Arohan Financial Services Limited | Annual Report 2022-23

Key Perf ormanc e Ind i ca t ors Solvency & Liquidity 28.74% INR 1,338 Cr INR 935 Cr INR 4,195 Cr Networth: Capital Adequacy Ratio: Efficiency Ratios A- (Stable Outlook) 7.25% 9% Credit Rating: OPEX: Fee income (as a % age of Total Income): Cash and Cash Equivalent: Funds Drawn: ArohanPrivilege Digital Lending 6,435 INR 31 Cr Number of Customers: Portfolio:

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