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PRIYA. vs AMFORGE IND. - Comparison Results

Rs 100 invested in...

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Current Valuations

    PRIYA. AMFORGE IND. PRIYA./
AMFORGE IND.
 
P/E (TTM) x -2.0 -70.7 - View Chart
P/BV x - 1.3 - View Chart
Dividend Yield % 0.0 0.0 -  

Financials

 PRIYA.   AMFORGE IND.
EQUITY SHARE DATA
    PRIYA.
Mar-23
AMFORGE IND.
Mar-24
PRIYA./
AMFORGE IND.
5-Yr Chart
Click to enlarge
High Rs2317 132.1%   
Low Rs114 248.2%   
Sales per share (Unadj.) Rs00-  
Earnings per share (Unadj.) Rs-13.2-0.2 7,084.4%  
Cash flow per share (Unadj.) Rs-13.00 -36,039.6%  
Dividends per share (Unadj.) Rs00-  
Avg Dividend yield %00-  
Book value per share (Unadj.) Rs-137.98.8 -1,561.5%  
Shares outstanding (eoy) m3.0014.39 20.8%   
Bonus / Rights / Conversions 00-  
Price / Sales ratio x00-  
Avg P/E ratio x-1.3-57.6 2.2%  
P/CF ratio (eoy) x-1.3301.0 -0.4%  
Price / Book Value ratio x-0.11.2 -10.0%  
Dividend payout %00-   
Avg Mkt Cap Rs m50155 32.5%   
No. of employees `000NANA-   
Total wages/salary Rs m33 117.9%   
Avg. sales/employee Rs Th00-  
Avg. wages/employee Rs Th00-  
Avg. net profit/employee Rs Th00-  
INCOME DATA
Net Sales Rs m00-  
Other income Rs m526 17.2%   
Total revenues Rs m526 17.2%   
Gross profit Rs m-8-20 39.1%  
Depreciation Rs m13 20.6%   
Interest Rs m362 1,648.8%   
Profit before tax Rs m-401 -4,054.1%   
Minority Interest Rs m00-   
Prior Period Items Rs m00-   
Extraordinary Inc (Exp) Rs m00-   
Tax Rs m04 0.0%   
Profit after tax Rs m-40-3 1,477.0%  
Gross profit margin %00- 
Effective tax rate %0374.2 -0.0%   
Net profit margin %00- 
BALANCE SHEET DATA
Current assets Rs m95 186.1%   
Current liabilities Rs m43334 1,271.6%   
Net working cap to sales %00- 
Current ratio x00.1 14.6%  
Inventory Days Days00- 
Debtors Days Days00- 
Net fixed assets Rs m17162 10.5%   
Share capital Rs m3029 104.3%   
"Free" reserves Rs m-44498 -451.3%   
Net worth Rs m-414127 -325.5%   
Long term debt Rs m07 0.0%   
Total assets Rs m26166 15.7%  
Interest coverage x-0.11.4 -7.6%   
Debt to equity ratio x00.1 -0.0%  
Sales to assets ratio x00-   
Return on assets %-15.1-0.3 4,794.8%  
Return on equity %9.6-2.1 -453.6%  
Return on capital %1.02.3 40.7%  
Exports to sales %00-  
Imports to sales %00-  
Exports (fob) Rs mNANA-   
Imports (cif) Rs mNANA-   
Fx inflow Rs m00-   
Fx outflow Rs m00-   
Net fx Rs m00-   
CASH FLOW
From Operations Rs m-8-14 59.9%  
From Investments Rs mNA12 0.2%  
From Financial Activity Rs m8-15 -54.2%  
Net Cashflow Rs m0-17 -0.1%  

Share Holding

Indian Promoters % 26.8 57.0 47.0%  
Foreign collaborators % 47.7 0.0 -  
Indian inst/Mut Fund % 0.0 0.2 -  
FIIs % 0.0 0.0 -  
ADR/GDR % 0.0 0.0 -  
Free float % 25.6 43.0 59.4%  
Shareholders   2,143 15,982 13.4%  
Pledged promoter(s) holding % 0.0 0.0 -  
NM: Not Meaningful
Source: Company Annual Reports, Regulatory Filings, Equitymaster

Compare PRIYA. With:   ADANI ENTERPRISES    REDINGTON    MMTC    SIRCA PAINTS INDIA    UNIPHOS ENT    


More on PRIYA. vs AMFORGE IND.

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

Here's a brief comparison:

PRIYA. vs AMFORGE IND. Share Price Performance

Period PRIYA. AMFORGE IND.
1-Day -1.99% 3.33%
1-Month 8.52% 15.01%
1-Year 88.22% 63.89%
3-Year CAGR 50.53% 26.28%
5-Year CAGR 4.33% 65.17%

* Compound Annual Growth Rate

Here are more details on the PRIYA. share price and the AMFORGE IND. share price.

Moving on to shareholding structures...

The promoters of PRIYA. hold a 74.5% stake in the company. In case of AMFORGE IND. the stake stands at 57.0%.

To review how promoter stakes have changed over time, and how much of the promoter stake is pledged, please see the shareholding pattern of PRIYA. and the shareholding pattern of AMFORGE IND..

Finally, a word on dividends...

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

AMFORGE IND. paid Rs 0.0, and its dividend payout ratio stood at -0.0%.

You may visit here to review the dividend history of PRIYA., and the dividend history of AMFORGE IND..



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