How has been the historical performance of SIL Investments?
SIL Investments has experienced significant growth in net sales and total operating income, rising from 25.69 Cr in Mar'19 to 54.82 Cr in Mar'25, with profit after tax increasing from 20.25 Cr to 31.29 Cr. However, cash flow from operating activities has declined, resulting in a net cash outflow of 7.00 Cr in Mar'25, despite a strong financial position indicated by growing reserves.
Answer:SIL Investments has shown a varied historical performance over the years, with net sales increasing from 25.69 Cr in Mar'19 to 54.82 Cr in Mar'25. The total operating income also followed a similar upward trend, reaching 54.82 Cr in Mar'25 from 25.69 Cr in Mar'19. Operating profit (PBDIT) has seen fluctuations, peaking at 44.46 Cr in Mar'25, while profit before tax reached 41.89 Cr in the same year. The profit after tax has also increased, amounting to 31.29 Cr in Mar'25 compared to 20.25 Cr in Mar'19. The company's reserves have significantly grown, from 1,003.67 Cr in Mar'19 to 3,134.75 Cr in Mar'25, indicating a strong financial position. However, the total liabilities have also risen, from 760.90 Cr in Mar'20 to 3,538.75 Cr in Mar'25, reflecting increased obligations. Cash flow from operating activities has been inconsistent, with a notable decrease to 9.00 Cr in Mar'25 from 99.00 Cr in Mar'23, leading to a net cash outflow of 7.00 Cr in Mar'25.Breakdown:
SIL Investments has demonstrated a strong growth trajectory in net sales, which rose from 25.69 Cr in Mar'19 to 54.82 Cr in Mar'25, while total operating income mirrored this increase. Operating profit (PBDIT) reached a high of 44.46 Cr in Mar'25, contributing to a profit before tax of 41.89 Cr. The profit after tax also increased, indicating improved profitability, with figures rising from 20.25 Cr in Mar'19 to 31.29 Cr in Mar'25. The company's reserves have expanded significantly, showcasing a robust financial foundation, while total liabilities have escalated, reflecting a growing obligation. Cash flow from operating activities has fluctuated, culminating in a decrease to 9.00 Cr in Mar'25, resulting in a net cash outflow of 7.00 Cr, highlighting some challenges in cash management despite overall revenue growth.
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