Phantom Digital Effects Complete Financial Statements

PHANTOMFX • Review detailed financials to uncover trends, confirm thesis & journal trades
2 Years of Data
2025 - 2024

Complete Financial Data Export

Export complete financial statements for Phantom Digital Effects (PHANTOMFX). Downloads include all available records across all periods. For market performance, see the PHANTOMFX stock price today .

Profitability Ratios

Net Profit Margin 19.23% 2025 data
EBITDA Margin 38.46% 2025 data
Operating Margin 37.00% 2025 data
Return on Assets 8.77% 2025 data
Return on Equity 12.12% 2025 data

Balance Sheet Ratios

Current Ratio 13.43 2025 data
Debt to Equity 1.38 2025 data
Equity Ratio 72.37% 2025 data
Asset Turnover 0.46 2025 data

Year-over-Year Growth Analysis

Comparing March 2025 vs Period
Revenue Growth
-100.0%
Year-over-Year
Net Profit Growth
-100.0%
Year-over-Year
EBITDA Growth
-100.0%
Year-over-Year
Expense Growth
-100.0%
Year-over-Year
Assets Growth
+26.7%
Year-over-Year
Equity Growth
+13.8%
Year-over-Year
Liabilities Growth
+26.7%
Year-over-Year
Operating Cash Flow Growth
+64.8%
Year-over-Year
Investing Cash Flow Growth
+115.0%
Year-over-Year
Financing Cash Flow Growth
-80.9%
Year-over-Year

Income Statement

Periods ₹ Crores
Particulars None March 2025 March 2024
Revenue 0 104 90
Expenses 0 65 52
EBITDA 0 40 39
Operating Profit Margin % 0.00% 37.00% 42.00%
Depreciation 0 8 5
Interest 0 4 2
Profit Before Tax 0 28 33
Tax 0 8 9
Net Profit 0 20 24
Earnings Per Share (₹) 0.00 14.88 19.80

Balance Sheet

Years Annual Data ₹ Crores
Particulars 2025 2024
ASSETS
Total Assets 228 180
Current Assets 188 132
Fixed Assets 19 18
Capital Work in Progress 12 15
Investments 0 0
Other Assets 197 147
LIABILITIES
Total Liabilities 228 180
Current Liabilities 14 7
Non-Current Liabilities
SHAREHOLDERS' EQUITY
Total Equity 165 145
Share Capital 14 14
Reserves & Surplus 151 131

Cash Flow Statement

Periods ₹ Crores
Particulars March 2025 March 2024
Operating Activities -19 -54
Investing Activities 3 -20
Financing Activities 17 89
Net Cash Flow 1 14