How has been the historical performance of Railtel Corpn.?

Nov 12 2025 11:33 PM IST
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Railtel Corpn. has demonstrated consistent growth in net sales, increasing from 1,003.27 Cr in Mar'19 to 1,963.51 Cr in Mar'23, while total operating income and operating profit also rose. However, profit before tax peaked in Mar'22 and then declined, and the company faced cash flow challenges despite overall growth.
Answer:
The historical performance of Railtel Corpn. shows a consistent growth trend in net sales and total operating income over the years, with net sales increasing from 1,003.27 Cr in Mar'19 to 1,963.51 Cr in Mar'23. The total operating income followed a similar trajectory, rising from 976.78 Cr in Mar'18 to 1,963.51 Cr in Mar'23. Operating profit (PBDIT) also demonstrated growth, reaching 417.18 Cr in Mar'23, up from 311.43 Cr in Mar'17. However, profit before tax saw fluctuations, peaking at 280.62 Cr in Mar'22 before declining to 254.79 Cr in Mar'23. Profit after tax also decreased from 208.95 Cr in Mar'22 to 189.08 Cr in Mar'23. The company's total assets increased significantly from 2,318.88 Cr in Mar'18 to 3,307.94 Cr in Mar'23, while total liabilities rose from 2,227.68 Cr to 3,307.94 Cr in the same period. Cash flow from operating activities was 263.00 Cr in Mar'22, but the net cash outflow was recorded at -62.00 Cr for the same year.

Breakdown:
Railtel Corpn. has shown a robust growth in net sales, which rose from 1,003.27 Cr in Mar'19 to 1,963.51 Cr in Mar'23, indicating a strong upward trend in revenue generation. The total operating income mirrored this growth, reaching 1,963.51 Cr in Mar'23. Operating profit (PBDIT) increased to 417.18 Cr in Mar'23, although profit before tax peaked at 280.62 Cr in Mar'22 before declining to 254.79 Cr in Mar'23. Profit after tax also saw a decrease from 208.95 Cr in Mar'22 to 189.08 Cr in Mar'23. The total assets of the company rose significantly from 2,318.88 Cr in Mar'18 to 3,307.94 Cr in Mar'23, while total liabilities increased correspondingly from 2,227.68 Cr to 3,307.94 Cr. Cash flow from operating activities was positive at 263.00 Cr in Mar'22, but the overall cash flow showed a net outflow of -62.00 Cr for that year, reflecting some challenges in cash management despite the growth in sales and profits.
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