Restated Financial Statement (RFS)

Particulars 31st March 2024 31 March 2023 31 March 2022 % change from March 31, 2022 to March 31, 2023 % change from March 31, 2023 to March 31, 2024
Current Ratio 1.36 1.45 1.00 45% -6%
Debt-Equity Ratio 1.04 0.71 0.55 29% 47%
Debt Service Coverage Ratio 2.62 2.81 11.78 -76% -7%
Return On Equity Ratio 0.37 0.70 1.50 -54% -47%
Particulars Numerator/Denominator 31 March 2024 31 March 2023 31 March 2022
(a) Current Ratio Current Assets
Current Liabilities
315.31
231.20
264.16
181.91
142.31
141.94
(b) Debt-Equity Ratio Total Debts
Equity
556.66
537.31
260.91
369.03
97.86
178.56
(c) Debt Service Coverage Ratio Earning available for Debt Service
Interest + Installments
230.70
88.18
257.31
91.68
178.47
15.15
(d) Return On Equity Ratio Profit After Tax
Average Shareholder’s Equity
168.28
453.17
190.47
273.80
138.72
92.20
(e) Inventory Turnover Ratio Total Turnover
Average Inventories
616.21
37.78
532.06
33.13
509.52
15.23
(f) Trade Receivables Turnover Ratio Total Turnover
Average Account Receivable
616.21
127.36
532.06
50.04
509.52
18.27
(g) Trade Payables Turnover Ratio Total Purchases
Average Account Payable
239.09
2.65
109.14
2.17
118.46
1.18
(h) Net Capital Turnover Ratio Total Turnover
Net Working Capital
616.21
84.11
532.06
82.25
509.52
0.37
(i) Net Profit Ratio Net Profit After tax
Total Turnover
168.28
616.21
190.47
532.06
138.72
509.52
(j) Return On Capital Employed Earning Before Interest And Taxes
Capital Employed
211.87
1085.28
247.62
625.35
172.85
274.50
(k) Return On Investment Net Profit After tax
Total Investment
168.28
484.86
190.47
169.19
138.72
287.18

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