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BERGER PAINTS 2023-24 Annual Report Analysis
Tue, 23 Jul

BERGER PAINTS has announced its results for the year ended March 2024. Let us have a look at the detailed performance review of the company during FY23-24.

BERGER PAINTS Income Statement Analysis

  • Operating income during the year rose 6.0% on a year-on-year (YoY) basis.
  • The company's operating profit increased by 29.1% YoY during the fiscal. Operating profit margins witnessed a fall and down at 17.0% in FY24 as against 13.9% in FY23.
  • Depreciation charges increased by 25.3% and finance costs decreased by 21.1% YoY, respectively.
  • Other income grew by 23.5% YoY.
  • Net profit for the year grew by 36.0% YoY.
  • Net profit margins during the year grew from 8.1% in FY23 to 10.4% in FY24.

BERGER PAINTS Income Statement 2023-24

No. of Mths Year Ending 12 Mar-23* 12 Mar-24* % Change
Net Sales Rs m 105,678 111,989 6.0%
Other income Rs m 516 637 23.5%
Total Revenues Rs m 106,194 112,626 6.1%
Gross profit Rs m 14,740 19,023 29.1%
Depreciation Rs m 2,640 3,309 25.3%
Interest Rs m 992 783 -21.1%
Profit before tax Rs m 11,623 15,569 33.9%
Tax Rs m 3,019 3,871 28.2%
Profit after tax Rs m 8,604 11,698 36.0%
Gross profit margin % 13.9 17.0
Effective tax rate % 26.0 24.9
Net profit margin % 8.1 10.4
* Results Consolidated
Interim results exclude extraordinary / exceptional items
Source: Accord Fintech, Equitymaster



Must See: These Segments are Witnessing Incredible Growth with Modi's Push

BERGER PAINTS Balance Sheet Analysis

  • The company's current liabilities during FY24 down at Rs 33 billion as compared to Rs 37 billion in FY23, thereby witnessing an decrease of -10.8%.
  • Long-term debt down at Rs 60 million as compared to Rs 78 million during FY23, a fall of 22.8%.
  • Current assets rose 8% and stood at Rs 52 billion, while fixed assets rose 7% and stood at Rs 58 billion in FY24.
  • Overall, the total assets and liabilities for FY24 stood at Rs 110 billion as against Rs 103 billion during FY23, thereby witnessing a growth of 7%.

BERGER PAINTS Balance Sheet as on March 2024

No. of Mths Year Ending 12 Mar-23* 12 Mar-24* % Change
Networth Rs m 44,895 53,739 19.7
 
Current Liabilities Rs m 36,716 32,740 -10.8
Long-term Debt Rs m 78 60 -22.8
Total Liabilities Rs m 102,721 110,068 7.2
 
Current assets Rs m 48,615 52,295 7.6
Fixed Assets Rs m 54,106 57,773 6.8
Total Assets Rs m 102,721 110,068 7.2
* Results Consolidated
Interim results exclude extraordinary / exceptional items
Source: Accord Fintech, Equitymaster



BERGER PAINTS Cash Flow Statement Analysis

  • BERGER PAINTS's cash flow from operating activities (CFO) during FY24 stood at Rs 16 billion, an improvement of 63.1% on a YoY basis.
  • Cash flow from investing activities (CFI) during FY24 stood at Rs -4 billion on a YoY basis.
  • Cash flow from financial activities (CFF) during FY24 stood at Rs -11 billion on a YoY basis.
  • Overall, net cash flows for the company during FY24 stood at Rs 1 billion from the Rs 129 million net cash flows seen during FY23.

BERGER PAINTS Cash Flow Statement 2023-24

Particulars No. of months 12 12 % Change
Year Ending Mar-23 Mar-24
Cash Flow from Operating Activities Rs m 9,756 15,911 63.1%
Cash Flow from Investing Activities Rs m -6,003 -3,981 -
Cash Flow from Financing Activities Rs m -3,629 -10,689 -
Net Cash Flow Rs m 129 1,241 864.2%
* Results Consolidated
Interim results exclude extraordinary / exceptional items
Source: Accord Fintech, Equitymaster



Current Valuations for BERGER PAINTS

  • The trailing twelve-month earnings per share (EPS) of the company stands at Rs 10.0, an improvement from the EPS of Rs 8.9 recorded last year.
  • The price to earnings (P/E) ratio, at the current price of Rs 525.2, stands at 54.2 times its trailing twelve months earnings.
  • The price to book value (P/BV) ratio at current price levels stands at 11.4 times, while the price to sales ratio stands at 5.5 times.
  • The company's price to cash flow (P/CF) ratio stood at 44.8 times its end-of-year operating cash flow earnings.

Per Share Data/Valuations

No. of Mths Year Ending 12 Mar-23* 12 Mar-24*
Sales per share (Unadj.) Rs 108.8 96.1
TTM Earnings per share Rs 8.9 10.0
Diluted earnings per share Rs 7.4 10.0
Price to Cash Flow x 50.2 44.8
TTM P/E ratio x 64.6 54.2
Price / Book Value ratio x 13.7 12.5
Market Cap Rs m 616,683 671,607
Dividends per share (Unadj.) Rs 3.2 3.5
* Results Consolidated
Interim results exclude extraordinary / exceptional items
Source: Accord Fintech, Equitymaster



Ratio Analysis for BERGER PAINTS

  • Solvency Ratios
  • Current Ratio: The company's current ratio improved and stood at 1.6x during FY24, from 1.3x during FY23. The current ratio measures the company's ability to pay short-term and long-term obligations.

    Interest Coverage Ratio: The company's interest coverage ratio improved and stood at 20.9x during FY24, from 12.7x during FY23. The interest coverage ratio of a company states how easily a company can pay its interest expense on outstanding debt. A higher ratio is preferable.

  • Profitability Ratios
  • Return on Equity (ROE): The ROE for the company improved and stood at 21.8% during FY24, from 19.2% during FY24. The ROE measures the ability of a firm to generate profits from its shareholders capital in the company.

    Return on Capital Employed (ROCE): The ROCE for the company improved and stood at 30.4% during FY24, from 28.1% during FY23. The ROCE measures the ability of a firm to generate profits from its total capital (shareholder capital plus debt capital) employed in the company.

    Return on Assets (ROA): The ROA of the company improved and stood at 11.3% during FY24, from 9.3% during FY23. The ROA measures how efficiently the company uses its assets to generate earnings.

Key Ratio Analysis

No. of Mths Year Ending 12 Mar-23* 12 Mar-24*
Current ratio x 1.3 1.6
Debtors’ Days Days 4 4
Interest coverage x 12.7 20.9
Debt to equity ratio x 0.0 0.0
Return on assets % 9.3 11.3
Return on equity % 19.2 21.8
Return on capital employed % 28.1 30.4
* Results Consolidated
Interim results exclude extraordinary / exceptional items
Source: Accord Fintech, Equitymaster



To see how BERGER PAINTS has performed over the last 5 years, please visit here.

BERGER PAINTS Share Price Performance

Over the last one year, BERGER PAINTS share price has moved down from Rs 576.1 to Rs 525.2, registering a loss of Rs 50.9 or around 8.8%.

Overall, the S&P BSE SENSEX is up 18.9% over the year.

(To know more, check out historical annual results for BERGER PAINTS and quarterly results for BERGER PAINTS)

Annual Report FAQs

What is the current share price of BERGER PAINTS?

BERGER PAINTS currently trades at Rs 480.2 per share. You can check out the latest share price performance of BERGER PAINTS here...

What was the revenue of BERGER PAINTS in FY24? How does it compare to earlier years?

The revenues of BERGER PAINTS stood at Rs 112,626 m in FY24, which was up 6.1% compared to Rs 106,194 m reported in FY23.

BERGER PAINTS' revenue has grown from Rs 64,343 m in FY20 to Rs 112,626 m in FY24.

Over the past 5 years, the revenue of BERGER PAINTS has grown at a CAGR of 15.0%.

What was the net profit of BERGER PAINTS in FY24? How does it compare to earlier years?

The net profit of BERGER PAINTS stood at Rs 11,698 m in FY24, which was up 36.0% compared to Rs 8,604 m reported in FY23.

This compares to a net profit of Rs 8,330 m in FY22 and a net profit of Rs 7,197 m in FY21.

Over the past 5 years, BERGER PAINTS net profit has grown at a CAGR of 15.6%.

What does the cash flow statement of BERGER PAINTS reveal?

The cash flow statement is the financial statement that presents the cash inflows and outflows of a company during a given period of time.

This statement is one of the most useful tools for judging a company's liquidity position. The ratios and parameters in this statement helps test a company's financial health.

The cash flow statement of BERGER PAINTS reveals:

  • Cash flow from operations increased in FY24 and stood at Rs 15,911 m as compared to Rs 9,756 m in FY23.
  • Cash flow from investments increased in FY24 and stood at Rs -3,981 m as compared to Rs -6,003 m in FY23.
  • Cash flow from financial activity decreased in FY24 and stood at Rs -10,689 m as compared to Rs -3,629 m in FY23.

Here's the cash flow statement of BERGER PAINTS for the past 5 years.

(Rs m)FY20FY21FY22FY23FY24
From Operations7,2467,9585,6659,75615,911
From Investments-2,234-4,567-5,213-6,003-3,981
From Financial Activity-4,794-2,818-781-3,629-10,689
Net Cashflow219573-3291291,241

What does the Key Ratio analysis of BERGER PAINTS reveal?

Be it the company's profitability, operations effectiveness or utilization of funds, ratio analysis is an important tool which helps in making investment decisions.

The ratio/financial analysis of BERGER PAINTS reveals:

  • Operating profit margins witnessed a fall and down at 17.0% in FY24 as against 13.9% in FY23.
  • Net profit margins grew from 8.1% in FY23 to 10.4% in FY24.
  • Debt to Equity ratio for FY24 stood at 0.0 as compared to 0.0 in FY23.

Here's the ratio/financial analysis of BERGER PAINTS for the past 5 years.

 FY20FY21FY22FY23FY24
Operating Profit Margin (%)16.517.315.213.917.0
Net Profit Margin (%)10.310.69.58.110.4
Debt to Equity Ratio (x)0.10.00.00.00.0

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