Reliance Statements
RC
Reliance Income Statement
B
M
INR (except Earnings per share)
Financial
Revenue
Cost of sales
Gross profit
Research and development
Selling, general and administrative
Total operating expenses
Operating income
Interest expense
Other income
Income before tax
Provision for income taxes
Net income
Diluted earnings per share
Shares outstanding after dilution
1 860
100
840
45.2
1 020
54.8
—
0
1 020
54.8
1 630
87.6
-610
-32.8
-240
-12.9
200
10.8
-650
-34.9
80
4.3
-41 870
-2251.08
-15.25
2 743.76
1 970
100
910
47.4
1 060
52.6
—
0
1 170
73.2
1 830
108.2
-770
-55.7
-230
-11.3
520
41.2
-220
-3.09
60
6.2
-30 250
-1092.8
-11
2 745.26
2 310
100
920
41.4
1 390
58.6
—
0
1 050
30.6
1 700
59.5
-310
-0.9
-230
-9.9
140
10.8
-1 460
0
-30
-2.7
-108 960
-1695.5
-39.68
2 744.98
2 480
100
1 330
52
1 150
48
—
0
1 680
71.5
2 390
99.2
-1 240
-51.2
-240
-8.9
130
5.7
-1 350
-54.5
—
0
-36 030
-1494.3
-13.12
2 744
2 710
100
1 680
66.4
1 030
33.6
—
0
1 280
57.6
2 030
88
-1 000
-54.4
-230
-8
110
6.4
-1 120
-56.00000000000001
-40
-6.4
-33 890
-1360
-12.34
2 743.5
2 850
100
1 980
69.1
870
30.9
—
0
1 240
35.3
2 000
64
-1 130
-33.09
-240
-8.8
170
8.8
-1 200
-33.09
30
1.5
-32 310
-1194.1
-11.77
2 745
3 510
100
2 180
60.5
1 330
39.5
—
0
1 010
34.5
1 800
56.5
-470
-16.9
-250
-6.8
140
7.9
-580
-15.8
10
-1.7
-29 650
-858.2
-10.79
2 745
4 090
100
3 440
85.8
650
14.2
—
0
1 140
23.4
1 890
43.1
-1 240
-28.9
-240
-6.09
50
1
-1 430
-34.01
90
2
-28 270
-720.8
-10.28
2 747.5
5 180
100
3 600
63
1 580
37
—
0
3 670
94.2
4 480
102.3
-2 900
-65.4
-110
-1.6
450
16.7
-92 200
-50.2
70
0.8
-121 470
-602.7
-44.24
2 744.5
11 670
100
7 420
74.2
4 250
25.8
—
0
4 320
47.7
7 050
67.2
-2 800
-41.4
-470
0
40
1
-15 730
-454.3
70
0.7
-305 239
-9986.09
-111.23
2 744
20 320
100
9 480
34.8
10 840
65.2
—
0
9 390
65.3
13 510
85.8
-2 670
-20.6
-920
-4.05
1 400
13.2
-6 030
-51.4
14 600
152.2
-80 050
-807.4
-28.93
2 751.5
19 830
100
11 850
60.1
7 980
39.9
—
0
5 620
29.5
9 700
51
-1 720
-11.05
-980
-5.02
390
3.8
21 610
232.5
9 650
98.9
7 990
116.8
2.87
2 751
15 780
100
10 470
66.3
5 310
33.7
—
0
2 850
18.1
5 100
32.3
210
1.3
-500
-3.2
470
3
180
1.1
100
0.6
-9 650
-61.2
-3.94
2 447
16 750
100
11 570
69.1
5 180
30.9
—
0
2 240
13.4
4 650
27.8
530
3.2
-720
-4.3
230
1.4
40
0.2
-120
-0.7
-5 310
-31.7
-2.14
2 470
-19 580
100
11 500
-58.7
-31 080
158.7
—
0
-22 550
115.2
-27 300
139.4
-3 780
19.3
6 650
-34
-890
4.5
1 980
-10.1
660
-3.4
390
-2
0.15
2 483
52 590
100
9 720
18.5
42 870
81.5
—
0
28 290
53.8
36 590
69.6
6 280
11.9
-7 950
-15.1
1 020
1.9
-650
-1.2
-1 540
-2.9
540
1
0.22
2 489
56 820
100
11 300
19.9
45 520
80.1
—
0
28 480
50.1
42 190
74.3
3 330
5.9
-7 910
-13.9
2 980
5.2
-1 600
-2.8
-2 380
-4.2
900
1.6
0.37
2 452
54 200
100
8 920
16.5
45 280
83.5
—
0
26 090
48.1
35 830
66.1
9 450
17.4
-6 990
-12.9
230
0.4
2 690
5
-460
-0.8
3 030
5.6
1.23
2 463
53 310
100
8 430
15.8
44 880
84.2
—
0
27 240
51.1
36 800
69
8 080
15.2
-7 170
-13.4
320
0.6
1 230
2.3
-790
-1.5
1 950
3.7
0.8
2 451
55 210
100
9 200
16.7
46 010
83.3
—
0
27 530
49.9
39 350
71.3
6 660
12.1
-7 170
-13
490
0.9
-20
-0.04
-650
-1.2
510
0.9
0.21
2 451