温馨提示:本站仅提供公开网络链接索引服务,不存储、不篡改任何第三方内容,所有内容版权归原作者所有
AI智能索引来源:http://www.js.com/ur/financial-highlights
点击访问原文链接

مالیاتی کارکردگی کا خلاصہ | JSCLJSCL

مالیاتی کارکردگی کا خلاصہ | JSCLJSCL Search by Keyword English اردو Main menu Skip to primary content Skip to secondary content ہوم کمپنی کے بارے میں تصور اور مقصد کمپنی کی معلومات ایسوسیئیٹڈ کمپنیاں گورننس ضابطہ اخلاق بورڈ کے ڈائریکٹرز ڈائیریکٹرز کے انتخابات ہمارے کاروبار مجاز کاروباری سرگرمیاں ذیلی کمپنیاں Banking دیگر انویسٹمنٹس سرمایاکار سرمایاکاروں کے لیے معلومات سمبل اور لسٹنگ فری فلوٹ شیئر ہولڈنگ پیٹرن مالیاتی کارکردگی کا خلاصہ مالیاتی گوشوارے Entity & Instrument Ratings اجلاس کے نوٹس اعلانات شیئر ہولڈرس کے لیے معلومات خبریں اور میڈیا سی ایس آر   مالیاتی کارکردگی کا خلاصہ (Based on Standalone Financial Statements) Rupees in ’000 Mar 31, 2018 2017 2016 2015 2014 2013 2012 Operating Results Total revenue 268,735 1,532,838 9,46,225 4,064,879 531,083 636,214 3,489,687 Operating and administrative expenses 60,258  232,106 265,291 241,790 123,551 112,357 623,195 Finance Cost  78,549 222,357 144,682 165,065 165,239 183,359 519,427 Provision for Workers Welfare Fund  5,094 13,607 17,750 64,376 4,645 60,191 – (Reversal of) / Provision for impairment – net  (124,769) 398,012 (351,238) 439,226 10,034 63,162 (12,889) Profit/(loss) before tax and impairment losses  124,834 1,064,768 518,502 3,593,648 237,648 280,307 2,347,065 Profit/(loss) before tax from continuing operations  249,603 666,756 869,740 3,154,422 227,614 217,145 2,359,954 Profit/(loss) after tax from continuing operations  242,973 365,554 622,041 2,830,974 188,377 180,831 2,362,563 Financial Position Share Capital  9,159,424 9,159,424 9,159,424 9,159,424 7,632,853 7,632,853 7,632,853 – Ordinary Shares  9,159,424 9,159,424 9,159,424 9,159,424 7,632,853 7,632,853 7,632,853 – Preference Shares – – – – – – – Reserves  19,714,831 18,360,984 20,895,106 16,142,424 13,831,048 6,136,099 5,989,508 Outstanding Ordinary Shares (in ’000′)  915,942 915,942 915,942 915,942 763,285 763,285 763,285 Outstanding Preference Shares (in ’000′) – – – – – – – Liabilities Financing  4,930,337 3,508,603 1,945,264 1,387,421 1,215,882 1,029,250 2,607,104 Current Liabilities (Excluding Current portion of financing)  411,472 363,253 401,426 332,450 240,786 170,166 189,305 Assets Property and Equipment  6,175 6,284 5,346 7,520 6,656 7,345 8,756 Investments  31,551,020 29,721,331 31,500,821 24,609,371 22,399,936 12,638,960 13,298,260 Other non-current assets  5,434 5,535 3,823 4,542 5,447 407,793 18,294 Current Assets  6,235,750 4,714,043 5,233,188 4,684,381 587,851 2,783,813 4,939,824 Cash Flows Net Cash flows from operating activities  (564,394) (853,940) (1,821,657) 175,086 (1,587,259) 141,634 (391,710) Net Cash flows from investing activities  (428) (1,593) (453) (2,655) 1,452 355,161 1,921,884 Net Cash flows from financing activities  1,417,683 1,552,833 551,634 1,692,946 179,274 (1,584,034 (238,364) Changes in cash and cash equivalents  852,861 697,300 (1,270,476) 1,865,377 (1,406,533) (1,087,239) 1,291,810 Cash and cash equivalents – year/period end  2,280,343 1,427,482 730,182 2,000,658 135,281 1,541,814 2,629,053 Financial Information as of December 31, 2017

Basic and Diluted Earnings per share (Rupee) 0.40
P/E ratio 58.16x
Break-up Value per share (Rupees) 30.05

Aboutتصور اور مقصد کمپنی کی معلومات Governanceضابطہ اخلاق بورڈ کے ڈائریکٹرز Our BusinessesInvestorsNews & Media JS GROUP © 2026. ALL RIGHTS RESERVED.
Site Last Updated on 2026-01-14 For investor queries and Complaint handling:
Company Secretary, Jahangir Siddiqui & Co. Ltd
UAN: (+92-21) 111 574 111
Fax: (+92-21) 35632575
Email: shareholder@js.com Designed & Developed By: inspurate English اردو

智能索引记录