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Rapido Annual Report, Balance Sheet & Financials

Roppen Transportation Services Pvt Ltd (Rapido) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40
Roppen Transportation Services Pvt Ltd

Rapido Balance Sheet (In Rs. Crores)

Particulars

As of 31 March 2023

As of 31 March 2022

ASSETS                        

 

 

Non-Current Assets

 

 

Property, Plant, and Equipment

                                 8.50

                                          9.26

Other intangible assets

                                 0.10

                                          0.00

Loans

                                 0.83

                                          0.39

Other non-current financial assets

                                 1.90

                                          1.77

Total non-current financial assets

                                 2.74

                                          2.16

Other non-current assets

                                 1.45

                                          2.53

Total non-current assets

                               12.79

                                       13.94

Current Assets

 

 

Trade receivables

                               12.81

                                          5.62

Cash and cash equivalents

                                 9.33

                                       66.94

Bank balance other than cash and cash equivalents

                               56.29

                                       50.40

Loans

                                 0.74

                                          0.68

Other current financial assets

                                 0.71

                                          0.94

Total current financial assets

                               79.88

                                     124.58

Other current assets

                               72.24

                                       33.19

Total current assets

                             152.12

                                     157.77

Total assets

                             164.91

                                     171.71

EQUITY AND LIABILITIES

 

 

EQUITY

 

 

Equity share capital

                                 1.01

                                          0.79

Other Equity

                               32.39

                                       90.79

Total equity attributable to owners of parent

                               33.41

                                       91.58

Total equity

                               33.41

                                       91.58

Non-current Liabilities

 

 

Borrowings

                                      -  

                                              -  

Total non-current financial liabilities

                                 1.24

                                          4.61

Provisions

                                 7.97

                                          3.07

Total non-current liabilities

                                 9.21

                                          7.69

Current liabilities

 

 

Borrowings

                                 4.40

                                              -  

Trade payables

                               56.11

                                       28.82

Other current financial liabilities

                                 5.47

                                          4.42

Total current financial liabilities

                               65.98

                                       33.24

Other current liabilities

                               21.20

                                       11.49

Provisions

                               35.11

                                       27.73

Total current liabilities

                             122.29

                                       72.45

Total liabilities

                             131.50

                                       80.14

Total equity and liabilities

                             164.91

                                     171.71

Rapido Profit & Loss Statement (In Rs. Crores)

PARTICULARS

2022

2021

I.  Revenue from Operations

144.77

75.61

II. Other Income

13.17

12.36

III. Total Income (I+II)

157.95

87.97

IV Expenses

 

 

Employee benefit expense

106.96

61.80

Finance costs

0.3434

0.394

Depreciation, depletion and amortisation expense

4.9207

3.5269

Other expenses

484.75

188.64

Total expenses

596.97

254.37

Profit before exceptional items and tax

-439.02

-166.40

Total profit before tax

-439.02

-166.40

Total tax expense

0

0

Total profit (loss) for the period

-439.02

-166.40

Comprehensive income OCI components presented net of tax [Abstract]

 

 

Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans

-0.4907

-0.0396

Other comprehensive income that will not be reclassified to profit or loss, net of tax, others

 

 

Total other comprehensive income that will not be reclassified to profit or loss, net of tax

-0.4907

-0.0396

Other comprehensive income that will be reclassified to profit or loss, net of tax, others

0

0

Total other comprehensive income that will be reclassified to profit or loss, net of tax

0

0

Total other comprehensive income

-0.4907

-0.0396

Total comprehensive income

-439.51

-166.44

Total other comprehensive income

-0.4907

-0.0396

Total comprehensive income

-439.51

-166.44

Earnings per share 

 

 

Basic earnings (loss) per share from continuing operations

[INR/shares] -43,280.87

[INR/shares] -16,442.43

Diluted earnings (loss) per share from continuing operations

[INR/shares] -43,280.87

[INR/shares] -16,442.43

Rapido’s Cash Flow Statement (In Rs. Crores)

Particulars

 31st March 2023

 31 March 2022 

A. Cash Flow from Operating Activities

 

 

Profit/(Loss) Before Tax 

-439.02

-166.40

Adjustments for finance costs

-0.8958

27.14

Adjustments for decrease (increase) in trade receivables, current

-7.1898

-3.6411

Adjustments for decrease (increase) in other current assets

-41.04

-24.54

Adjustments for other financial assets, current

-0.3054

-0.0748

Adjustments for increase (decrease) in trade payables, current

27.30

11.29

Adjustments for increase (decrease) in other current liabilities

9.7159

1.9913

Adjustments for depreciation and amortisation expense

4.9207

3.5269

Adjustments for provisions, current

8.2183

2.0223

Adjustments for other financial liabilities, current

0.9518

0.5359

Total adjustments for reconcile profit (loss)

1.6674

18.25

Net cash flows from (used in) operating activities

-437.35

-148.14

B. Cash Flow from investing Activities

 

 

Proceeds from sales of property, plant and equipment

0.0509

0.0253

Purchase of property, plant and equipment

4.0795

0.8152

Proceeds from sales of investment property

0.1227

3.1726

Purchase of intangible assets

0.1049

0

Interest received

13.29

11.64

Other inflows (outflows) of cash

-5.959

148.33

Net cash flows from (used in) investing activities

3.318

162.35

C. Cash Flow from Financing Activities

 

 

Proceeds from issuing shares

375.53

0

Payments of lease liabilities

3.1634

2.1056

Interest paid

0.3434

0.3928

Net cash flows from (used in) financing activities

372.03

-2.4984

Net increase (decrease) in cash and cash equivalents before the effect of exchange rate changes

-62.01

11.71

Net increase (decrease) in cash and cash equivalents

-62.01

11.71

Cash and cash equivalents cash flow statement at end of period

4.9307

66.94

Rapido Key Financial Ratios 

Particulars

31-Mar-22

31-Mar-21

Current Ratio (in times)

1.24

2.18

Debt-Equity Ratio (in times)

0.97

0.22

Total Debt/Total Assets Ratio (in times)

0.2

0.12

Return on Equity Ratio (in %)

-1314.09%

-181.70%

Interest Coverage Ratio  (in times)

-1277.46

-421.33

Total Asset Turnover (in times)

0.96

0.51

Fixed Asset Turnover Turnover Ratio (in times)

16.84

8.17

Net Margin (in %)

-277.95%

-189.15%

Return on Capital Employed Ratio (in %)

-1141.49%

-175.52%

Rapido Share Dividend History

Particulars 2022 2021
Dividend Per Share                      -                        -  
Retained Earning (in Rs. Crores) 32.39 90.79

Rapido 's Recent Financial Performance.

Revenue: The company reported total revenue from continuing operations of INR 144.77 crores, showing substantial growth compared to INR 75.61 crores in the previous year.

EBITDA (Earnings Before Interest, Tax, Depreciation, and Amortization): EBITDA for the year stood at INR -433.75 crores, a significant decline from INR -162.47 crores in the previous year, indicatingweak operational performance.

Finance Costs: Finance costs were INR 0.34 crores, while finance income was INR 0.39 crores. The company had a net finance cost during the year.

Profit/Loss for the Year: Roppen Transportation Services Private Limited recorded a profit of INR -439.02 crores for the year, a significant increase from the previous year 's loss of INR -166.40 crores.

Earnings per Share (EPS): The basic and diluted EPS for the year was INR  -43,280.87. This indicates the earnings attributable to each share of face value INR 1.

Overall, Roppen Transportation Services Private Limited has not shown significant improvement in its financial performance, with an increase in loss from the previous year, driven by decreased revenue.

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