How has been the historical performance of B-Right Real?
B-Right Real has shown significant growth in net sales, increasing from 1.37 Cr in Mar'22 to 103.43 Cr in Mar'25, while operating profit rose from 2.18 Cr to 14.54 Cr, despite a decline in profit margin. However, cash flow has been negative since Mar'24, leading to a closing cash balance of 0.00 Cr in Mar'25.
Answer:The historical performance of B-Right Real shows significant growth in net sales and operating profit over the past four years, with net sales increasing from 1.37 Cr in Mar'22 to 103.43 Cr in Mar'25. The total operating income followed a similar trend, rising from 1.37 Cr in Mar'22 to 103.43 Cr in Mar'25. Operating profit (PBDIT) also saw a substantial increase, from 2.18 Cr in Mar'22 to 14.54 Cr in Mar'25, although the operating profit margin has decreased from 45.26% in Mar'22 to 12.64% in Mar'25. Profit before tax peaked at 8.38 Cr in Mar'25, while profit after tax was 4.37 Cr for the same period. The company's total assets grew from 158.81 Cr in Mar'22 to 331.53 Cr in Mar'25, but total liabilities also increased from 158.81 Cr to 331.53 Cr in the same timeframe. Cash flow from operating activities has been negative since Mar'24, with a cash outflow of 20.00 Cr in Mar'25, leading to a closing cash balance of 0.00 Cr.Breakdown:
B-Right Real has demonstrated remarkable growth in net sales, which surged from 1.37 Cr in Mar'22 to 103.43 Cr in Mar'25, indicating a strong upward trajectory in revenue generation. The total operating income mirrored this growth, reaching 103.43 Cr in Mar'25. Operating profit (PBDIT) increased significantly from 2.18 Cr in Mar'22 to 14.54 Cr in Mar'25, although the operating profit margin has declined from 45.26% to 12.64% during this period. Profit before tax reached 8.38 Cr in Mar'25, while profit after tax was recorded at 4.37 Cr. The company's total assets expanded from 158.81 Cr in Mar'22 to 331.53 Cr in Mar'25, with total liabilities rising correspondingly from 158.81 Cr to 331.53 Cr. However, cash flow from operating activities has been negative since Mar'24, culminating in a cash outflow of 20.00 Cr in Mar'25, resulting in a closing cash balance of 0.00 Cr.
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