Financial Calculators
Type your own numbers, or auto-populate from any company's real filed figures (with a Source Trace citation) and adjust from there. Everything computes from the numbers shown — nothing here is advice or a projection.
Compound Interest
A = P × (1 + (r/100)/n)^(n·t)
Savings terms aren't in company filings, so this calculator is manual only.
Break-Even
Units = Fixed Costs ÷ (Price − Variable cost)
Per-unit economics aren't disclosed in financial filings, so this calculator is manual only.
Profit Margin
Net margin = Net Income ÷ Revenue × 100
EBITDA
EBITDA = Net Profit + Interest + Taxes + Depreciation & Amortisation
CAGR
CAGR = (End ÷ Begin)^(1/years) − 1
XIRR
Σ amount ÷ (1+r)^((date − first date)/365) = 0, solved for r
This uses figures you enter — for your actual portfolio's XIRR based on your real buy/sell transactions, see My Portfolio → Risk & Beta.
Leave a row blank (either field) to ignore it — it isn't counted as a ₹0 cash flow.
IRR
Σ amountt ÷ (1+r)^t = 0, solved for r
A blank row between two filled-in years counts as ₹0 for that year; blank rows at the end are ignored.
ROI
ROI = (Final value − Cost) ÷ Cost × 100
Straightforward arithmetic — cost and final value only, no filed-figure lookup applies here.