Pace Digitek

1 M

As of May 11, 2025, Pace Digitek share price is INR 0.00 per share and the face value is INR 2.00 per share. The lot size of Pace Digitek is 0 shares. The 52 week high for Pace Digitek is INR 0.00, while the 52 week low is INR 0.00

About Pace Digitek

A Comprehensive Overview of Price & Journey
Understanding Pace Digitek Inception and Growth
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About Pace Digitek

IPO Details, Price movement

Performance Highlights for FY23-24

  • The Company’s revenue from operation increased to Rs 2511 Crores in FY24 from Rs. 516 Crores in FY23.

  • The Total Expense (excluding finance cost and depreciation cost) decreased from Rs 205 Crores in FY23 to Rs 160 Crores in FY24.

  • The Profit Before tax was Rs 20.8 Crores in FY23 and reached to Rs 320 Crores in FY24.

  • The Profit After tax was Rs 15 Crores in FY23 and reached Rs 243 Crores in FY24.

  • There is a cash inflow of Rs 371 Crores from Operating Activities.

  • The company received cash of Rs 13.8 Crores from Investing activity. 

  • The company received Rs 18 crores from Financing activity.

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Fundamentals

Market Cap (in cr.)
₹ 0
P/E Ratio
0.00
P/B Ratio
0.00
Debt to Equity
0.09
ROE (%)
429.88
Book Value
31.66
Face Value
2.00
Total Shares
178442280
Category
Unlisted Shares
Unlisted CMP
₹ 0 / Share
Lot Size
0 Shares
52 Week High
₹0.00
52 Week Low
₹0.00
Depository
NSDL & CDSL
PAN Number
AAECP2697K
ISIN Number
INE0S3G01027
CIN
U31909KA2007PTC041949
Sector
Financials

Financials

P&L Statement 2021 2022 2023 2024
Revenue - - 516.26 2511.43
Other Income - - 7.06 21.29
COGS - - 277.42 1930.07
Gross Profit - - 245.90 602.65
Total Expense - - 205.07 160.13
EBIDTA - - 40.83 442.53
D&A - - 7.43 6.53
EBIT - - 33.40 436.00
Interest Expense - - 12.62 115.56
PBT - - 20.78 320.44
TAX - - 5.84 77.55
PAT - - 14.94 242.89
Diluted EPS - - 25.75 455.50
Basic EPS - - 25.75 455.50
Total income 0.00 0.00 523.32 2,532.72
ASSETS
CURRENT ASSETS 2021 2022 2023 2024
Cash and Cash Equivalents - - 130.11 532.86
Trade Payables - - 368.20 1153.33
Inventory - - 62.70 202.24
Other Current Assets - - 90.56 197.55
Total Current Assets 0.00 0.00 651.57 2,085.98

NON CURRENT ASSETS 2021 2022 2023 2024
Plant Property and Equipment - - 132.87 131.42
Long Term Investment - - 0.05 -
Other Non Current Assets - - 67.10 52.36
TOTOAL NON CURRENT ASSSETS 0.00 0.00 200.02 183.78

Total Assets 0.00 0.00 851.59 2,269.76

CURRENT LIABILITES 2021 2022 2023 2024
TRADW Payable - - 173.19 934.39
Other Current Liab - - 221.97 579.07
Total Current Liab 0.00 0.00 395.16 1,513.46

NON CURRENTLIABILITIES 2021 2022 2023 2024
Long Term Debt - - 37.77 55.48
Deffered Tax Liab - - - -
Other Non Current Liab - - 71.86 111.14

LIABILITIES
EQUITY 2021 2022 2023 2024
Share Capital - - 5.00 5.00
Reserves And Surplus - - 322.77 550.50
Other Equity - - 19.03 34.17
Retained Earnings - - - -
share Equity 0.00 0.00 346.80 589.67

Total Liabilities 0.00 0.00 456.43 756.29

CASH FLOW STAT 2021 2022 2023 2024
Cash Flow from operating - - 34.13 371.25
Cash Flow from financing - - -23.24 17.70
Cash Flow from investing - - 1.00 13.80
Net cash flow 0.00 0.00 11.89 402.75

Revenue Growth
PAT Growth %
EPS Growth %
TOTAL ASSETS Growth %
QUICK RATIO Growth %
LONG TERM DEBT TO EQUITY RATIO Growth %
Shareholding Pattern
2025
Name Designation Share %
Promoters NA 66.68%
Others NA 33.32%
Events
Name Date Details
No events available.
Promoters or Management
Name Designation Linkedin Profile
No promoters available.

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