Business Description
Taaza International Ltd is engaged in the trading business. The company trades for biopesticides, bio-fertilizers, and pulses. It also engages in the trading of building materials. The company operates stores providing products such as Groceries, freshest vegetables, and fruits, frozen foods, soft drinks, fast-moving consumer goods and health and beauty products. Its major sources of revenues are from the trading of building materials, biopesticides and biofertilizers, and pulses.
Contact
Level II, Prabhas Arcade Plot No. 132, Ganesh Colony, Secunderabad, TG 500011
T +91 4030228228
www.taazastores.com opens in a new tab
Sector
Consumer Cyclical
Industry
Department Stores
Most Recent Earnings
Fiscal Year End
Mar 31, 2024
Employees
3

Key Metrics

Key-Metrics - Financial Summary shows the income statement, balance sheet , cash flow statement data - 5 year and 10 year of the company stock.
Income Statement (in Mil, except ratios)
06/30/2023
03/2023
03/2022
03/2021
03/2020
03/2019
Revenue
11.78 78.23
Revenue Growth %
-84.94% -87.70%
Gross Profit
-0.02 -19.78
Gross Profit Margin %
-0.18% -25.29%
Operating Income
-1.07 -0.88 -2.04 -4.44 -5.03 -40.16
Operating Margin %
-42.68% -51.34%
EBIT
-0.27 -0.08 -2.09 -4.15 -11.52 -40.16
EBIT Margin %
-97.84% -51.34%
EBITDA
-0.08 0.11 -1.90 -3.15 -10.40 -38.78
EBITDA Margin %
-88.32% -49.57%
Net Income
-1.20 -0.72 -1.73 -3.99 -11.31 -41.16
Net Profit Margin %
-98.33% -52.71%
Basic EPS
-0.15 -0.10 -0.24 -0.55 -0.16 -0.57
Diluted EPS
-0.15 -0.10 -0.24 -0.55 -0.16 -0.57
Normalized EPS
Total Dividends per Share
Key-Metrics - Financial Summary shows the income statement, balance sheet , cash flow statement data - 5 year and 10 year of the company stock.
Balance Sheet (in Mil, except ratios)
03/31/2023
03/2023
03/2022
03/2021
03/2020
03/2019
Total Assets
118.41 118.41 119.19 121.45 131.83 146.48
Total Liabilities
23.51 23.51 22.97 23.38 31.66 34.82
Total Debt
Total Equity
94.91 94.91 96.22 98.07 100.17 111.65
Cash And Cash Equivalents
2.02 2.02 2.01 2.79 2.13 2.50
Working Capital
89.73 89.73 90.42 92.44 92.64 86.95
Shares Outstanding (Mil)
7.26 7.26 7.26
Book Value Per Share
13.48 13.48 13.57 14.39 14.68 16.26
Total Debt To Equity
Key-Metrics - Financial Summary shows the income statement, balance sheet , cash flow statement data - 5 year and 10 year of the company stock.
Cash Flow Statement (in Mil, except ratios)
03/31/2023
03/2023
03/2022
03/2021
03/2020
03/2019
Cash From Operating Activities
0.81 0.81 -4.81 -0.67 -16.52 -6.56
Cash From Investing Activities
1.34 16.16
Cash From Financing Activities
-0.80 -0.80 -0.01 -0.01 -0.01 -4.22
Capital Expenditures
Free Cash Flow
-0.69 -0.69 -6.05 -1.54 -10.58 -53.71
Change in Cash
0.01 0.01 -4.82 0.66 -0.37 -10.78

Profile


Ownership


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