πŸ“Š Route Mobile Q4 FY25 & FY25 Financial Analysis | Profit From It
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πŸ“Š Route Mobile Q4 FY25 & FY25 Financial Analysis

Created by Piyush Patel_ in Company Update 8 May 2025
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πŸ“Š Route Mobile Q4 FY25 & FY25 Financial Analysis

1. Introduction

Route Mobile Limited, a global cloud communication platform service provider, has released its Q4 FY25 and FY25 financial results. As a leading player in the CPaaS (Communications Platform as a Service) sector, Route Mobile continues to leverage its global presence and diversified product portfolio. This blog provides a detailed analysis of the latest financial results, focusing on revenue growth, profitability, geographic performance, and future outlook.


2. Key Highlights and Recent Insights

  • Revenue Growth:

    • Q4 FY25 Revenue: β‚Ή1,175.00 crore (↑ 15.5% YoY)

    • FY25 Revenue: β‚Ή4,575.62 crore (↑ 13.7% YoY)

  • Profit Metrics:

    • Q4 FY25 Profit After Tax (PAT): β‚Ή60.28 crore (↓ 36.7% YoY)

    • FY25 PAT: β‚Ή333.93 crore (↓ 14.1% YoY)

    • Adjusted PAT (after exceptional items): β‚Ή352.38 crore for FY25

  • Earnings Per Share (EPS):

    • Q4 FY25 EPS: β‚Ή8.98

    • FY25 EPS: β‚Ή50.69 (↓ 15.5% YoY)

  • Dividend:

    • Final Dividend of β‚Ή2 per share for FY25, making a total of β‚Ή11 per share for the year.


3. Geographic Revenue Share & Growth

Region

Q4 FY25 Revenue (β‚Ή Cr)

FY25 Revenue (β‚Ή Cr)

Growth (YoY)

India

242.76

947.79

↑ 26.9%

Overseas

978.98

4,234.38

↑ 14.6%

Inter-segment

(46.74)

(606.55)

-

Total Revenue

1,175.00

4,575.62

↑ 13.7%


4. Detailed Financial Analysis

Consolidated Income Statement (β‚Ή Crore)

Particulars

Q4 FY25

Q4 FY24

Growth %

FY25

FY24

Growth %

Revenue from Operations

1,175.00

1,017.03

↑ 15.5%

4,575.62

4,023.29

↑ 13.7%

Profit After Tax (PAT)

60.28

95.16

↓ 36.7%

333.93

388.84

↓ 14.1%

Earnings Per Share (EPS)

8.98

14.05

↓ 36.1%

50.69

59.95

↓ 15.5%

Key Financial Ratios

  • PE Ratio: 18.93x (CMP: β‚Ή960)

  • Interest Coverage Ratio (ICR): 10.86x

  • Debt to Equity Ratio: 0.18

  • Current Ratio: 2.11


5. Balance Sheet and Cash Flow Analysis

Particulars

31-Mar-25

31-Mar-24

Total Assets

3,825.72

3,471.94

Total Liabilities

1,361.64

1,301.10

Cash and Cash Equivalents

850.40

542.25

Cash Flow Summary (β‚Ή Crore)

Activity

FY25

FY24

Operating Cash Flow (CFO)

602.48

(97.59)

Investing Cash Flow (CFI)

(260.14)

(2.12)

Financing Cash Flow (CFF)

(33.79)

158.02


6. Near-Term and Short-Term Outlook

  • Revenue Growth: Expansion in global markets with enhanced digital solutions.

  • Margin Management: Focus on operational optimization amid cost pressures.

  • Strategic Focus: Expansion in cloud communication and AI-driven solutions.


7. Disclosure

This analysis is for educational purposes only and should not be considered investment advice. Investors are advised to conduct their own research before making any investment decisions.

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