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Condensed Consolidated Statements of Operations (Unaudited) - USD ($)
3 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Income Statement [Abstract]    
Revenue $ 8,931,517 $ 5,610,910
Costs and expenses:    
Cost of services 5,427,440 2,297,809
Research and development 1,789,542 573,300
Sales and marketing 5,802,298 3,659,341
General and administrative 25,826,188 2,601,983
Depreciation and amortization 480,349 367,538
Total costs and expenses 39,325,817 9,499,971
Loss from operations (30,394,300) (3,889,061)
Interest income/(expense) (821,686) (217,954)
Fair value gains/(losses) in financial instruments carried at fair value (17,152,060)  
Other income/(expense) net 22,352 62,430
Total other income/(expense) (17,951,394) (155,524)
(Loss)/Income before income tax expense (48,345,694) (4,044,585)
Total provision for income taxes 106,650 22,411
Income tax expense 12,933  
Deferred tax expense 93,717 469
Net (loss)/income before non-controlling interest (48,452,344) (4,066,996)
Net loss attributable to non-controlling interest, net of tax (45,319) (27,752)
Net (loss)/income attributable to Roadzen Inc. (48,407,025) (4,039,244)
Net (loss)/income attributable to Roadzen Inc. ordinary shareholders    
Net (loss)/income attributable to Roadzen Inc. ordinary shareholders $ (48,407,025) $ (4,039,244)
Basic net income (loss) per share $ (0.71) $ (6.73)
Diluted net income (loss) per share $ (0.71) $ (6.73)
Weighted-average number of shares outstanding used to compute net loss per share attributable to Roadzen Inc. ordinary shareholders    
Weighted average shares outstanding, Basic 68,440,829 606,425
Weighted average shares outstanding, Diluted 68,440,829 606,425