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HonasaConsumer Ltd
Profit &Loss
Balance Sheet Cash Flow
Mar Mar Mar
2021 Mar
2022 2023 2024
Equity Capital
136 324
Reserves ,765 712 491 800
Borrowings + ,974 4 110
Other Liabilities + 94 240 299 378
TotalLiabilities 303 952 929 1,613
Fixed Assets + 21 98 126 322
CWIP
2

Investments 164 532 392


273
Other Assets + 118 321 411 1,017
Total Assets 303 952 929 1,613

Cash Flows
Standalone Figures in Rs. Crores / View
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Honasa Consumer Ltd
Analysis Peers Quarters Profit & Loss

Standalone Fiqures in Rs. Crores / View


Consolidated

o RELATED PARTY

Mar Mar
1 Mar 2022
2023 2024

Sales + ) 932 1,395 1,764

Expenses + 916 1,350 1.624

Operating 16 45 140
Profit

OPM % 2% 3% 8%

Other Income + 2 21 -132 48

Interest 1 3 5 7

Depreciation 2 6 15 23

Profit before
28 -107 158
tax

Tax % 29% 12% 24%

Net Profit + 20 -121 121

EPS in Rs 19,291.26 -8.84 3.73

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Honasa Consumer Ltd
Profit & Loss
Quarters
Peers
Analysis

Quarterly Results
Fiqures in Rs. Crores /View
Standalone
Consolidated

Dec Mar
Jun Sep
2023 2023 2024
2023

426 460 451 427


Sales +

395 415 417 398


Expenses +

Operating 46 34 29
31
Profit

7% 10% 8% 7%
OPM %

Other Income + 11 8 11 18

Interest 1 2 3

5 5 6 8
Depreciation

Profit before 37 37
37 48
tax

Tax % 25% 21% 22% 27%

Net Profit + 28 38 29 27

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Honasa Consumer Ltd
Bummary Chart Analysis Peers

Current Price 462

High / Low 511 / 256

Stock P/E 124

Book Value
734.7
Dividend Yield 0.00 %

ROCE 17.7 %

ROE 13.8 %

Face Value 7 10.0

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