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SHREEVATSAA FIN vs OASIS SECURITIES - Comparison Results

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Current Valuations

    SHREEVATSAA FIN OASIS SECURITIES SHREEVATSAA FIN/
OASIS SECURITIES
 
P/E (TTM) x 56.3 52.7 106.9% View Chart
P/BV x 1.4 5.8 25.1% View Chart
Dividend Yield % 0.0 0.0 -  

Financials

 SHREEVATSAA FIN   OASIS SECURITIES
EQUITY SHARE DATA
    SHREEVATSAA FIN
Mar-24
OASIS SECURITIES
Mar-24
SHREEVATSAA FIN/
OASIS SECURITIES
5-Yr Chart
Click to enlarge
High Rs21162 13.1%   
Low Rs955 16.7%   
Income per share (Unadj.) Rs0.916.1 5.4%  
Earnings per share (Unadj.) Rs0.47.6 5.0%  
Cash flow per share (Unadj.) Rs-195.319.6 -996.4%  
Dividends per share (Unadj.) Rs00-  
Avg Dividend yield %00-  
Book value per share (Unadj.) Rs22.166.8 33.1%  
Shares outstanding (eoy) m10.101.85 545.9%   
Bonus / Rights / Conversions 00-  
Avg Price / Income ratio x17.66.8 260.4%   
Avg P/E ratio x40.014.2 281.4%  
Avg P/CF ratio x0.113.1 0.6%  
Avg Price/Bookvalue ratio x0.71.6 42.4%  
Dividend payout %00-   
Avg Mkt Cap Rs m154201 76.6%   
No. of employees `000NANA-   
Total wages & salary Rs m216 14.7%   
Avg. income/employee Rs Th00-  
Avg. wages/employee Rs Th00-  
Avg. net profit/employee Rs Th00-  
INCOME DATA
Interest income Rs m930 29.4%  
Other income Rs m08 5.1%   
Interest expense Rs m00 0.0%   
Net interest income Rs m930 29.4%  
Operating expense Rs m320 16.9%   
Gross profit Rs m510 54.2%  
Gross profit margin %61.933.6 184.3%  
Provisions/contingencies Rs m1,9821 162,434.4%   
Profit before tax Rs m618 32.8%   
Extraordinary Inc (Exp) Rs m00-   
Minority Interest Rs m00-   
Prior Period Items Rs m00-   
Tax Rs m24 55.0%   
Profit after tax Rs m414 27.2%  
Net profit margin %44.147.6 92.6%  
BALANCE SHEET DATA
Advances Rs m00-   
Deposits Rs m00-  
Credit/Deposit ratio x00- 
Yield on advances %00-  
Cost of deposits %00-  
Net Interest Margin %4.038.2 10.5%  
Net fixed assets Rs m03 0.4%   
Share capital Rs m10119 545.7%   
Free reserves Rs m122105 116.2%   
Net worth Rs m223124 180.5%   
Borrowings Rs m00-   
Investments Rs m21878 280.7%   
Total assets Rs m226126 179.7%  
Debt/equity ratio x00-   
Return on assets %1.711.3 15.1%  
Return on equity %1.711.5 15.1%  
Capital adequacy ratio %00-  
Net NPAs %00-  
CASH FLOW
From Operations Rs m2-7 -23.9%  
From Investments Rs mNA10 0.0%  
From Financial Activity Rs m-6NA-  
Net Cashflow Rs m-43 -143.7%  

Share Holding

Indian Promoters % 75.0 70.6 106.2%  
Foreign collaborators % 0.0 0.0 -  
Indian inst/Mut Fund % 0.0 0.0 -  
FIIs % 0.0 0.0 -  
ADR/GDR % 0.0 0.0 -  
Free float % 25.0 29.4 85.1%  
Shareholders   658 1,119 58.8%  
Pledged promoter(s) holding % 0.0 0.0 -  
NM: Not Meaningful
Source: Company Annual Reports, Regulatory Filings, Equitymaster

Compare SHREEVATSAA FIN With:   BAJAJ FINANCE    BAJAJ HOLDINGS & INVESTMENT    CHOLAMANDALAM INVEST    SBI CARDS    AAVAS FINANCIERS    


More on SHREEVATSAA FIN vs OASIS SECURITIES

No comparison is complete without understanding how the stock prices have performed over a period of time.

Here's a brief comparison:

SHREEVATSAA FIN vs OASIS SECURITIES Share Price Performance

Period SHREEVATSAA FIN OASIS SECURITIES
1-Day -4.99% 1.36%
1-Month 31.54% 98.45%
1-Year 82.38% 288.79%
3-Year CAGR 62.54% 75.30%
5-Year CAGR 39.02% 72.78%

* Compound Annual Growth Rate

Here are more details on the SHREEVATSAA FIN share price and the OASIS SECURITIES share price.

Moving on to shareholding structures...

The promoters of SHREEVATSAA FIN hold a 75.0% stake in the company. In case of OASIS SECURITIES the stake stands at 70.6%.

To review how promoter stakes have changed over time, and how much of the promoter stake is pledged, please see the shareholding pattern of SHREEVATSAA FIN and the shareholding pattern of OASIS SECURITIES.

Finally, a word on dividends...

In the most recent financial year, SHREEVATSAA FIN paid a dividend of Rs 0.0 per share. This amounted to a Dividend Payout ratio of 0.0%.

OASIS SECURITIES paid Rs 0.0, and its dividend payout ratio stood at 0.0%.

You may visit here to review the dividend history of SHREEVATSAA FIN, and the dividend history of OASIS SECURITIES.



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