Procter & Gamble Hygiene and Health Care Limited (NSE:PGHH) Annual Report 2025



The latest annual report of Procter & Gamble Hygiene and Health Care Limited (PGHH) was published on 30 Jun 2025. An annual report is a document that public corporations must provide annually to shareholders that describes their operations and financial conditions. Typically, an annual report will contain sections such as General corporate information, Operating and Financial highlights, Letter to shareholders from the CEO, Financial statements etc.

Key Statistics - PGHH Annual Results

Amounts in INR

Total Revenue
₹43.11B
Gross Profit
₹27.32B
EBIT
₹13.49B
Net Tangible Assets
₹9.31B
Net Income
₹8.29B
Capital Expenditures
-

PGHH Income Statement 2025 Annual Report

As per the latest Income Statement of PGHH, the Net revenue increased by ₹1.06B (3%) compared to the previous period. The operating income in 2025 increased by - (-). The net income as per the annual report was ₹8.29B which increased by ₹1.54B (23%) compared to previous year.

Income Statement Report (2025/2024)

2025 2024
Total Revenue ₹43.11B ₹42.06B
Gross Profit ₹27.32B ₹27.32B
Operating Income - -
Income Before Tax - -
Net Income ₹8.29B ₹6.75B

Balance Sheet - PGHH 2025 Annual Report

Read further: PGHH Balance Sheet Detailed Analysis

The latest balance sheet from annual result of Procter & Gamble Hygiene and Health Care Limited showed the company increased the cash on balance sheet by ₹0.00 (0%). The Net tangible assets of PGHH on the balance sheet were at ₹9.31B which is ₹0.00 (0%) more than previous annual report. The total stockholder equity also increased by - (-) compared to previous reporting period.

Balance Sheet Statement Report (2025/2024)

2025 2024
Cash ₹7.93B ₹7.93B
Total Assets - -
Long Term Debt - -
Total Liabilities ₹20.60M ₹20.60M
Total Shareholder Equity - -
Net Tangible Assets ₹9.31B ₹9.31B

Cash Flow Statement - PGHH 2025 Annual Report

The 2025 annual cash flow statement of Procter & Gamble Hygiene and Health Care Limited showed that the net income increased by ₹1.54B (23%) compared to previous reporting period. Also the capital expenditure of PGHH increased by - (-).

As of 2025, the total cash from investing activities was - and total cash from financing activities was -.

Cash Flow Statement Report (2025/2024)

2025 2024
Net Income ₹8.29B ₹6.75B
Capital Expenditures - -
Dividends Paid - -
Total Cash From From Investing Activities - -
Total Cash From From Financing Activities - -

Procter & Gamble Hygiene and Health Care Limited Annual Report History

Income Statement

Income Statement history of Procter & Gamble Hygiene and Health Care Limited (NSE:PGHH)

30 Jun 2025 30 Jun 2024 30 Jun 2023 30 Jun 2022
Total Revenue ₹43.11B ₹42.06B ₹39.18B ₹39.25B
Cost Of Revenue ₹0.00 ₹0.00 ₹0.00 ₹0.00
Gross Profit ₹0.00 ₹0.00 ₹0.00 ₹0.00
Research Development - - - -
Selling General Administrative - - - -
Non Recurring - - - -
Other Operating Expenses - - - -
Total Operating Expenses ₹0.00 ₹0.00 ₹0.00 ₹0.00
Operating Income - - - -
Total Other Income Expense Net - - - -
Ebit ₹0.00 ₹0.00 ₹0.00 ₹0.00
Interest Expense - - - -
Income Before Tax - - - -
Income Tax Expense ₹0.00 ₹0.00 ₹0.00 ₹0.00
Minority Interest - - - -
Net Income From Continuing Ops - - - -
Discontinued Operations - - - -
Extraordinary Items - - - -
Effect Of Accounting Charges - - - -
Other Items - - - -
Net Income ₹8.29B ₹6.75B ₹6.78B ₹5.76B
Net Income Applicable To Common Shares - - - -

Balance Sheet Statement

Balance Sheet Statement history of Procter & Gamble Hygiene and Health Care Limited (NSE:PGHH)

30 Jun 2025 30 Jun 2024 30 Jun 2023 30 Jun 2022
Cash ₹7.93B ₹7.93B - -
Total Assets - - - -
Total Liab ₹20.60M ₹20.60M - -
Long Term Debt - - - -
Total Stockholder Equity - - - -
Net Tangible Assets ₹9.31B ₹9.31B - -

Cash Flow Statement

Cash Flow Statement history of Procter & Gamble Hygiene and Health Care Limited (NSE:PGHH)

30 Jun 2025 30 Jun 2024 30 Jun 2023 30 Jun 2022
Net Income ₹8.29B ₹6.75B - -
Capital Expenditures - - - -
Dividends Paid - - - -
Total Cashflows From Investing Activities - - - -
Total Cash From Financing Activities - - - -