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HOME   >  CORPORATE INFO > PROFIT & LOSS
Profit & Loss      
Transformers & Rectifiers (India) Ltd.
BSE Code 532928
ISIN Demat INE763I01026
Book Value 42.33
NSE Code TARIL
Dividend Yield % 0.05
Market Cap 117890.13
P/E 51.40
EPS 7.64
Face Value 1  
(Rs. in Millions)
Particulars Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
INCOME :          
Gross Sales19501.40  12733.10  13749.80  11289.80  7268.60  
     Sales18694.70  12204.20  13203.70  10959.60  7012.60  
     Job Work/ Contract Receipts          
     Processing Charges / Service Income531.00  338.90  363.60  197.30  172.70  
     Revenue from property development          
     Other Operational Income275.70  190.00  182.50  133.00  83.30  
Less: Excise Duty21.80  36.00  4.10      
Net Sales19479.60  12697.10  13745.70  11289.80  7268.60  
EXPENDITURE :          
Increase/Decrease in Stock-426.80  57.90  302.80  -506.00  94.60  
Raw Material Consumed14269.40  9460.10  10594.50  9743.80  5383.60  
     Opening Raw Materials902.00  803.00  460.60  485.80  465.50  
     Purchases Raw Materials15338.70  9268.20  10442.70  9718.70  5403.80  
     Closing Raw Materials2021.70  902.00  803.00  460.60  485.80  
     Other Direct Purchases / Brought in cost50.40  290.90  494.20      
     Other raw material cost0.00  0.00  0.00  0.00  0.00  
Power & Fuel Cost132.00  131.20  131.80  106.40  77.30  
     Electricity & Power132.00  131.20  131.80  106.40  77.30  
     Oil, Fuel & Natural gas0.00  0.00  0.00  0.00  0.00  
     Coals etc0.00  0.00  0.00  0.00  0.00  
     Other power & fuel0.00  0.00  0.00  0.00  0.00  
Employee Cost522.90  446.00  380.70  298.70  260.20  
     Salaries, Wages & Bonus460.40  385.70  341.60  266.70  225.60  
     Contributions to EPF & Pension Funds36.90  39.20  27.60  19.90  18.50  
     Workmen and Staff Welfare Expenses25.60  21.10  11.50  12.10  16.20  
     Other Employees Cost0.00  0.00  0.00  0.00  0.00  
Other Manufacturing Expenses759.60  603.10  519.80  440.60  331.00  
     Sub-contracted / Out sourced services          
     Processing Charges601.00  434.90  409.30  384.30  262.90  
     Repairs and Maintenance86.40  50.30  47.40  33.20  13.50  
     Packing Material Consumed          
     Other Mfg Exp72.20  117.90  63.10  23.10  54.60  
General and Administration Expenses277.40  187.40  204.70  144.40  128.40  
     Rent , Rates & Taxes5.00  1.10  2.00  2.10  2.50  
     Insurance46.60  40.60  33.70  32.10  32.70  
     Printing and stationery9.50  8.00  6.70  6.30  5.30  
     Professional and legal fees119.30  74.00  92.90  47.10  48.00  
     Traveling and conveyance91.50  61.10  67.80  55.20  38.40  
     Other Administration97.20  63.70  69.40  56.80  39.80  
Selling and Distribution Expenses812.60  372.80  346.30  266.20  257.10  
     Handling and Clearing Charges0.00  0.00  0.00  0.00  0.00  
     Other Selling Expenses226.40  88.60  61.30  138.40  152.20  
Miscellaneous Expenses291.70  239.70  207.50  134.90  101.50  
     Bad debts /advances written off57.00  111.20  7.90  21.10  29.50  
     Provision for doubtful debts187.60  64.40  106.00  85.20  42.10  
     Losson disposal of fixed assets(net)    2.40  0.40  1.20  
     Losson foreign exchange fluctuations          
     Losson sale of non-trade current investments          
     Other Miscellaneous Expenses47.20  64.10  91.10  28.30  28.70  
Less: Expenses Capitalised          
Total Expenditure16638.80  11498.30  12688.20  10629.00  6633.60  
Operating Profit (Excl OI)2840.80  1198.90  1057.60  660.80  635.00  
Other Income327.80  86.90  118.60  124.60  98.20  
     Interest Received72.90  45.80  46.80  51.60  36.40  
     Dividend Received9.90  7.70  7.70  7.70  7.70  
     Profit on sale of Fixed Assets1.50  4.20        
     Profits on sale of Investments139.60  3.40    0.30  0.60  
     Provision Written Back4.40  17.20  50.70  22.20  21.60  
     Foreign Exchange Gains94.00  3.20  6.90  33.50  17.40  
     Others5.50  5.40  6.60  9.40  14.70  
Operating Profit3168.60  1285.80  1176.20  785.40  733.30  
Interest483.80  497.60  466.30  422.70  449.20  
     InterestonDebenture / Bonds          
     Interest on Term Loan280.00  335.80  274.20  240.30  247.70  
     Intereston Fixed deposits          
     Bank Charges etc          
     Other Interest203.80  161.80  192.10  182.30  201.40  
PBDT2684.90  788.20  709.90  362.70  284.10  
Depreciation242.80  227.30  225.70  153.10  176.70  
Profit Before Taxation & Exceptional Items2442.10  560.90  484.20  209.60  107.40  
Exceptional Income / Expenses32.40          
Profit Before Tax2474.50  560.90  484.20  209.60  107.40  
Provision for Tax598.90  149.80  113.30  79.30  37.90  
     Current Income Tax680.10  203.50  168.30  55.90  14.10  
     Deferred Tax-81.30  -56.60  -64.90  24.00  23.20  
     Other taxes0.00  3.00  9.90  -0.60  0.60  
Profit After Tax1875.70  411.10  370.80  130.30  69.50  
Extra items0.00  0.00  0.00  0.00  0.00  
Minority Interest          
Share of Associate          
Other Consolidated Items          
Consolidated Net Profit1875.70  411.10  370.80  130.30  69.50  
Adjustments to PAT          
Profit Balance B/F2521.10  2125.80  1773.40  1646.70  1576.60  
Appropriations4396.80  2536.90  2144.20  1777.00  1646.10  
     General Reserves          
     Proposed Equity Dividend          
     Corporate dividend tax          
     Other Appropriation27.00  15.70  18.50  3.70  -0.60  
Equity Dividend %20.00  20.00  15.00  15.00  10.00  
Earnings Per Share6.00  3.00  3.00  1.00  1.00  
Adjusted EPS6.00  1.00  1.00  0.00  0.00  
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