How has been the historical performance of Vardhman Concr.?

Nov 14 2025 11:34 PM IST
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Vardhman Concr. has struggled with revenue generation, maintaining net sales at 0.00 Cr since Mar'21, except for a minor 0.35 Cr in Mar'19. The company has faced increasing operational losses, with total liabilities decreasing but total debt rising, and no cash flow activity reported.
Answer:
The historical performance of Vardhman Concr. shows a consistent lack of revenue generation, with net sales remaining at 0.00 Cr from Mar'21 to Mar'25, except for a minor revenue of 0.35 Cr in Mar'19. The total operating income also reflects this trend, being 0.00 Cr for the last six years, with a slight peak of 0.35 Cr in Mar'19. The company has faced increasing operational losses, with operating profit (PBDIT) declining from a profit of 0.23 Cr in Mar'19 to a loss of -0.16 Cr in Mar'25. Profit before tax and profit after tax have also shown a downward trend, with losses escalating from -0.03 Cr in Mar'19 to -0.44 Cr and -0.47 Cr respectively in Mar'25. The company's total liabilities have decreased from 7.79 Cr in Mar'19 to 6.52 Cr in Mar'24, while total debt has increased from 13.50 Cr in Mar'19 to 15.31 Cr in Mar'24. The cash flow statements indicate no cash inflow or outflow across the years, maintaining a consistent balance of 0.00 Cr. Overall, Vardhman Concr. has struggled with profitability and operational efficiency over the years.

Breakdown:
Vardhman Concr. has not generated any significant revenue since Mar'21, with net sales consistently at 0.00 Cr, except for a minor revenue of 0.35 Cr in Mar'19. The total operating income has mirrored this stagnation, remaining at 0.00 Cr for the last six years. The company has experienced increasing operational losses, with operating profit (PBDIT) declining from a profit of 0.23 Cr in Mar'19 to a loss of -0.16 Cr in Mar'25. Profit before tax and profit after tax have also worsened, with losses growing from -0.03 Cr in Mar'19 to -0.44 Cr and -0.47 Cr respectively in Mar'25. Total liabilities have decreased from 7.79 Cr in Mar'19 to 6.52 Cr in Mar'24, while total debt has risen from 13.50 Cr to 15.31 Cr in the same period. The cash flow statements reveal no cash inflow or outflow, consistently showing a balance of 0.00 Cr. Overall, Vardhman Concr. has faced significant challenges in achieving profitability and operational success over the years.
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