PATTECH FITWELL TUBE COMPONENTS LTD. Fact Sheet
(PATT)
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Here is the latest financial fact sheet of PATTECH FITWELL TUBE COMPONENTS LTD.. For more details, see the PATTECH FITWELL TUBE COMPONENTS LTD. quarterly results and PATTECH FITWELL TUBE COMPONENTS LTD. share price. For a sector overview, read our auto ancillaries sector report.
PATTECH FITWELL TUBE COMPONENTS LTD. Price History
Price |
Rs |
99.6 |
Mkt Cap |
Rs m |
772 |
Vol |
'000 |
30.0 |
P/E |
X |
|
P/CF |
X |
105.6 |
EPS (TTM) |
Rs |
0.0 |
1 Day |
% |
4.5 |
No. of shares |
m |
7.76 |
1 Week |
% |
0.0 |
1 Month |
% |
0.0 |
1 Year |
% |
- |
52 week H/L |
Rs |
100.4/45.0 |
As on May 2, 2024 (Close)
* Results Consolidated
PATTECH FITWELL TUBE COMPONENTS LTD. Financials
No. of Mths
Year Ending |
12
Mar-23* |
5-Yr Chart
Click to enlarge
|
PATTECH FITWELL TUBE COMPONENTS LTD. EQUITY SHARE DATA |
High
|
Rs | NA |
|
Low
|
Rs | NA |
|
Sales per share (Unadj.)
|
Rs | 22.0 |
|
Earnings per share (Unadj.)
|
Rs | 0.9 |
|
Diluted earnings per share | Rs | 0.6 | |
Cash flow per share (Unadj.)
|
Rs | 1.4 |
|
Dividends per share (Unadj.)
|
Rs | 0 |
|
Adj. dividends per share | Rs | 0.00 | |
Avg Dividend yield
|
% | 0 |
|
Book value per share (Unadj.)
|
Rs | 10.9 |
|
Adj. book value per share | Rs | 7.5 | |
Shares outstanding (eoy)
|
m | 5.36 |
|
Bonus / Rights / Conversions
|
| 0 |
|
Price / Sales ratio
|
x | 0 |
|
Avg P/E ratio
|
x | 0 |
|
P/CF ratio (eoy)
|
x | 0 |
|
Price / Book Value ratio
|
x | 0 |
|
Dividend payout
|
% | 0 |
|
Avg Mkt Cap
|
Rs m | 0 |
|
No. of employees
|
`000 | NA |
|
Total wages/salary
|
Rs m | 3 |
|
Avg. sales/employee
|
Rs Th | 0 |
|
Avg. wages/employee
|
Rs Th | 0 |
|
Avg. net profit/employee
|
Rs Th | 0 |
|
PATTECH FITWELL TUBE COMPONENTS LTD. INCOME DATA |
Net Sales
|
Rs m | 118 |
|
Other income
|
Rs m | 1 |
|
Total revenues
|
Rs m | 119 |
|
Gross profit
|
Rs m | 14 |
|
Depreciation
|
Rs m | 2 |
|
Interest
|
Rs m | 6 |
|
Profit before tax
|
Rs m | 7 |
|
Minority Interest
|
Rs m | 0 |
|
Prior Period Items
|
Rs m | 0 |
|
Extraordinary Inc (Exp)
|
Rs m | 0 |
|
Tax
|
Rs m | 2 |
|
Profit after tax
|
Rs m | 5 |
|
Gross profit margin
|
% | 11.9 |
|
Effective tax rate
|
% | 25.6 |
|
Net profit margin
|
% | 4.1 |
|
PATTECH FITWELL TUBE COMPONENTS LTD. BALANCE SHEET DATA |
Current assets
|
Rs m | 89 |
|
Current liabilities
|
Rs m | 120 |
|
Net working cap to sales
|
% | -26.5 |
|
Current ratio
|
x | 0.7 |
|
Inventory Days
|
Days | 5 |
|
Debtors Days
|
Days | 145,041 |
|
Net fixed assets
|
Rs m | 155 |
|
Share capital
|
Rs m | 54 |
|
"Free" reserves
|
Rs m | 5 |
|
Net worth
|
Rs m | 58 |
|
Long term debt
|
Rs m | 65 |
|
Total assets
|
Rs m | 243 |
|
Interest coverage
|
x | 2.1 |
|
Debt to equity ratio
|
x | 1.1 |
|
Sales to assets ratio
|
x | 0.5 |
|
Return on assets
|
% | 4.3 |
|
Return on equity
|
% | 8.3 |
|
Return on capital
|
% | 9.9 |
|
Exports to sales
|
% | 0 |
|
Imports to sales
|
% | 0 |
|
Exports (fob) |
Rs m | 0 | |
Imports (cif) |
Rs m | 0 | |
Fx inflow |
Rs m | 0 | |
Fx outflow |
Rs m | 0 | |
Net fx |
Rs m | 0 | |
PATTECH FITWELL TUBE COMPONENTS LTD. CASH FLOW |
From Operations |
Rs m | 1 | |
From Investments |
Rs m | -157 | |
From Financial Activity |
Rs m | 160 | |
Net Cashflow |
Rs m | 4 | |
* Results Consolidated
Source: Accord Fintech, Equitymaster
Share Holding
Promoters |
69.1% |
Institution |
0.0% |
Non-Institution |
30.9% |
Total |
100.0% |
Free Float |
30.9% |
Pledged promoter holdings |
0.0% |
Shareholding as on Mar 2024
|
|
Company Information
Regd Off |
Survey No 873/ B/ 1 Road No 1, Anson Limbani Estate Near Getco 66 Kv Substation, G I D C Por N H - 8, Vadodara - 391243 |
E-mail |
cs@pftcpipefittings.com |
Web |
https://www.pftcpipefittings.com/ |
Tel |
0265-2830151 |
Fax |
|
Sector |
FORGINGS |
Group |
Private sector |
Tr Agent |
Bigshare Services Pvt Ltd, A/802 Samudra Comple, Near Klassic Gold, Girish Gold Drink CG Road |
|
CHM: Bharat Limbani |
COMP SEC: Anita Digbijay Paul |
YEAR OF INC: 2022 |
NSE CODE: 99313 |
FV (Rs): 10 |
DIV YIELD (%): - |
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