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20-F

Annual Report (Foreign)

TDCX Inc.

0001193125-22-110129

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Filed
Apr 20, 2022 12:00 AM ET
Period of report

On SEC.gov

Financials in this filing

Metric Period Value
Operating Cash Flow FY 2021 · Dec 31, 2021 $76.81M
Operating Cash Flow FY 2021 · Dec 31, 2019 76.04M
Cash And Equivalents FY 2021 · Dec 31, 2021 313.15M
Cash And Equivalents FY 2021 · Dec 31, 2020 $44.25M
Cash And Equivalents FY 2021 · Dec 31, 2020 59.81M
Cash And Equivalents FY 2021 · Dec 31, 2018 23.97M
Stockholders Equity FY 2021 · Dec 31, 2021 $343.05M
Stockholders Equity FY 2021 · Dec 31, 2018 42.07M
Current Liabilities FY 2021 · Dec 31, 2021 $63.53M
Current Liabilities FY 2021 · Dec 31, 2020 89.74M
Current Assets FY 2021 · Dec 31, 2021 $370.76M
Current Assets FY 2021 · Dec 31, 2020 163.55M
Total Assets FY 2021 · Dec 31, 2021 $430.21M
Total Assets FY 2021 · Dec 31, 2020 243.41M
Eps Diluted FY 2021 · Dec 31, 2021 $0.60
Eps Diluted FY 2021 · Dec 31, 2019 0.60
Eps Basic FY 2021 · Dec 31, 2021 $0.60
Eps Basic FY 2021 · Dec 31, 2019 0.60
Net Income FY 2021 · Dec 31, 2021 $76.82M
Net Income FY 2021 · Dec 31, 2019 73.54M
Revenue FY 2021 · Dec 31, 2021 $410.74M
Revenue FY 2021 · Dec 31, 2019 330.27M
Dividends Paid FY 2021 · Dec 31, 2020 73.55M
Shares Diluted FY 2021 · Dec 31, 2019 123.5M sh