GSM Foils Complete Financial Statements

GSMFOILS • Review detailed financials to uncover trends, confirm thesis & journal trades
3 Years of Data
2025 - 2023

Complete Financial Data Export

Export complete financial statements for GSM Foils (GSMFOILS). Downloads include all available records across all periods. For market performance, see the GSMFOILS stock price today .

Profitability Ratios

Net Profit Margin 7.46% 2025 data
EBITDA Margin 11.19% 2025 data
Operating Margin 11.00% 2025 data
Return on Assets 16.39% 2025 data
Return on Equity 32.26% 2025 data

Balance Sheet Ratios

Debt to Equity 1.97 2025 data
Equity Ratio 50.82% 2025 data
Asset Turnover 2.20 2025 data

Year-over-Year Growth Analysis

Comparing March 2025 vs Period
Revenue Growth
+43.3%
Year-over-Year
Net Profit Growth
+40.0%
Year-over-Year
EBITDA Growth
+53.3%
Year-over-Year
Expense Growth
+42.9%
Year-over-Year
Assets Growth
+205.0%
Year-over-Year
Equity Growth
+181.8%
Year-over-Year
Liabilities Growth
+205.0%
Year-over-Year
Operating Cash Flow Growth
+100.0%
Year-over-Year
Investing Cash Flow Growth
+100.0%
Year-over-Year
Financing Cash Flow Growth
-100.0%
Year-over-Year

Income Statement

Periods ₹ Crores
Particulars None March 2025 March 2024 March 2023
Revenue 192 134 41 27
Expenses 170 119 38 25
EBITDA 23 15 3 2
Operating Profit Margin % 12.00% 11.00% 7.00% 7.00%
Depreciation 0 0 0 0
Interest 2 1 1 0
Profit Before Tax 20 14 2 2
Tax 6 4 1 0
Net Profit 14 10 1 1
Earnings Per Share (₹) 11.90 7.53 1.46 24.66

Balance Sheet

Years Annual Data ₹ Crores
Particulars 2025 2024 2023
ASSETS
Total Assets 61 20 22
Current Assets 56 19 21
Fixed Assets 2 1 1
Capital Work in Progress 0 0 0
Investments 0 0 0
Other Assets 59 19 21
LIABILITIES
Total Liabilities 61 20 22
Current Liabilities 0 1 0
Non-Current Liabilities
SHAREHOLDERS' EQUITY
Total Equity 31 11 1
Share Capital 13 9 0
Reserves & Surplus 18 2 1

Cash Flow Statement

Periods ₹ Crores
Particulars March 2025 March 2024 March 2023
Operating Activities 0 -14 -2
Investing Activities 0 -1 0
Financing Activities 0 15 3
Net Cash Flow 0 0 0