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Profit & Loss
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Riddhi Corporate Services Ltd.
BSE CODE: 540590   |   NSE CODE: NA   |   ISIN CODE : INE325X01015   |   15-May-2026 Hrs IST
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Gross Sales Operating Profit
PBIT Profit after tax
Year EndMar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Gross Sales289020.34264261.34205697.84182919.07199382.05
PBIT154.7575.51110.6778.4147.84
PBIT-21.983.66-12.81-39.08-22.68
Operating Profit105681.7781950.9452370.9336082.7123694.64
Profit after tax51.2547.4633.1428.0428.38
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Operating Profit46.6049.1836.9521.4514.34
Profit after tax135.5451.4584.2058.4430.92
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Profit after tax428.70388.06414.30297.28244.18
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PBIT105681.7781950.9452370.9336082.7123694.64
PBIT47.4630.98127.96129.2933.13
Operating Profit1034.14499.40430.82149.3214.40
PBIT21.2823.8914.7510.653.29
Profit after tax-21.9812.39-4.49-41.07-19.68
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Profit after tax75151.7756340.9436450.9324392.7113594.64
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Operating Profit230.77260.47318.21296.54302.37
PBIT977.35463.52402.43125.88-12.24
Profit after tax15.5417.4510.647.712.44
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Profit after tax36.9521.8694.8396.3724.69
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Profit after tax739.84327.41308.4899.2462.39More >PBIT206.84231.10274.88247.39239.88Profit after tax153.30171.59204.95179.50183.29More >
Back
Type :
(Rs.in Million)
Particulars Mar 2020Mar 2019Mar 2018Mar 2017
INCOME :        
Operating Income814.70595.29202.05675.77
     Software Services & Operating Revenues814.70595.29202.05675.58
     Job Work/ Contract Receipts
     Sale of Equipments & licenses
     Processing Charges / ServiceIncome
     Other Operational Income0.000.000.000.19
Less: Excise Duty
Operating Income (Net)814.70595.29202.05675.77
EXPENDITURE :
Stock Adjustments2.41-4.18
Raw Material Consumed71.00
     Opening Raw Materials
     Purchases Raw Materials
     Closing Raw Materials
     Other Direct Purchases / Brought in cost71.00
     Others raw material cost0.00142.000.000.00
Power & Fuel Cost2.941.261.924.63
     Electricity & Power2.941.261.924.63
     Oil, Fuel & Natural gas0.000.000.000.00
     Coals etc0.000.000.000.00
     Other power & fuel0.000.000.000.00
Employee Cost507.12328.3694.93172.62
     Salaries, Wages & Bonus498.71323.1984.45154.46
     Contributions to EPF & Pension Funds5.605.106.1815.35
     Wheeling & Transmission Charges recoverable0.140.074.132.80
     Other Employees Cost2.670.000.160.01
Cost of Software developments3.152.432.413.23
     Software Purchase
     Technical sub-contractors
     Training Expenses
     Software License cost0.150.29
     Other software development expenses3.152.432.272.94
Operating Expenses161.1078.0320.61175.88
     Repairs and Maintenance
     Travel Expenses
     Overseas Group Health Insurance
     Visa & Other Charges
     Post contract support services
     Packing Material Consumed
     Other Operating Expenses161.1078.0320.61175.88
General and Administration Expenses62.8555.5359.59121.80
     Rates & Taxes
     Insurance0.210.140.100.26
     Printing and stationery0.400.291.013.83
     Professional and legal fees9.6712.6610.336.31
     Other Administration36.0331.6628.4179.38
Selling and Marketing Expenses35.1316.7511.7182.36
     Advertisement & Sales Promotion14.874.770.300.35
     Commission, Brokerage & Discounts0.453.720.090.07
     Freight outwards
     Other Selling Expenses19.828.2511.3381.93
Miscellaneous Expenses9.1442.990.1587.40
     Bad debts /advances written off0.040.0587.28
     Provision for doubtful debts
     Losson disposal of fixed assets(net)
     Losson foreign exchange fluctuations
     Losson sale of non-trade current investments2.5012.82
     Other Miscellaneous Expenses6.6030.110.150.12
Less: Expenses Capitalised
Total Expenditure783.84592.16191.31647.91
Operating Profit (Excl OI)30.863.1310.7427.87
Other Income18.2319.6112.2023.98
     Interest Received16.6115.4512.086.80
     Dividend Received0.020.06
     Profit on sale of Fixed Assets
     Profits on sale of Investments0.11
     Provision Written Back0.0216.88
     Foreign Exchange Gains
     Others1.604.100.000.30
Operating Profit49.0922.7422.9451.85
Interest5.958.317.875.94
     InterestonDebenture / Bonds
     Intereston Term Loan
     Intereston Fixed deposits0.03
     Bank Charges etc0.120.450.630.08
     Other Interest5.837.867.235.83
PBDT43.1414.4315.0745.90
Depreciation3.523.714.285.17
Profit Before Taxation & Exceptional Items39.6210.7210.7940.74
Exceptional Income / Expenses-3.97
Profit Before Tax35.6610.7210.7940.74
Provision for Tax21.172.594.3416.63
     Current Income Tax14.517.944.1216.78
     Deferred Tax6.66-5.350.22-0.15
     Other taxes0.000.000.000.00
Profit After Tax14.498.136.4524.11
Extra items0.000.000.000.00
Minority Interest0.541.570.050.08
Share of Associate
Other Consolidated Items
Consolidated Net Profit15.039.706.5124.19
Adjustments to PAT-1.64
Profit Balance B/F68.9060.2659.7858.49
Appropriations83.9269.9666.2881.03
     General Reserves
     Proposed Equity Dividend
     Corporate dividend tax
     Other Appropriation83.9269.9666.2881.03
Equity Dividend %2.002.00
Earnings Per Share1.001.002.0011.00
Adjusted EPS1.001.001.003.00