Income Statement Balance Sheet Cash Flow Ratios Equity
Year 2023 2022 2021 2020 2019 2018 2017
Sales 286.48 B 202.2 B 148.43 B 157.59 B 163.89 B 126.21 B 116.99 B
COGS 116.56 B 94.33 B 72.36 B 81.29 B 89.34 B 63.16 B 63.29 B
Gross Profit 169.92 B 107.87 B 76.07 B 76.3 B 74.55 B 63.05 B 53.69 B
Administrative Expenses 3.92 B 4.6 B 3.74 B 3.07 B 2.24 B 2.56 B 2.77 B
Selling & Distributive Expenses - - - - - - -
Financial Charges 1.48 B 1.25 B 1.11 B 1.07 B 741.02 M 443.57 M 461.08 M
Change In Value of Investment - - - - - - -
Other Expenses 15.77 B 15.43 B 6.69 B 8.14 B 8.17 B 5.93 B 7.14 B
EBITDA 187.64 B 116.43 B 87.36 B 92.58 B 101.52 B 79.54 B 63.65 B
EBIT 167.09 B 99.38 B 69.69 B 71.55 B 80.67 B 63.88 B 48.59 B
EBT 165.6 B 98.13 B 68.58 B 70.48 B 79.93 B 63.44 B 48.13 B
Tax 67.66 B 44.58 B 16.15 B 20.23 B 18.3 B 17.75 B 12.45 B
PAT 97.94 B 53.55 B 52.43 B 50.26 B 61.63 B 45.69 B 35.68 B
EPS 35.99 19.68 19.27 18.47 27.18 23.17 18.10
Year 2023 2022 2021 2020 2019 2018 2017
Fixed Assets 135.86 B 137.84 B 146.58 B 158.66 B 159.84 B 154.7 B 139.29 B
Investments 121.47 B 106.49 B 93 B 51.34 B 53.53 B 51.76 B 64.15 B
Cash in Hand and Bank 6.11 B 3.72 B 4.24 B 5.16 B 8.02 B 7.71 B 6.08 B
Stores and Spares 5.93 B 5.5 B 4.57 B 4.06 B 3.15 B 3.53 B 4.34 B
Stock in Trade - - - - - - -
Trade Debts 513.03 B 365.79 B 282.28 B 312.15 B 227.38 B 142.64 B 99.28 B
Current Assets 594.75 B 446.84 B 382.04 B 345.53 B 252.56 B 174.41 B 155.45 B
Quick Assets 588.82 B 441.34 B 377.47 B 341.47 B 249.41 B 170.88 B 151.11 B
Total Assets 790.11 B 624.95 B 536.88 B 541.9 B 458.29 B 367.32 B 324.28 B
Interest Bearing Long Term Liability - - - 414 K 12.11 M 68.14 M 143.32 M
Non Interest Bearing Long Term Liability - - - - - - -
Interest Bearing Short Term Liability 1.13 B 1.43 B 433 K 19.36 M 56.03 M 74.62 M 112.56 M
* Non Interest Bearing Short Term Liability 109.84 B 87.03 B 65.96 B 115.33 B 88.09 B 61.55 B 48.6 B
Trades Payables 109.84 B 87.03 B 65.96 B 115.33 B 88.09 B 61.55 B 48.6 B
Total Current Liabilities 177.76 B 125.31 B 86.51 B 130.29 B 94.94 B 64.09 B 53.78 B
Total Liabilities 249.36 B 190.07 B 146.36 B 197.3 B 159.68 B 126.93 B 108.21 B
Paid Up Capital 27.21 B 27.21 B 27.21 B 27.21 B 22.67 B 19.72 B 19.72 B
Reserves 513.54 B 407.66 B 363.32 B 317.39 B 275.93 B 220.67 B 196.35 B
Preferred Equity - - 113 K 118 K 108 K 114 K 120 K
Surplus On Revaluation of Assets - - - - - - -
Shareholder Equity 540.75 B 434.87 B 390.53 B 344.6 B 298.61 B 240.39 B 216.07 B
Paid Up Value 10.00 10.00 10.00 10.00 10.00 10.00 10.00
Number of Shares 2.72 B 2.72 B 2.72 B 2.72 B 2.27 B 1.97 B 1.97 B
Year 2023 2022 2021 2020 2019 2018 2017
Operating Cash Flow 13.1 B 41.24 B 53.55 B 30.32 B 42.08 B 39.57 B 42.22 B
Captial Expenditure 18.03 B 21.98 B 13.48 B 28.08 B 43.5 B 36.15 B 32.8 B
Cashflow from Investing 5.95 B -69.12 B 3.24 B -29.13 B -48.56 B -40.5 B -9.1 B
Cash Flow from Financing -4.21 B -9.1 B -6.6 B -4.59 B -3.06 B -19.86 B -12.83 B
Net Change 14.83 B -36.98 B 50.18 B -3.4 B -9.54 B -20.79 B 20.29 B
Opening Cash 32.93 B 69.91 B 19.73 B 12.25 B 21.79 B 42.57 B 22.29 B
Closing Cash 47.76 B 32.93 B 69.91 B 8.85 B 12.25 B 21.79 B 42.57 B
FCFF -4.93 B 19.26 B 40.07 B 2.24 B -1.42 B 3.42 B 9.43 B
FCFE -9.15 B 10.16 B 33.47 B -2.35 B -4.48 B -16.44 B -3.4 B
Year 2023 2022 2021 2020 2019 2018 2017
Payout 6.95 10.16 18.16 5.41 7.36 23.74 49.74
Plow Back 93.05 89.84 81.84 94.59 92.64 76.26 50.26
Return on Equity 18.11 12.31 13.43 14.58 20.64 19.01 16.51
Return on Assets 12.40 8.57 9.77 9.27 13.45 12.44 11.00
Book Value per Share 199 160 144 127 132 122 110
Earning Per Share 35.99 19.68 19.27 18.47 27.18 23.17 18.10
Net Working Capital to Total Asseets 0.53 0.51 0.55 0.40 0.34 0.30 0.31
Current Ratio 3.35 3.57 4.42 2.65 2.66 2.72 2.89
Acid Test 3.31 3.52 4.36 2.62 2.63 2.67 2.81
Times Interest Earned 113 79.58 62.95 66.88 109 144 105
Total Debt Ratio 0.32 0.30 0.27 0.36 0.35 0.35 0.33
Debt To Equity 0.46 0.44 0.37 0.57 0.53 0.53 0.50
Return on Capital Employed 0.27 0.20 0.15 0.17 0.22 0.21 0.18
Average Collection Period 654 660 694 723 506 413 310
Days sales Inventory 18.57 21.27 23.04 18.23 12.86 20.39 25.01
Total Assets Turnover 0.36 0.32 0.28 0.29 0.36 0.34 0.36
Gross Profit Margin 59.31 53.35 51.25 48.42 45.49 49.96 45.90
Net Profit Margin 34.19 26.48 35.32 31.89 37.61 36.20 30.50
Year 2023 2022 2021 2020 2019 2018 2017
Cash Dividend 6.8 B 5.44 B 9.52 B 2.72 B 4.53 B 10.84 B 17.75 B
Annual Dividend per Share 2.50 2.00 3.50 1.00 2.00 5.50 9.00
Perferred Dividend - 32 K 34 K 35 K 34 K 34 K 36 K