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Pyramid Technoplast IPO Review - Issue Date, Price, GMP, Subscription, Allotment, Lot Size, and Details

Pyramid Technoplast Limited Financial Information (Restated Consolidated)

Amount in ()

Period Ended 31 Mar 2023 31 Mar 2022 31 Mar 2021
Reserve of Surplus 75.97 71.29 44.94
Total Assets 225.78 183.76 153.46
Total Borrowings 55.34 64.77 51.30
Fixed Assets 68.6 50.9 50.29
Cash 5.7 3.9 4.5
Cash flow from operating activities
Cash flows from investing activities
Cash flow from financing activities
Net Borrowing 49.64 60.87 46.8
Revenue 482.03 402.64 316.18
EBITDA - - -
PAT 31.76 26.15 16.99
PAT Margin
EPS 10.24 8.43 5.41

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