Financial Ratios

HCP PLASTENE BULKPACK LTD.

NSE : NABSE : 526717ISIN CODE : INE136C01044Industry : Plastic ProductsHouse : Private
BSE186.00-6.5 (-3.38 %)
PREV CLOSE ( ) 192.50
OPEN PRICE ( ) 191.00
BID PRICE (QTY) 0.00 (0)
OFFER PRICE (QTY) 0.00 (0)
VOLUME 22444
TODAY'S LOW / HIGH ( )182.90 191.00
52 WK LOW / HIGH ( ) 175.1349
NSE
This Company is not listed in NSE
Select year
ParticularsMar2023Mar2022Mar2021Mar2020Mar2019
Operational & Financial Ratios
   Earnings Per Share (Rs)-5.01-3.5962.17-20.36-87.55
   CEPS(Rs)-1.880.9667.17-14.70-81.64
   DPS(Rs)0.000.000.000.000.00
   Book NAV/Share(Rs)41.0222.1125.71-72.78-52.41
   Tax Rate(%)25.0424.69-46.161.580.30
Margin Ratios
   Core EBITDA Margin(%)-1.835.90-23.54-203.29-37.57
   EBIT Margin(%)-7.84-3.21282.30-303.87-40.40
   Pre Tax Margin(%)-14.75-9.90274.26-374.33-47.49
   PAT Margin (%)-11.05-7.46400.86-368.42-47.35
   Cash Profit Margin (%)-4.161.99433.14-265.93-44.15
Performance Ratios
   ROA(%)-9.65-7.10109.44-25.55-63.43
   ROE(%)-16.11-15.030.000.000.00
   ROCE(%)-5.45-2.51100.90-48.54-83.61
   Asset Turnover(x)0.870.950.270.071.34
   Sales/Fixed Asset(x)0.450.470.150.051.75
   Working Capital/Sales(x)-9.65-3.133.91-0.05-1.88
Efficiency Ratios
   Fixed Capital/Sales(x)2.212.156.7019.170.57
   Receivable days41.0735.68263.801524.8895.10
   Inventory Days31.4534.6186.12205.8853.17
   Payable days104.18145.55707.721502.3491.24
Valuation Parameters
   PER(x)0.000.000.150.000.00
   PCE(x)-100.99604.930.14-0.36-0.62
   Price/Book(x)4.6426.230.35-0.07-0.97
   Yield(%)0.000.000.000.000.00
   EV/Net Sales(x)4.8712.822.9717.980.79
   EV/Core EBITDA(x)-361.73205.53-13.48-8.92-2.13
   EV/EBIT(x)-62.06-399.321.05-5.92-1.96
   EV/CE(x)4.2111.510.971.501.58
   M Cap / Sales4.2012.030.590.970.27
Growth Ratio
   Net Sales Growth(%)-1.89210.79182.44-97.01-29.58
   Core EBITDA Growth(%)-121.17188.0669.1883.80-380.17
   EBIT Growth(%)-139.73-103.53362.3977.52-510.66
   PAT Growth(%)-45.48-105.78407.3076.74-1354.76
   EPS Growth(%)-39.47-105.78405.2876.74-1194.32
Financial Stability Ratios
   Total Debt/Equity(x)0.771.721.44-1.33-1.86
   Current Ratio(x)0.720.421.500.180.32
   Quick Ratio(x)0.410.310.680.180.28
   Interest Cover(x)-1.14-0.4835.12-4.31-5.70
   Total Debt/Mcap(x)0.170.064.0818.111.93

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RISK DISCLOSURES ON DERIVATIVES

  • 9 out of 10 individual traders in equity Futures and Options Segment, incurred net losses.
  • On an average, loss makers registered net trading loss close to ₹ 50,000.
  • Over and above the net trading losses incurred, loss makers expended an additional 28% of net trading losses as transaction costs.
  • Those making net trading profits, incurred between 15% to 50% of such profits as transaction cost.

Source:

1. SEBI study dated January 25, 2023 on “Analysis of Profit and Loss of Individual Traders dealing in equity Futures and Options (F&O) Segment”, wherein Aggregate Level findings are based on annual Profit/Loss incurred by individual traders in equity F&O during FY 2021-22.