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Flair Writing IPO Review - Issue Date, Price, GMP, Subscription, Allotment, Lot Size, and Details

Flair Writing Limited Financial Information (Restated Consolidated)

Amount in (Rs. Crore)

Period Ended 30 Jun 2023 31 Mar 2023 31 Mar 2022 31 Mar 2021
Reserve of Surplus 423.46 391.29 296.50 241.31
Total Assets 765.04 684.18 557.49 480.66
Total Borrowings 126.67 115.59 126.33 130.31
Fixed Assets 240.161 240.09 557.493 176.437
Cash 0.196 0.794 0.333 0.681
Cash flow from operating activities
Cash flows from investing activities
Cash flow from financing activities
Net Borrowing 126.469 114.798 125.999 129.63
Revenue 248.50 954.29 587.64 310.87
EBITDA 52.33 183.512 97.568 22.997
PAT 32.14 118.10 55.15 0.99
PAT Margin
EPS 3.44 12.66 5.91 0.11

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