VEEDOL CORPORATION LIMITED (VEEDOL)

Current Price: ₹0.00

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Stock Performance

Quarterly Financials

Consolidated Standalone
Particulars Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025
Revenue from Operations 476.22 482.42 531.91 513.62 509.23 537.73
YOY Revenue Growth % - - - - 6.93% 11.47%
Other Income 3.38 4.72 3.55 5.75 3.84 5.17
Total Income 479.60 487.14 535.46 519.37 513.07 542.90
Total Expenses + 387.97 414.55 473.19 463.22 464.93 495.28
Cost of Materials Consumed 237.74 257.31 285.18 276.10 236.39 290.55
Employee Benefit Expense 34.68 37.67 36.06 38.34 40.20 41.77
Other Expenses 115.55 119.57 109.52 121.03 113.27 127.06
Operating Profit 88.25 67.87 58.72 50.40 44.30 42.45
OPM % 18.5% 14.1% 11% 9.8% 8.7% 7.9%
Profit Before Tax + 40.05 28.41 62.27 56.15 48.14 47.62
Tax Expense 5.45 -8.93 2.57 6.48 7.20 4.07
Tax % 13.6% -31.4% 4.1% 11.5% 15% 8.5%
Profit After Tax 34.60 37.34 59.70 49.67 40.94 43.55
EPS (Basic) 20.36 21.97 35.12 29.23 24.09 25.63

Yearly Financial Results

Consolidated Standalone
Particulars Mar 2025
Revenue from Operations 1,970.49
YOY Revenue Growth % -
Other Income 18.38
Total Income 1,988.87
Total Expenses + 1,808.15
Cost of Materials Consumed 1,047.80
Employee Benefit Expense 134.80
Other Expenses 468.61
Operating Profit 162.34
OPM % 8.2%
Profit Before Exceptional 180.72
Exceptional Items -6.56
Profit Before Tax + 174.16
Tax Expense 5.41
Tax % 3.1%
Profit After Tax 168.75
EPS (Basic) 99.29

Balance Sheet

Particulars Mar 2025
ASSETS
Non-Current Assets + 439.91
Property, Plant & Equipment 206.84
Capital Work in Progress 7.18
Non-Current Investments 0.00
Goodwill 120.55
Other Intangible Assets 8.74
Current Assets + 811.42
Inventories 333.24
Trade Receivables 290.32
Cash and Cash Equivalents 43.08
Current Investments 0.00
LIABILITIES & EQUITY
Total Equity 0.00
Equity Share Capital 3.40
Other Equity 910.65
Non-Current Liabilities 68.63
Current Liabilities 262.38
Total Liabilities 338.71

Cash Flow Statement

Particulars Mar 2025
Cash from Operating Activities 29.72
Cash from Investing Activities 72.08
Cash from Financing Activities -98.89
Net Increase/Decrease in Cash 4.22