.903041.105098.80
     Purchases Raw Materials34236.0034059.4030282.0026735.1011540.80
     Closing Raw Materials7167.705621.105951.106529.903041.10
     Other Direct Purchases / Brought in cost
     Other raw material cost0.000.000.000.000.00
Power & Fuel Cost949.30840.90826.00577.00427.80
     Electricity & Power949.30840.90826.00577.00427.80
     Oil, Fuel & Natural gas0.000.000.000.000.00
     Coals etc0.000.000.000.000.00
     Other power & fuel0.000.000.000.000.00
Employee Cost3133.002577.702092.301591.401417.90
     Salaries, Wages & Bonus2604.502250.301895.401398.001246.20
     Contributions to EPF & Pension Funds191.40160.7078.60100.7072.00
     Workmen and Staff Welfare Expenses236.10166.70118.3092.7076.50
     Other Employees Cost101.100.000.000.0023.20
Other Manufacturing Expenses4740.703976.503872.602625.601948.20
     Sub-contracted / Out sourced services
     Processing Charges1248.901092.30604.50348.00334.60
     Repairs and Maintenance189.70202.60134.20116.90115.40
     Packing Material Consumed
     Other Mfg Exp3302.002681.603133.902160.701498.20
General and Administration Expenses445.30355.10328.00235.00189.80
     Rent , Rates & Taxes69.5051.0061.5039.0037.10
     Insurance84.90116.90104.4081.8058.90
     Printing and stationery
     Professional and legal fees150.6086.8077.5069.0054.70
     Traveling and conveyance128.7089.9075.3037.5032.70
     Other Administration140.40100.4084.6045.1039.10
Selling and Distribution Expenses165.50131.2091.60101.2034.60
     Advertisement & Sales Promotion48.4031.7028.705.304.60
     Sales Commissions & Incentives117.1099.5062.9095.9030.10
     Freight and Forwarding
     Handling and Clearing Charges0.000.000.000.000.00
     Other Selling Expenses0.000.000.000.000.00
Miscellaneous Expenses475.30442.00323.10271.80258.90
     Bad debts /advances written off1.107.80
     Provision for doubtful debts14.0011.80
     Losson disposal of fixed assets(net)3.00
     Losson foreign exchange fluctuations
     Losson sale of non-trade current investments
     Other Miscellaneous Expenses475.30428.10308.30270.70251.10
Less: Expenses Capitalised
Total Expenditure43629.6041619.7036990.2026440.8018991.00
Operating Profit (Excl OI)8235.208971.207753.904947.003990.30
Other Income596.20732.10326.90378.10441.90
     Interest Received181.70116.8036.7044.5050.00
     Dividend Received
     Profit on sale of Fixed Assets18.6020.503.201.60
     Profits on sale of Investments
     Provision Written Back0.502.2025.00
     Foreign Exchange Gains283.50220.20226.90143.30130.30
     Others112.40374.7062.80184.90235.00
Operating Profit8831.409703.408080.705325.104432.20
Interest374.30451.30311.90213.60229.00
     InterestonDebenture / Bonds
     Interest on Term Loan215.70273.00176.60160.70174.90
     Intereston Fixed deposits
     Bank Charges etc68.5057.7052.9040.8027.30
     Other Interest90.10120.6082.4012.1026.80
PBDT8457.109252.107768.805111.504203.20
Depreciation1077.20975.40833.40802.10568.50
Profit Before Taxation & Exceptional Items7379.908276.706935.404309.403634.60
Exceptional Income / Expenses
Profit Before Tax7379.908276.706935.404309.403634.60
Provision for Tax1964.202025.701812.601083.00874.60
     Current Income Tax1932.102001.101756.201082.30851.90
     Deferred Tax37.3040.6066.1016.6083.40
     Other taxes-5.20-16.00-9.70-15.90-60.70
Profit After Tax5415.706251.005122.803226.402760.00
Extra items0.000.000.000.000.00
Minority Interest24.10-23.10-18.00
Share of Associate
Other Consolidated Items
Consolidated Net Profit5439.806227.905104.803226.402760.00
Adjustments to PAT
Profit Balance B/F23729.5018365.0014828.7012252.209477.30
Appropriations29169.3024592.9019933.5015478.7012237.40
     General Reserves
     Proposed Equity Dividend
     Corporate dividend tax
     Other Appropriation540.40863.401568.50650.00-14.90
Equity Dividend %700.00700.00600.00467.00700.00
Earnings Per Share78.0089.0073.0069.0059.00
Adjusted EPS78.0089.0073.0046.0039.00