ABBOTINDIA 28330.00 -712.45(-2.45%)
ADANIGREEN 1798.55 -10.00(-0.55%)
ADANIPORTS 1410.70 -14.25(-1.00%)
AMBUJACEM 609.05 -8.35(-1.35%)
APOLLOHOSP 6799.00 -103.80(-1.50%)
ASHOKLEY 235.15 -3.00(-1.26%)
ASIANPAINT 3062.80 -87.40(-2.77%)
ASTRAL 1901.75 -17.55(-0.91%)
AUBANK 732.35 -0.70(-0.10%)
AUROPHARMA 1471.30 +13.50(0.93%)
AXISBANK 1177.80 +2.35(0.20%)
BAJAJ-AUTO 11765.80 -43.05(-0.36%)
BAJAJFINSV 1874.40 -38.80(-2.03%)
BAJAJHLDNG 10610.35 +3.85(0.04%)
BAJFINANCE 7183.00 -250.30(-3.37%)
BANDHANBNK 189.05 -6.35(-3.25%)
BANKBARODA 250.85 +5.80(2.37%)
BERGEPAINT 584.85 -12.20(-2.04%)
BHARATFORG 1470.20 -19.70(-1.32%)
BHARTIARTL 1636.00 -39.80(-2.37%)
BOSCHLTD 36690.55 -390.10(-1.05%)
BPCL 343.00 -6.15(-1.76%)
BRITANNIA 6309.85 -24.10(-0.38%)
CHOLAFIN 1492.45 -24.35(-1.61%)
CIPLA 1633.95 -22.05(-1.33%)
COALINDIA 498.65 -3.80(-0.76%)
COFORGE 7076.15 -49.25(-0.69%)
COLPAL 3732.50 -106.85(-2.78%)
CONCOR 886.00 -3.55(-0.40%)
CUMMINSIND 3615.50 -66.45(-1.80%)
DABUR 580.60 -38.30(-6.19%)
DIVISLAB 5450.10 +21.40(0.39%)
DMART 4703.85 -236.35(-4.78%)
DRREDDY 6624.50 -110.20(-1.64%)
DLF 844.45 -20.25(-2.34%)
EICHERMOT 4710.05 -76.95(-1.61%)
FEDERALBNK 193.50 -0.10(-0.05%)
GAIL 230.75 -9.35(-3.89%)
GODREJCP 1345.50 -2.85(-0.21%)
GODREJPROP 3258.00 +98.40(3.11%)
GRASIM 2763.40 -1.45(-0.05%)
HAVELLS 1934.95 -39.10(-1.98%)
HDFCAMC 4269.60 +46.50(1.10%)
HDFCBANK 1658.80 -23.35(-1.39%)
HDFCLIFE 706.65 +4.60(0.66%)
HEROMOTOCO 5639.05 -110.50(-1.92%)
HCLTECH 1772.85 -3.55(-0.20%)
HINDALCO 761.50 +5.55(0.73%)
HINDPETRO 408.00 -7.45(-1.79%)
HINDUNILVR 2844.00 -51.30(-1.77%)
ICICIBANK 1239.65 -16.75(-1.33%)
ICICIGI 2152.85 +20.10(0.94%)
ICICIPRULI 754.55 -2.15(-0.28%)
IDEA 9.77 -0.10(-1.01%)
IDFCFIRSTB 71.88 -0.14(-0.19%)
INDHOTEL 673.60 -7.60(-1.12%)
INDUSINDBK 1390.30 +3.00(0.22%)
INFY 1922.35 +29.25(1.55%)
ITC 504.85 -8.15(-1.59%)
JSWSTEEL 1034.15 -5.65(-0.54%)
JUBLFOOD 626.00 -9.25(-1.46%)
KOTAKBANK 1800.65 -21.25(-1.17%)
LT 3486.70 -12.10(-0.35%)
LTTS 5101.20 -243.85(-4.56%)
LUPIN 2200.80 +17.30(0.79%)
M&M 3020.15 -109.05(-3.48%)
MARICO 695.00 -1.35(-0.19%)
MARUTI 12591.05 -62.40(-0.49%)
MPHASIS 2844.50 -75.90(-2.60%)
MRF 135669.70 -467.90(-0.34%)
MUTHOOTFIN 2039.40 -19.40(-0.94%)
NAUKRI 8233.15 +105.85(1.30%)
NESTLEIND 2621.50 -54.10(-2.02%)
NMDC 238.85 -0.60(-0.25%)
NTPC 429.20 -6.20(-1.42%)
ONGC 295.45 +3.35(1.15%)
PAGEIND 41628.95 -1049.65(-2.46%)
PEL 1066.80 -37.30(-3.38%)
PERSISTENT 5230.00 -16.00(-0.30%)
PGHH 16711.70 +60.40(0.36%)
PIDILITIND 3293.30 -46.70(-1.40%)
PIIND 4580.45 -80.90(-1.74%)
PNB 105.20 +0.05(0.05%)
PNBHOUSING 953.00 +13.00(1.38%)
POLYCAB 7193.00 -147.35(-2.01%)
POWERGRID 338.80 -5.40(-1.57%)
RELIANCE 2780.65 -34.60(-1.23%)
SBICARD 741.15 -8.10(-1.08%)
SBILIFE 1834.55 -8.75(-0.47%)
SBIN 795.65 +1.30(0.16%)
SHREECEM 25943.30 -338.15(-1.29%)
SIEMENS 7480.95 -37.65(-0.50%)
SRF 2423.60 -59.05(-2.38%)
SUNPHARMA 1910.85 -2.75(-0.14%)
TATACONSUM 1129.00 -23.05(-2.00%)
TATACHEM 1126.40 -7.00(-0.62%)
TATAMOTORS 931.50 +5.50(0.59%)
TATAPOWER 465.45 -6.25(-1.32%)
TATASTEEL 166.55 -0.40(-0.24%)
TCS 4228.60 -3.80(-0.09%)
TECHM 1620.95 +17.80(1.11%)
TITAN 3650.35 -26.70(-0.73%)
TORNTPHARM 3373.60 +3.60(0.11%)
TTML 81.34 -3.72(-4.37%)
ULTRACEMCO 11562.10 -160.45(-1.37%)
UBL 2148.85 -11.60(-0.54%)
UPL 606.15 -14.65(-2.36%)
VEDL 509.20 -2.60(-0.51%)
VOLTAS 1843.60 -2.90(-0.16%)
WIPRO 533.40 +3.50(0.66%)
YESBANK 21.95 +0.07(0.32%)
ZEEL 135.50 -0.35(-0.26%)
ZYDUSLIFE 1066.60 -14.00(-1.30%)

: 1970 Financial Quarterly Report

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Highlights

  • Sales over the Year and quarter:
  • Income over the Year and quarter:
  • Profit over the Year and quarter:
  • EPS over the Year and quarter:

The comprehensive analytics outlining the performance and outlook of “s stock. This analysis encompasses various metrics including stock performance, investor sentiment, market trends, future outlook, risk factors, investment opportunities, long-term strategy, dividend policy, analyst insights, and the overall risk-reward profile. These insights aim to provide investors with a holistic understanding of the company”s stock, enabling informed decision-making and strategic investment planning.

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Today, we’re looking at ‘s financial performance for the (Jan 1970).

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In reviewing ‘s 1970() financial snapshot, key trends emerge, shedding light on the company’s performance.

-34

3-Year Profit

23

5-Year Profit

-7

10-Year Profit

9.55

Current Price

0.38

Market Cap



The financial outlook for the company under BSE code 503639 reveals a significant five-year profit of 23 percents. This marks a notable increase to -34 percents over the last three years, indicating a strong upward trend in the company's financial health during this period. However, it's important to note that recent challenges have impacted the company's performance, leading to a trailing twelve-month loss of 222 percents. This sharp decline in profitability is particularly concerning, as the company has also reported no sales across any analyzed timeframe, suggesting a highly unconventional and perhaps risky operational approach. The company's stock prices mirror this financial volatility, with the stock trading at 0 percents over the past five years but experiencing a dramatic drop to 0 percents within the last year. Over a decade, the stock price was at 0 percents, reflecting long-term concerns regarding the company's stability and future outlook. Such performance poses questions about the sustainability of the business and whether it can rebound from these recent setbacks.

The company has a market capitalization of ₹0.38 crore and is currently trading at a stock price of ₹9.55. Over time, the stock has fluctuated between the historical highs and lows of ₹ / , reflecting the market's volatility. With a Price-to-Earnings (P/E) ratio of 6.33, the stock appears highly valued, indicating that investors are willing to pay a premium for its earnings potential. The company's book value per share stands at ₹29.5, showcasing the underlying asset value. Additionally, the dividend yield is 0.00%, suggesting that the company offers shareholders a moderate return on their investment in the form of dividends. The Return on Capital Employed (ROCE) is 6.96%, indicating the efficiency with which the company generates profit from its capital. Meanwhile, the Return on Equity (ROE) is 5.22%, highlighting the profitability relative to shareholder equity. Despite these figures, the company maintains a very low debt-to-equity ratio of 0.00, signaling minimal leverage. It also reports a net cash flow of ₹1.47 crore, reflecting the company's ability to generate cash. The Piotroski score is 7.00, a measure of the company's financial strength, while the Graham Number estimates the intrinsic value of the stock at ₹31.6. The Price-to-Book (P/B) ratio of 0.32 further suggests that the stock is trading at a premium relative to its book value, potentially reflecting positive market sentiment or expectations of future growth.

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