Arohan Annual Report FY 20-21

SOLVENCY & LIQUIDITY Net Worth INR 959Cr Funds drawn INR 5,136 Cr Number of Lender Relationships Over 40 Lenders KEY FINANCIAL RATIOS Cost of Borrowing 10.64% Operational Expenditure 5.46% Capital Adequacy Ratio 24.27% Pre-Provision Operating PBT Margin (% of reveue) 28.22% Company Overview 17

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