How has been the historical performance of Archidply Inds.?

Oct 20 2025 10:39 PM IST
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Archidply Inds. has seen strong revenue growth, with net sales increasing from 306.28 Cr in Mar'22 to 555.91 Cr in Mar'25, but profitability has declined, resulting in a negative profit before tax of -7.71 Cr and negative cash flow of -23.00 Cr in Mar'25. Total liabilities and debt have also significantly increased during this period.
Answer:
The historical performance of Archidply Inds. shows a significant increase in net sales and total operating income over the past four years, with net sales rising from 306.28 Cr in Mar'22 to 555.91 Cr in Mar'25. However, the company faced challenges in profitability, as operating profit decreased from 26.32 Cr in Mar'23 to 23.42 Cr in Mar'25, and profit before tax turned negative at -7.71 Cr in Mar'25, down from 12.32 Cr in Mar'24. This decline in profitability is reflected in the profit after tax, which fell from 7.10 Cr in Mar'24 to -7.36 Cr in Mar'25. The company's total liabilities increased significantly from 197.81 Cr in Mar'22 to 387.91 Cr in Mar'25, with total debt also rising from 53.77 Cr to 192.66 Cr during the same period. Cash flow from operating activities turned negative at -23.00 Cr in Mar'25, contrasting with positive cash flows in previous years.

Breakdown:
Archidply Inds. has experienced robust growth in net sales, climbing from 306.28 Cr in Mar'22 to 555.91 Cr in Mar'25, indicating strong revenue generation. Despite this growth, the company has struggled with profitability, as evidenced by a drop in operating profit from 26.32 Cr in Mar'23 to 23.42 Cr in Mar'25, and a negative profit before tax of -7.71 Cr in Mar'25. The profit after tax also saw a decline, moving from 7.10 Cr in Mar'24 to -7.36 Cr in Mar'25. The company's financial position has been impacted by a substantial increase in total liabilities, which rose from 197.81 Cr in Mar'22 to 387.91 Cr in Mar'25, alongside a significant rise in total debt from 53.77 Cr to 192.66 Cr. Furthermore, cash flow from operating activities has deteriorated, resulting in a negative cash flow of -23.00 Cr in Mar'25, contrasting sharply with the positive cash flows recorded in prior years.
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