How has been the historical performance of Kunststoff Inds.?

Nov 06 2025 10:55 PM IST
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Kunststoff Inds. experienced fluctuating net sales, peaking at 13.37 Cr in Mar'24 before declining to 12.10 Cr in Mar'25, while total assets grew to 16.25 Cr. Despite a slight increase in operating profit and profit before tax, profit after tax fell to 0.78 Cr, though cash flow from operations improved significantly to 2.00 Cr.
Answer:
The historical performance of Kunststoff Inds. shows a fluctuating trend in net sales, with a peak of 13.37 Cr in Mar'24, followed by a decline to 12.10 Cr in Mar'25. The total operating income mirrored this trend, reaching 13.37 Cr in Mar'24 before decreasing to 12.10 Cr in Mar'25. The raw material cost has also varied, peaking at 8.77 Cr in Mar'24 and dropping to 7.26 Cr in Mar'25. Operating profit (PBDIT) increased slightly from 1.37 Cr in Mar'24 to 1.41 Cr in Mar'25, while profit before tax rose from 1.76 Cr to 1.89 Cr in the same period. However, profit after tax saw a decrease from 1.09 Cr in Mar'24 to 0.78 Cr in Mar'25. The company's total assets grew from 13.69 Cr in Mar'24 to 16.25 Cr in Mar'25, with total liabilities also increasing from 13.69 Cr to 16.25 Cr. Cash flow from operating activities improved from 1.00 Cr in Mar'24 to 2.00 Cr in Mar'25, contributing to a closing cash balance of 8.00 Cr in Mar'25.

Breakdown:
Kunststoff Inds. has experienced a mixed performance over the years, with net sales fluctuating from a low of 9.44 Cr in Mar'20 to a high of 13.37 Cr in Mar'24, before declining to 12.10 Cr in Mar'25. The total operating income followed a similar pattern, reflecting the company's sales trends. Raw material costs peaked in Mar'24 at 8.77 Cr but decreased to 7.26 Cr in Mar'25, indicating a potential improvement in cost management. Operating profit (PBDIT) showed a slight increase to 1.41 Cr in Mar'25, while profit before tax rose to 1.89 Cr, despite a drop in profit after tax to 0.78 Cr. The company's total assets increased significantly to 16.25 Cr, alongside total liabilities, which also rose to match this figure. Cash flow from operating activities improved notably, suggesting better liquidity, culminating in a closing cash balance of 8.00 Cr in Mar'25.
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