How has been the historical performance of Railtel Corpn.?
Railtel Corpn. has shown steady growth in net sales, increasing from 1,003.27 Cr in Mar'19 to 1,963.51 Cr in Mar'23, but faced declines in profit before tax and profit after tax in the latest year. Total assets rose significantly, yet the company experienced a negative cash flow in the most recent period.
Answer:The historical performance of Railtel Corpn. shows a steady growth in net sales and 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 trend, rising from 976.78 Cr in Mar'18 to 1,963.51 Cr in Mar'23. Operating profit, excluding other income, also saw an upward trajectory, reaching 378.49 Cr in Mar'23 from 258.96 Cr in Mar'17. However, profit before tax decreased from 280.62 Cr in Mar'22 to 254.79 Cr in Mar'23, while profit after tax also declined from 208.95 Cr to 189.08 Cr in the same period. The earnings per share (EPS) decreased from 6.51 in Mar'22 to 5.89 in Mar'23. On the balance sheet, total assets increased significantly from 2,318.88 Cr in Mar'18 to 3,307.94 Cr in Mar'23, with total liabilities also rising from 2,227.68 Cr to 3,307.94 Cr. The cash flow from operating activities was 263 Cr in Mar'22, while the net cash outflow was -62 Cr, indicating a challenging cash flow situation in the latest year.Breakdown:
Railtel Corpn. has demonstrated consistent growth in net sales, which rose from 1,003.27 Cr in Mar'19 to 1,963.51 Cr in Mar'23, reflecting a strong upward trend in total operating income as well. Operating profit, excluding other income, increased from 258.96 Cr in Mar'17 to 378.49 Cr in Mar'23, although profit before tax and profit after tax showed a decline in the latest year. The company's earnings per share also fell from 6.51 in Mar'22 to 5.89 in Mar'23. On the balance sheet, total assets grew from 2,318.88 Cr in Mar'18 to 3,307.94 Cr in Mar'23, while total liabilities increased correspondingly, indicating a rise in financial obligations. The cash flow from operating activities was positive at 263 Cr in Mar'22, but the overall net cash flow turned negative in the latest year, highlighting potential liquidity challenges.
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