At 15:53:13 IST/May 23 on NSE Nifty:

7.90INR   -0.15   -1.86%

Basics

All figures in Rs. crore(s)
AttributeTrends

Per share ratios

Adjusted EPS (Rs)-0.56-0.70-0.02-1.36-1.39
Adjusted cash EPS (Rs)0.440.421.700.700.77
Reported EPS (Rs)-0.69-0.800.03-0.02-1.45
Reported cash EPS (Rs)0.300.311.762.040.71
Dividend per share-----
Operating profit per share (Rs)1.080.901.402.363.53
Book value (excl rev res) per share (Rs)9.5711.4614.8918.5117.10
Book value (incl rev res) per share (Rs.)9.5711.4614.8918.5117.10
Net operating income per share (Rs)1.501.702.713.635.12
Free reserves per share (Rs)-1.041.144.358.066.60

Profitability ratios

Operating margin (%)71.7553.6251.8164.8868.83
Gross profit margin (%)4.88-12.51-12.107.8926.49
Net profit margin (%)-39.98-35.661.03-0.68-26.26
Adjusted cash margin (%)25.4418.8750.6517.9914.07
Adjusted return on net worth (%)-5.86-6.11-0.18-7.35-8.12
Reported return on net worth (%)-7.26-7.060.23-0.14-8.50
Return on long term funds (%)1.000.780.560.913.00

Leverage ratios

Long term debt / Equity2.252.942.882.512.45
Total debt/equity2.252.942.922.523.08
Owners fund as % of total source30.7425.3725.5128.3824.52
Fixed assets turnover ratio0.100.090.090.090.11

Liquidity ratios

Current ratio0.615.444.921.850.77
Current ratio (inc. st loans)0.615.444.421.780.36
Quick ratio0.605.444.921.840.77
Inventory turnover ratio---88.28447.93

Payout ratios

Dividend payout ratio (net profit)-----
Dividend payout ratio (cash profit)-----
Earning retention ratio--100.00--
Cash earnings retention ratio100.00100.00100.00100.00100.00

Coverage ratios

Adjusted cash flow time total debt48.7278.6325.5465.7867.52
Financial charges coverage ratio4.102.871.641.361.25
Fin. charges cov.ratio (post tax)1.961.622.402.041.23

Component ratios

Material cost component (% earnings)---0.040.06
Selling cost Component0.160.480.310.550.10
Exports as percent of total sales25.359.2318.422.76-
Import comp. in raw mat. consumed-----
Long term assets / total Assets0.910.550.610.880.90
Bonus component in equity capital (%)-----