CFF Fluid Control

quarterly
yearly
ParticularsDec '22Mar '23
Revenue11.8119.89
Expenses0.771.30
EBITDA0.000.00
EBIT0.000.00
Profit Before Tax0.782.95
Net Profit0.782.95
Financial Ratios
Operating Profit Margin18.20%32.78%
Net Profit Margin6.60%14.83%
Earning Per Share (Diluted)0.000.00
Dividends Per Share0.000.00