(₹ crores) | Q3FY25 | Q2FY25 | Q3FY24 | QoQ (%) | YoY (%) |
---|---|---|---|---|---|
Total Income | 600.68 | 523.41 | 483.00 | 14.8% | 24.4% |
Total Expenses | 550.18 | 465.50 | 445.30 | 18.2% | 23.6% |
Profit Before Tax | 50.49 | 57.90 | 37.70 | -12.8% | 33.9% |
Tax | 11.48 | 13.80 | 11.18 | -16.8% | 2.7% |
Profit After Tax | 52.30 | 44.94 | 29.58 | 16.4% | 76.8% |
Earnings Per Share | 25.50 | 5.30 | 4.00 | 381.1% | 537.5% |
Data Source: BSE, Company announcements The securities quoted are exemplary and are not recommendatory. Past performance is not indicative of future results
Capacite Infraprojects Ltd is a prominent player in the construction industry, specializing in providing integrated construction services. The company is known for executing large-scale projects across various sectors including residential, commercial, and institutional buildings. Capacite Infraprojects Ltd has established a reputation for its expertise in designing and constructing complex infrastructure projects. The company has been involved in several key developments, often working with both private and public sector clients. As of the latest information available, there are no specific recent developments mentioned for the company. The focus of the company remains on expanding its project portfolio and delivering high-quality construction services.
In Q3FY25, Capacite Infraprojects Ltd reported a total income of ₹600.68 crores, reflecting a quarter-over-quarter (QoQ) increase of 14.8% from ₹523.41 crores in Q2FY25. Year-over-year (YoY), the total income grew by 24.4% from ₹483.00 crores in Q3FY24. This increase suggests an upward trend in revenue generation over both comparative periods. The revenue growth can be attributed to various factors, such as increased project execution and possibly new contracts or project wins, although specific details are not provided in the data.
For Q3FY25, the company recorded a profit before tax (PBT) of ₹50.49 crores, which represents a decline of 12.8% QoQ from ₹57.90 crores in Q2FY25. However, compared to Q3FY24, the PBT increased by 33.9% from ₹37.70 crores. Despite the quarterly decline, the YoY growth indicates improved profitability over the year. The profit after tax (PAT) for Q3FY25 stood at ₹52.30 crores, which increased by 16.4% QoQ from ₹44.94 crores in Q2FY25 and by 76.8% YoY from ₹29.58 crores in Q3FY24. The earnings per share (EPS) rose significantly to ₹25.50 in Q3FY25, marking an increase of 381.1% QoQ and 537.5% YoY, indicating enhanced returns for shareholders over both periods.
The total expenses for Capacite Infraprojects Ltd in Q3FY25 were ₹550.18 crores, showing an increase of 18.2% QoQ from ₹465.50 crores in Q2FY25 and 23.6% YoY from ₹445.30 crores in Q3FY24. The tax expenses for the quarter were ₹11.48 crores, which decreased by 16.8% QoQ from ₹13.80 crores in Q2FY25, while showing a slight increase of 2.7% YoY from ₹11.18 crores in Q3FY24. These figures highlight the company's operational cost structure and tax liabilities over the respective periods. The financial data does not provide specific details on other operating metrics like the debt-to-equity ratio, current ratio, or any other key financial ratios.