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Petgo Corporation — Financial Statements
5 10 All
Income Statement
Balance Sheet
Cash Flow
Line ItemFY 2025Mar 31, 2025FY 2024Mar 31, 2024FY 2023Mar 31, 2023FY 2022Mar 31, 2022
+Revenue 9.0B 9.9B 10.0B 9.7B
Revenue Growth % -8.8% -1.2% 3.9% --
+Operating Income 228.5M 247.1M 236.1M 165.1M
Operating Margin % 2.5% 2.5% 2.4% 1.7%
Non Operating Income 28.4M 25.7M 25.3M 26.2M
Non Operating Expenses 49.6M 31.7M 31.0M 38.5M
Ordinary Income 207.3M 241.1M 230.5M 152.8M
Income Before Taxes 207.3M 241.1M 230.5M 152.8M
Income Taxes 78.9M 68.7M 77.2M 47.7M
+Net Income 128.3M 172.3M 153.3M 105.1M
Net Margin % 1.4% 1.7% 1.5% 1.1%
Eps 68.86 93.13 85.78 87.89
Depreciation Amortization 9.3M 15.3M 18.4M 15.2M
Line ItemFY 2025Mar 31, 2025FY 2024Mar 31, 2024FY 2023Mar 31, 2023FY 2022Mar 31, 2022
Cash And Deposits 1.3B 901.4M 844.1M 782.9M
Current Assets 3.2B 3.2B 3.0B 2.4B
Property Plant Equipment 19.0M 26.1M 35.2M 39.0M
Noncurrent Assets 96.9M 62.3M 82.4M 76.6M
Total Assets 3.3B 3.3B 3.1B 2.5B
Current Liabilities 1.8B 2.1B 2.0B 1.8B
Total Liabilities 2.1B 2.2B 2.1B 2.0B
Retained Earnings 392.3M 263.9M 91.6M -61.7M
Total Equity 1.2B 1.1B 935.4M 454.8M
Equity Ratio 0.37 0.34 0.30 0.18
Book Value Per Share 671.86 604.81 507.75 380.20
Num Employees 48.00 52.00 52.00 53.00
Roe 0.11 0.17 0.22 0.26
Line ItemFY 2025Mar 31, 2025FY 2024Mar 31, 2024FY 2023Mar 31, 2023FY 2022Mar 31, 2022
Operating Cash Flow 89.4M 163.5M -244.3M -220.7M
Investing Cash Flow -37.3M -3.2M -11.9M -6.4M
Financing Cash Flow 310.1M -102.9M 317.3M 148.0M
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