VAPI PAPER has announced its results for the year ended March 2022. Let us have a look at the detailed performance review of the company during FY21-22.
No. of Mths Year Ending | 12 Mar-21* | 12 Mar-22* | % Change | |
---|---|---|---|---|
Net Sales | Rs m | 23 | 14 | -38.1% |
Other income | Rs m | 6 | 11 | 99.6% |
Total Revenues | Rs m | 29 | 25 | -11.5% |
Gross profit | Rs m | 0 | -5 | NA |
Depreciation | Rs m | 2 | 2 | -6.5% |
Interest | Rs m | 0 | 0 | 0.0% |
Profit before tax | Rs m | 4 | 4 | 5.8% |
Tax | Rs m | 1 | 1 | 144.2% |
Profit after tax | Rs m | 3 | 3 | -17.7% |
Gross profit margin | % | -0.2 | -38.3 | |
Effective tax rate | % | 14.4 | 33.2 | |
Net profit margin | % | 13.4 | 17.9 |
Don't Miss: Key Information for Long-term Investors
No. of Mths Year Ending | 12 Mar-21* | 12 Mar-22* | % Change | |
---|---|---|---|---|
Networth | Rs m | -53 | -50 | NA |
Current Liabilities | Rs m | 2 | 205 | 8,306.1 |
Long-term Debt | Rs m | 75 | 73 | -2.9 |
Total Liabilities | Rs m | 34 | 235 | 587.9 |
Current assets | Rs m | 10 | 212 | 1,941.6 |
Fixed Assets | Rs m | 24 | 23 | -2.1 |
Total Assets | Rs m | 34 | 235 | 587.9 |
Particulars | No. of months | 12 | 12 | % Change |
---|---|---|---|---|
Year Ending | Mar-21 | Mar-22 | ||
Cash Flow from Operating Activities | Rs m | 4 | 0 | -90.6% |
Cash Flow from Investing Activities | Rs m | 0 | 2 | 1,564.3% |
Cash Flow from Financing Activities | Rs m | -2 | -2 | - |
Net Cash Flow | Rs m | 2 | 1 | -77.0% |
No. of Mths Year Ending | 12 Mar-21* | 12 Mar-22* | |
---|---|---|---|
Sales per share (Unadj.) | Rs | 10.1 | 6.3 |
TTM Earnings per share | Rs | 1.4 | 1.1 |
Diluted earnings per share | Rs | 1.4 | 1.1 |
Price to Cash Flow | x | 7.4 | 17.2 |
TTM P/E ratio | x | 11.8 | 56.2 |
Price / Book Value ratio | x | -1.3 | -1.5 |
Market Cap | Rs m | 71 | 74 |
Dividends per share (Unadj.) | Rs | 0.0 | 0.0 |
Current Ratio: The company's current ratio deteriorated and stood at 1.0x during FY22, from 4.3x during FY21. The current ratio measures the company's ability to pay short-term and long-term obligations.
Return on Equity (ROE): The ROE for the company improved and stood at -5.1% during FY22, from -5.9% during FY22. 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 16.9% during FY22, from 16.2% during FY21. 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 declined and down at 1.1% during FY22, from 9.1% during FY21. The ROA measures how efficiently the company uses its assets to generate earnings.
No. of Mths Year Ending | 12 Mar-21* | 12 Mar-22* | |
---|---|---|---|
Current ratio | x | 4.3 | 1.0 |
Debtors’ Days | Days | 49,955,352 | 59,979,859 |
Interest coverage | x | 0.0 | 0.0 |
Debt to equity ratio | x | -1.4 | -1.4 |
Return on assets | % | 9.1 | 1.1 |
Return on equity | % | -5.9 | -5.1 |
Return on capital employed | % | 16.2 | 16.9 |
To see how VAPI PAPER has performed over the last 5 years, please visit here.
Over the last one year, VAPI PAPER share price has moved up from Rs 27.1 to Rs 83.1, registering a gain of Rs 56.0 or around 206.5%.
Overall, the S&P BSE SENSEX is up 0.9% over the year.
(To know more, check out historical annual results for VAPI PAPER and quarterly results for VAPI PAPER)
VAPI PAPER currently trades at Rs 159.8 per share. You can check out the latest share price performance of VAPI PAPER here...
The revenues of VAPI PAPER stood at Rs 25 m in FY22, which was down -11.5% compared to Rs 29 m reported in FY21.
VAPI PAPER's revenue has fallen from Rs 32 m in FY18 to Rs 25 m in FY22.
Over the past 5 years, the revenue of VAPI PAPER has grown at a CAGR of -5.8%.
The net profit of VAPI PAPER stood at Rs 3 m in FY22, which was down -17.7% compared to Rs 3 m reported in FY21.
This compares to a net profit of Rs 5 m in FY20 and a net loss of Rs 0 m in FY19.
Over the past 5 years, VAPI PAPER net profit has grown at a CAGR of 3.5%.
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 VAPI PAPER reveals:
Here's the cash flow statement of VAPI PAPER for the past 5 years.
(Rs m) | FY18 | FY19 | FY20 | FY21 | FY22 |
---|---|---|---|---|---|
From Operations | 3 | 0 | 4 | 4 | 0 |
From Investments | 0 | -1 | 0 | 0 | 2 |
From Financial Activity | -1 | -2 | -1 | -2 | -2 |
Net Cashflow | 1 | -2 | 3 | 2 | 1 |
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 VAPI PAPER reveals:
Here's the ratio/financial analysis of VAPI PAPER for the past 5 years.
FY18 | FY19 | FY20 | FY21 | FY22 | |
---|---|---|---|---|---|
Operating Profit Margin (%) | -9.8 | -26.6 | -3.8 | -0.2 | -38.3 |
Net Profit Margin (%) | 9.0 | -1.3 | 20.5 | 13.4 | 17.9 |
Debt to Equity Ratio (x) | -1.3 | -1.3 | -1.4 | -1.4 | -1.4 |
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