How has been the historical performance of Aeroflex Neu?

Oct 06 2025 10:50 PM IST
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Aeroflex Neu has experienced increasing net sales from 49.10 Cr in March 2020 to 129.24 Cr in March 2025, but profitability has declined, with profit before tax dropping from 5.12 Cr to 0.38 Cr and profit after tax from 3.76 Cr to 0.23 Cr during the same period. Despite a decrease in operating profit margin and stable total assets, cash flow from operating activities improved to 7.00 Cr in March 2025.
Answer:
The historical performance of Aeroflex Neu shows a trend of increasing net sales over the years, with figures rising from 49.10 Cr in March 2020 to 129.24 Cr in March 2025. However, the company has faced challenges in profitability, as evidenced by a decline in profit before tax from 5.12 Cr in March 2023 to just 0.38 Cr in March 2025. The profit after tax also decreased significantly from 3.76 Cr in March 2023 to 0.23 Cr in March 2025. The operating profit margin has also seen a downward trend, dropping from 7.26% in March 2023 to 3.15% in March 2025. On the balance sheet, total liabilities decreased slightly from 131.50 Cr in March 2024 to 127.72 Cr in March 2025, while total assets remained relatively stable at 127.72 Cr in March 2025 compared to 131.50 Cr in March 2024. Cash flow from operating activities improved to 7.00 Cr in March 2025, contrasting with a negative cash flow of -16.00 Cr in March 2023.

Breakdown:
Aeroflex Neu's net sales have shown consistent growth, increasing from 49.10 Cr in March 2020 to 129.24 Cr in March 2025. Despite this growth in sales, the company's profitability has been under pressure, with profit before tax declining from 5.12 Cr in March 2023 to 0.38 Cr in March 2025, and profit after tax falling from 3.76 Cr to 0.23 Cr in the same period. The operating profit margin has also decreased, indicating rising costs or reduced efficiency, with a drop from 7.26% in March 2023 to 3.15% in March 2025. On the balance sheet, total liabilities have decreased slightly, while total assets remained stable, reflecting a cautious financial position. Cash flow from operating activities has improved significantly, indicating better cash management, with a positive cash flow of 7.00 Cr in March 2025 compared to a negative cash flow in previous years.
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