Consolidated Statements of Cash Flows - 3 Months Ended

Mar. 31, 2025

Mar. 31, 2024

Cash flows from operating activities:

Net Loss

Mar. 31, 2025

₹ (8,973)

Mar. 31, 2024

₹ (8,973)

Adjustments to reconcile net loss to net cash used in operating activities:

Depreciation

Mar. 31, 2025

₹ (8,973)

Mar. 31, 2024

₹ (8,973)

Amortization of debt issuance cost

Mar. 31, 2025

₹ (8,973)

Mar. 31, 2024

₹ (8,973)

Changes in operating assets and liabilities, net of impact of acquisitions:

Amortization of debt issuance cost

Mar. 31, 2025

9,905

Mar. 31, 2024

5,945

Depreciation

Mar. 31, 2025

₹ (8,973)

Mar. 31, 2024

₹ (8,973)