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IRM ENERGY IPO Review - Issue Date, Price, GMP, Subscription, Allotment, Lot Size, and Details

IRM ENERGY Limited Financial Information (Restated Consolidated)

Amount in ()

Period Ended 30 Jun 2023 31 Mar 2023 31 Mar 2022 31 Mar 2021
Reserve of Surplus 343 316.1 193.30 67.57
Total Assets 838.21 792.90 554.80 338.11
Total Borrowings 321.24 303.83 202.59 163.35
Fixed Assets 387.6 361 284 230
Cash 103.6 98.4 99.6 41.3
Cash flow from operating activities
Cash flows from investing activities
Cash flow from financing activities
Net Borrowing 217.5 205.3 102.9 121.8
Revenue 248.63 1,045.10 549.19 212.54
EBITDA - - - -
PAT 26.91 63.14 128.0 34.89
PAT Margin
EPS 8.89 20.93 43.88 12.39

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