Regaal Resources Limited (NSE:REGAAL)
India flag India · Delayed Price · Currency is INR
97.11
-0.54 (-0.55%)
Aug 20, 2026, 1:55 PM IST

Regaal Resources Income Statement

Millions INR. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Jun '26 Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Operating Revenue
10,89811,3429,1526,0004,8803,799
Other Revenue
13.6111.95----
10,91111,3549,1526,0004,8803,799
Revenue Growth
12.88%24.06%52.52%22.97%28.46%56.61%
Cost of Revenue
7,7538,3846,6904,3473,5142,497
Gross Profit
3,1592,9702,4621,6541,3661,301
Selling, General & Admin
296.99290.24257.28214.93195.65134.13
Other Operating Expenses
1,5171,4021,062873.47762.71704.71
Operating Expenses
1,9891,8501,4601,1771,034884.8
Operating Income
1,1701,1201,002476.62331.51416.66
Interest Expense
-301.24-309.34-344.46-170.28-86.04-109.64
Interest & Investment Income
--0.680.240.250.24
Currency Exchange Gain (Loss)
--4.396.552.123.75
Other Non Operating Income (Expenses)
---28.99-24.35-26.4137.69
EBT Excluding Unusual Items
868.49810.48633.22288.78221.43348.7
Gain (Loss) on Sale of Investments
--0.680.78-0.130.27
Gain (Loss) on Sale of Assets
---0.32--0.33
Other Unusual Items
-66.57-66.573.781.332.44-
Pretax Income
801.92743.91637.99291.27225.94349.21
Income Tax Expense
203.71188.31161.3169.8558.3688.04
Net Income
598.21555.6476.68221.42167.58261.17
Net Income to Common
598.21555.6476.68221.42167.58261.17
Net Income Growth
25.78%16.56%115.28%32.13%-35.84%109.48%
Shares Outstanding (Basic)
1009579777673
Shares Outstanding (Diluted)
1019679777673
Shares Change
24.69%20.97%3.09%0.84%3.88%-
EPS (Basic)
5.995.866.052.892.203.57
EPS (Diluted)
5.945.816.032.892.203.57
EPS Growth
0.88%-3.65%108.83%31.25%-38.33%109.46%
Free Cash Flow
--2,455-1,393-1,275-349.6-271.76
Free Cash Flow Per Share
--25.68-17.62-16.63-4.60-3.71
Dividend Per Share
-0.250---0.375
Dividend Growth
------
Gross Margin
28.95%26.16%26.90%27.56%27.99%34.26%
Operating Margin
10.72%9.86%10.95%7.94%6.79%10.97%
Profit Margin
5.48%4.89%5.21%3.69%3.43%6.88%
Free Cash Flow Margin
--21.63%-15.22%-21.25%-7.17%-7.15%
EBITDA
1,3331,2781,137559.84399.56454.94
EBITDA Margin
12.22%11.25%12.43%9.33%8.19%11.98%
D&A For EBITDA
163.35157.78135.5183.2268.0538.28
EBIT
1,1701,1201,002476.62331.51416.66
EBIT Margin
10.72%9.86%10.95%7.94%6.79%10.97%
Effective Tax Rate
25.40%25.31%25.28%23.98%25.83%25.21%
Revenue as Reported
10,91111,3549,1766,0114,8873,804
Advertising Expenses
--3.084.154.071.38