Financial Ratios

SPL POLYMERS LTD.

NSE : NABSE : 524364ISIN CODE : INE615D01011Industry : PetrochemicalsHouse : Taparia
BSE3.100 (0 %)
PREV CLOSE ( ) 3.10
OPEN PRICE ( ) 3.10
BID PRICE (QTY) 3.13 (100)
OFFER PRICE (QTY) 0.00 (0)
VOLUME 1000
TODAY'S LOW / HIGH ( )3.10 3.10
52 WK LOW / HIGH ( ) 00
NSE
This Company is not listed in NSE
Select year
ParticularsJun2007Jun2006Jun2005Jun2004Jun2003
Operational & Financial Ratios
   Earnings Per Share (Rs)-1.140.13-1.31-2.15-0.49
   CEPS(Rs)-0.450.80-0.63-1.470.20
   DPS(Rs)0.000.000.000.000.00
   Book NAV/Share(Rs)4.495.595.456.768.89
   Tax Rate(%)-2.0718.34-0.550.000.00
Margin Ratios
   Core EBITDA Margin(%)-1.42-22.82-2.97-5.660.74
   EBIT Margin(%)-2.073.62-6.36-7.992.32
   Pre Tax Margin(%)-3.361.05-9.12-11.25-1.70
   PAT Margin (%)-3.430.86-9.17-11.25-1.70
   Cash Profit Margin (%)-1.375.48-4.42-7.700.70
Performance Ratios
   ROA(%)-6.160.58-4.55-7.05-1.47
   ROE(%)-22.632.27-21.45-27.44-5.33
   ROCE(%)-8.596.49-10.53-13.985.28
   Asset Turnover(x)1.800.680.500.630.86
   Sales/Fixed Asset(x)2.180.850.871.211.95
   Working Capital/Sales(x)12.115.6117.038.457.03
Efficiency Ratios
   Fixed Capital/Sales(x)0.461.171.150.830.51
   Receivable days49.90204.77365.13312.86230.17
   Inventory Days28.8350.1262.4840.2330.66
   Payable days97.9934.2451.8337.9734.57
Valuation Parameters
   PER(x)0.0039.510.000.000.00
   PCE(x)-12.066.16-11.33-2.658.99
   Price/Book(x)1.220.891.310.580.20
   Yield(%)0.000.000.000.000.00
   EV/Net Sales(x)0.270.620.700.350.17
   EV/Core EBITDA(x)-1906.09-2.46-37.46-7.023.22
   EV/EBIT(x)-11.2514.56-9.51-3.916.55
   EV/CE(x)0.330.560.290.210.13
   M Cap / Sales0.190.400.580.230.07
Growth Ratio
   Net Sales Growth(%)131.230.56-26.89-32.45-3.81
   Core EBITDA Growth(%)99.87-1259.4972.81-162.7196.99
   EBIT Growth(%)-230.06158.3740.45-329.373000.40
   PAT Growth(%)-1009.61109.5739.03-341.6523.22
   EPS Growth(%)-1009.61109.5739.03-341.6523.22
Financial Stability Ratios
   Total Debt/Equity(x)0.630.570.390.430.37
   Current Ratio(x)1.222.711.051.141.22
   Quick Ratio(x)0.832.450.851.061.06
   Interest Cover(x)-1.611.41-2.31-2.450.58
   Total Debt/Mcap(x)0.510.640.300.751.80

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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.