Market

Annual Results

You can view the Annual Results for the last 5 years.

ANNUAL RESULTS

Credo Brands Marketing Ltd.

GO
Market Cap. ( ₹ in Cr. ) 509.43 P/BV 1.24 Book Value ( ₹ ) 62.75
52 Week High/Low ( ₹ ) 189/63 FV/ML 2/1 P/E(X) 7.45
Book Closure 10/09/2025 EPS ( ₹ ) 10.46 Div Yield (%) 3.85
(₹ in Crs.)

ParticularsMar 25Mar 24Mar 23Mar 22Mar 21
Net Sales/Income from operations618.18567.33498.18341.17244.83
Total Income From Operations618.18567.33498.18341.17244.83
Consumption of Raw Materials15.1916.7627.8515.7715.10
Purchase of Traded Goods227.20236.36230.88137.98109.86
Increase/Decrease in Stocks21.88-11.84-46.79-6.690.09
Employees Cost32.0631.5226.7629.1821.83
Depreciation68.5662.1953.4345.8944.08
Other Expenses142.09134.0195.6369.8349.47
Total Expenses506.99468.99387.76291.96240.43
P/L Before Other Inc. , Int., Excpt. Items & Tax111.1998.34110.4249.214.40
Other Income6.084.6111.1413.6616.33
P/L Before Interest, Excpt. Items & Tax117.27102.95121.5662.8820.73
Interest25.4824.0617.7515.0416.72
P/L Before Exceptional Items & Tax91.7978.89103.8147.834.01
PL_Before_Tax91.7978.89103.8147.834.01
TaxCharges23.4219.7026.3012.090.57
PL_After_TaxFromOrdineryActivities68.3759.2077.5135.743.44
ReportedPAT68.3759.2077.5135.743.44
NetPLAfterMIAssociates68.3759.2077.5135.743.44
      
EQUITIES AND LIABILITIES     
SHAREHOLDER'S FUNDS     
Equity Share Capital13.0612.903.223.193.19
Reserves and Surplus397.11327.35278.14232.530.00
BeforeBasicEPS10.539.2012.065.600.54
BeforeDilutedEPS10.529.1912.065.560.54
AfterBasicEPS10.539.2012.065.600.54
AfterDilutedEPS10.529.1912.065.560.54
PBITOE_Margin_Per_OperatingProfit_MarginPer17.9817.3322.1614.421.79
PBTE_Margin_Per14.8413.9020.8314.021.63
PBT_Margin_Per14.8413.9020.8314.021.63
PAT_Margin_NP_Margin_Per11.0610.4315.5510.471.40
PATAfterMIAndSOAMargin11.0610.4315.5510.471.40
ParticularsMar 25
Net Sales/Income from operations618.18
Total Income From Operations618.18
Consumption of Raw Materials15.19
Purchase of Traded Goods227.20
Increase/Decrease in Stocks21.88
Employees Cost32.06
Depreciation68.56
Other Expenses142.09
Total Expenses506.99
P/L Before Other Inc. , Int., Excpt. Items & Tax111.19
Other Income6.08
P/L Before Interest, Excpt. Items & Tax117.27
Interest25.48
P/L Before Exceptional Items & Tax91.79
PL_Before_Tax91.79
TaxCharges23.42
PL_After_TaxFromOrdineryActivities68.37
ReportedPAT68.37
NetPLAfterMIAssociates68.37
  
EQUITIES AND LIABILITIES 
SHAREHOLDER'S FUNDS 
Equity Share Capital13.06
Reserves and Surplus397.11
BeforeBasicEPS10.53
BeforeDilutedEPS10.52
AfterBasicEPS10.53
AfterDilutedEPS10.52
PBITOE_Margin_Per_OperatingProfit_MarginPer17.98
PBTE_Margin_Per14.84
PBT_Margin_Per14.84
PAT_Margin_NP_Margin_Per11.06
PATAfterMIAndSOAMargin11.06
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