How has been the historical performance of Fundviser Capit.?

Aug 12 2025 11:13 PM IST
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Fundviser Capit. reported a consolidated net profit of 1.58 Cr and a profit after tax of 2.66 Cr for the year ending March 2025, with total operating income of 33.28 Cr. The company demonstrated significant growth in assets, liabilities, and shareholder's funds, alongside improved cash flow and profitability metrics.
Answer:
The historical performance of Fundviser Capit. shows a consolidated net profit of 1.58 Cr for the year ending March 2025, with a profit after tax of 2.66 Cr. The total operating income for the same period was 33.28 Cr, while total expenditure, excluding depreciation, stood at 30.71 Cr, resulting in an operating profit of 2.98 Cr. The operating profit margin, excluding other income, was 7.72%, and the profit after tax margin was 7.99%. The company reported earnings per share of 3.07 and a diluted earnings per share of 4.5.

In terms of balance sheet results, the total assets increased to 13.32 Cr in March 2024 from 6.54 Cr in March 2023, with total liabilities also rising to 13.32 Cr. Shareholder's funds grew significantly to 13.22 Cr in March 2024 from 6.48 Cr in the previous year. The book value per share adjusted rose to 25.21 in March 2024 from 17.55 in March 2023. The cash flow results indicate a net cash inflow of 4.00 Cr for March 2024, with closing cash and cash equivalents at 7.00 Cr, up from 3.00 Cr in March 2023. Overall, Fundviser Capit. has demonstrated positive growth in profitability, asset base, and cash flow over the reported periods.

Breakdown:
Fundviser Capit. has shown a solid financial performance with a consolidated net profit of 1.58 Cr and a profit after tax of 2.66 Cr for the year ending March 2025. The total operating income reached 33.28 Cr, while total expenditure was 30.71 Cr, leading to an operating profit of 2.98 Cr and an operating profit margin of 7.72%. The company's earnings per share were reported at 3.07, with a diluted EPS of 4.5. On the balance sheet, total assets increased to 13.32 Cr in March 2024, reflecting growth from the previous year, while total liabilities matched this amount. Shareholder's funds also rose significantly to 13.22 Cr, indicating a strong equity position. The book value per share adjusted to 25.21, further highlighting the company's financial strength. Cash flow results showed a net inflow of 4.00 Cr, with closing cash and cash equivalents increasing to 7.00 Cr, demonstrating improved liquidity and operational efficiency. Overall, Fundviser Capit. has exhibited positive trends in profitability, asset growth, and cash management.
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