How has been the historical performance of Confidence Petro?

Nov 15 2025 12:02 AM IST
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Confidence Petro has shown significant growth in net sales, increasing from 863.10 Cr in Mar'21 to 3,145.76 Cr in Mar'25, while total assets rose from 704.97 Cr to 2,550.24 Cr. However, operating profit and cash flow from operations declined, indicating challenges despite overall sales growth.
Answer:
The historical performance of Confidence Petro shows a significant growth trajectory in net sales, increasing from 863.10 Cr in Mar'21 to 3,145.76 Cr in Mar'25. The total operating income followed a similar trend, rising from 1,004.53 Cr in Mar'19 to 3,145.76 Cr in Mar'25. However, the operating profit (PBDIT) has shown some fluctuations, peaking at 374.38 Cr in Mar'24 before slightly declining to 366.75 Cr in Mar'25. Profit before tax also experienced variability, with a high of 140.28 Cr in Mar'24 and a slight decrease to 113.33 Cr in Mar'25. The profit after tax showed a similar pattern, reaching 102.98 Cr in Mar'24 and then dropping to 87.48 Cr in Mar'25. The company's total assets increased significantly from 704.97 Cr in Mar'20 to 2,550.24 Cr in Mar'25, while total liabilities also rose from 704.97 Cr to 2,550.24 Cr in the same period. The cash flow from operating activities was notably low at 9.00 Cr in Mar'25 compared to 262.00 Cr in Mar'24, indicating a decline in cash generation from core operations. Breakdown: Confidence Petro has demonstrated robust growth in net sales, which surged from 863.10 Cr in Mar'21 to 3,145.76 Cr in Mar'25, reflecting a strong demand for its products. The total operating income mirrored this growth, reaching 3,145.76 Cr in Mar'25. Despite this increase, the operating profit (PBDIT) fluctuated, peaking at 374.38 Cr in Mar'24 before slightly declining to 366.75 Cr in Mar'25. Profit before tax also varied, with a high of 140.28 Cr in Mar'24, dropping to 113.33 Cr in Mar'25, while profit after tax decreased from 102.98 Cr in Mar'24 to 87.48 Cr in Mar'25. The company's total assets grew significantly from 704.97 Cr in Mar'20 to 2,550.24 Cr in Mar'25, indicating strong asset accumulation, alongside a rise in total liabilities from 704.97 Cr to 2,550.24 Cr. However, cash flow from operating activities saw a decline, falling to 9.00 Cr in Mar'25 from 262.00 Cr in Mar'24, suggesting challenges in cash generation from operations despite overall growth in sales and assets.
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