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20-F

Annual Report (Foreign)

TDCX Inc.

0001193125-23-116500

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Filed
Apr 26, 2023 12:00 AM ET
Period of report
Restated figures. One or more values in this filing restate previously reported amounts.

On SEC.gov

Financials in this filing

Metric Period Value
Operating Cash Flow FY 2022 · Dec 31, 2022 $122.38M
Operating Cash Flow FY 2022 · Dec 31, 2020 130.48M
Stockholders Equity FY 2022 · Dec 31, 2022 $417.86M
Stockholders Equity FY 2022 · Dec 31, 2019 99.45M
Current Liabilities FY 2022 · Dec 31, 2022 $66.48M
Current Liabilities FY 2022 · Dec 31, 2021 85.87M
Current Assets FY 2022 · Dec 31, 2022 $438.26M
Current Assets FY 2022 · Dec 31, 2021 501.15M
Total Assets FY 2022 · Dec 31, 2022 $504.09M
Total Assets FY 2022 · Dec 31, 2021 581.51M
Eps Diluted FY 2022 · Dec 31, 2022 $0.54
Eps Diluted FY 2022 · Dec 31, 2020 0.70
Eps Basic FY 2022 · Dec 31, 2022 $0.54
Eps Basic FY 2022 · Dec 31, 2020 0.70
Net Income FY 2022 · Dec 31, 2022 $78.04M
Net Income FY 2022 · Dec 31, 2020 86.09M
Revenue FY 2022 · Dec 31, 2022 $493.92M
Revenue FY 2022 · Dec 31, 2020 434.72M
Cash And Equivalents restated FY 2022 · Dec 31, 2021 $232.89M
Cash And Equivalents FY 2022 · Dec 31, 2019 35.92M
Shares Diluted FY 2022 · Dec 31, 2020 123.5M sh