Share the post "SPV GLOBAL TRADING LIMITED Shareholding Update: An Examination of Financial Performance for FY (Q4-Mar 2023-2024)"
Shareholder Name | Previous Quater Quantity(In Crores) | Current Quater Quantity(In Crores) | Previous Quater Shares(in %) | Current Quater Shares(in %) | Quater to Quater Difference |
---|---|---|---|---|---|
Promoters | 0.13 | 0.13 | 67.28 | 67.28 | 0 |
Public | 0.06 | 0.06 | 32.72 | 32.72 | 0 |
DII | 0 | 0 | 0 | 0 | 0 |
FII | 0 | 0 | 0 | 0 | 0 |
Government | 0.00 | 0.00 | 0 | 0 | 0 |
Let’s delve deeper into the statistics of the investors, which could have contributed to the fluctuations in the shareholding pattern.
Shareholder Name | Previous Quarter Quantity (In Crores) | Current Quarter Quantity (In Crores) | Previous Quater Shares (in %) | Current Quater Shares (in %) | Quater-to-Quater Difference (%) |
---|---|---|---|---|---|
SUNIL KUMAR AGARWAL HUF . | 0 | 0.012 | 0 | 5.97 | +5.97% |
SUNIL KUMAR AGARWAL HUF | 0.012 | 0 | 5.97 | 0 | -5.97% |
Sunil Kumar Agarwal, these shareholders are the Anchor investors of current and previous quarter.
12
3-Year Profit
45
5-Year Profit
0
10-Year Profit
13.8
Current Price
2.70
Market Cap
In analyzing the financial results for the company marked by BSE code 512221, a clear trend emerges. Over a five-year span, the company reported a profit of 45 percents, which increased to 12 percents in the most recent three-year period, suggesting a strong performance in the early stages of this timeframe. However, this success has been overshadowed by a trailing twelve-month (TTM) loss of -57 percents, signaling significant recent challenges. Compounding this issue is the fact that the company has not reported any sales during any of the timeframes analyzed, raising important questions about its operational model and the sustainability of its current strategies. Investors have been equally wary, as reflected in the stock price performance. The company’s stock traded at 0 percents over the past five years but has recently decreased to 0 percents, indicating a loss of market confidence. Over the last decade, the stock price was at 0 percents, pointing to longer-term concerns that could affect the company's future prospects.
The company has a market capitalization of ₹2.70 crore and is currently trading at ₹13.8 per share. Historically, the stock has fluctuated within a range of ₹ / , reflecting both the opportunities and risks that investors perceive in the company. The P/E ratio, at 0.26, is relatively high, suggesting that the market has priced in substantial future growth or is willing to pay a premium for the company’s current earnings. The book value per share stands at ₹810, which reflects the net asset value of the company divided by the number of outstanding shares. The dividend yield is 0.00%, providing shareholders with a consistent return on their investment. ROCE is 6.69%, indicating how well the company is using its capital to generate profits, while ROE at 3.26% highlights the returns generated from shareholders' equity. The debt-to-equity ratio is 0.36, signaling low financial leverage, which is typically seen as a positive indicator of financial health. However, the company’s negative net cash flow of ₹-2.02 crore might raise concerns about its cash generation capabilities or capital expenditures. With a Piotroski score of 7.00, the company's financial stability is evaluated on several factors. Finally, the Graham Number, at ₹984, provides an estimate of the stock’s intrinsic value, while the Price-to-Book (P/B) ratio of 0.02 highlights that the stock is trading at a premium to its book value, potentially reflecting positive market sentiment or overvaluation risks.