AAVAS Financial Statements

AAVAS Quarterly Results

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Y/e 31 Mar - - - -
Growth matrix (%)        
Net interest income -- -- -- --
Total op income -- -- -- --
Op profit (pre-provision) -- -- -- --
Net profit -- -- -- --
Advances -- -- -- --
Borrowings -- -- -- --
Total assets -- -- -- --
Profitability Ratios (%)        
NIM -- -- -- --
Non-int inc/Total inc -- -- -- --
Return on Avg Equity -- -- -- --
Return on Avg Assets -- -- -- --
Per share ratios ()        
EPS -- -- -- --
Adj.BVPS -- -- -- --
DPS -- -- -- --
Other key ratios (%)        
Loans/Borrowings -- -- -- --
Cost/Income -- -- -- --
CAR -- -- -- --
Tier-I capital -- -- -- --
Gross NPLs/Loans -- -- -- --
Prov/Avg loans -- -- -- --
Net NPLs/Net loans -- -- -- --
Tax rate -- -- -- --
Dividend yield -- -- -- --
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Y/e 31 Mar ( In .Cr) - - - -
Interest income -- -- -- --
Interest expense -- -- -- --
Net interest income -- -- -- --
Non-interest income -- -- -- --
Total op income -- -- -- --
Total op expenses -- -- -- --
Op profit (pre-prov) -- -- -- --
Provisions -- -- -- --
Exceptionals -- -- -- --
Profit before tax -- -- -- --
Taxes -- -- -- --
Net profit -- -- -- --
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Y/e 31 Mar ( In .Cr) Mar-2022 Mar-2021 Mar-2020 Mar-2019
Equity Capital 79.40 78.50 78.40 78.10
Reserves 2,729 2,323 2,020 1,759
Net worth 2,809 2,401 2,098 1,837
Long-term borrowings 8,012 6,378 5,382 3,653
Other Long-term liabilities -- -- -- --
Long term provisions -- -- -- --
Total Non-current liabilities 8,012 6,378 5,382 3,653
Short Term Borrowings -- -- -- --
Trade payables 3.68 2.84 17.40 9.49
Other current liabilities 157 146 121 80
Short term provisions 4.03 3.72 7.28 4.43
Total Current liabilities 164 152 145 93.90
Total Equities and Liabilities 10,985 8,932 7,625 5,584
Fixed Assets 68.30 58.70 60.60 22.90
Non-current investments 67.50 4.50 4.50 4.50
Deferred tax assets (Net) (35) (29) (32) (43)
Long-term loans and advances -- -- -- --
Other non-current assets 9,053 7,523 6,181 4,724
Total Non-current assets 9,154 7,558 6,214 4,709
Current investments -- -- -- --
Trade receivables -- -- -- --
Cash and cash equivalents 1,530 1,121 1,192 679
Short-term loans and advances 301 253 219 196
Other current assets -- -- -- --
Total Current assets 1,831 1,374 1,411 875
Total Assets 10,985 8,932 7,625 5,584
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Particulars ( Rupees In Crores.) Sep-2022 Jun-2022 Mar-2022 Dec-2021
Gross Sales 395 353 365 343
Excise Duty -- -- -- --
Net Sales 395 353 365 343
Other Operating Income -- -- -- --
Other Income 0.33 0.09 0.22 0.29
Total Income 395 353 365 343
Total Expenditure ** 109 97.30 88.20 96.60
PBIDT 286 256 277 246
Interest 141 135 124 125
PBDT 145 121 153 121
Depreciation 6.92 6.23 7.25 5.74
Tax 24.50 24.60 23.30 19.20
Fringe Benefit Tax -- -- -- --
Deferred Tax 6.46 0.84 7.14 7.22
Reported Profit After Tax 107 89.20 116 89.10
Extra-ordinary Items -- -- -- --
Adjusted Profit After Extra-ordinary item 107 89.20 116 89.10
EPS (Unit Curr.) 13.50 11.30 14.70 11.30
EPS (Adj) (Unit Curr.) 13.50 11.30 14.70 11.30
Calculated EPS (Unit Curr.) 13.50 11.30 14.70 11.30
Calculated EPS (Adj) (Unit Curr.)  13.50 11.30 14.70 11.30
Calculated EPS (Ann.) (Unit Curr.) 54.10 45.20 58.60 45.20
Calculated EPS (Adj) (Ann.) (Unit Curr.)  54.10 45.20 58.60 45.20
Book Value (Unit Curr.) 384 368 356 338
Dividend (%) -- -- -- --
Equity 79 78.90 78.90 78.90
Reserve & Surplus -- -- -- --
Face Value 10 10 10 10
Public Shareholding (No Of.Shares)  -- -- -- --
Public Shareholding (% in Equity)  -- -- -- --
Pledged/Encumbered - No. of Shares -- -- -- --
Pledged/Encumbered - % in Total Promoters Holding -- -- -- --
Pledged/Encumbered - % in Total Equity -- -- -- --
Non Encumbered - No. of Shares -- -- -- --
Non Encumbered - % in Total Promoters Holding -- -- -- --
Non Encumbered - % in Total Equity -- -- -- --
PBIDTM(%) 72.40 72.40 75.90 71.90
PBDTM(%) 36.70 34.30 42 35.40
PATM(%) 27.10 25.30 31.70 26
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