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STERLING GUARANTY vs AD-MANUM FIN - Comparison Results

Rs 100 invested in...

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Current Valuations

    STERLING GUARANTY AD-MANUM FIN STERLING GUARANTY/
AD-MANUM FIN
 
P/E (TTM) x -165.8 6.8 - View Chart
P/BV x - 0.9 - View Chart
Dividend Yield % 0.0 0.0 -  

Financials

 STERLING GUARANTY   AD-MANUM FIN
EQUITY SHARE DATA
    STERLING GUARANTY
Mar-24
AD-MANUM FIN
Mar-24
STERLING GUARANTY/
AD-MANUM FIN
5-Yr Chart
Click to enlarge
High Rs2598 25.7%   
Low Rs1340 31.6%   
Income per share (Unadj.) Rs014.7 0.0%  
Earnings per share (Unadj.) Rs-0.110.3 -1.1%  
Cash flow per share (Unadj.) Rs0-3,214.2 -0.0%  
Dividends per share (Unadj.) Rs00-  
Avg Dividend yield %00-  
Book value per share (Unadj.) Rs-1.294.5 -1.2%  
Shares outstanding (eoy) m6.547.50 87.2%   
Bonus / Rights / Conversions 00-  
Avg Price / Income ratio x04.7-  
Avg P/E ratio x-165.56.7 -2,471.5%  
Avg P/CF ratio x-165.50 -779,825.1%  
Avg Price/Bookvalue ratio x-16.10.7 -2,214.7%  
Dividend payout %00-   
Avg Mkt Cap Rs m123516 23.9%   
No. of employees `000NANA-   
Total wages & salary Rs m03 1.7%   
Avg. income/employee Rs Th00-  
Avg. wages/employee Rs Th00-  
Avg. net profit/employee Rs Th00-  
INCOME DATA
Interest income Rs m0110 0.0%  
Other income Rs m019 0.0%   
Interest expense Rs m014 0.0%   
Net interest income Rs m096 0.0%  
Operating expense Rs m113 5.9%   
Gross profit Rs m-183 -0.9%  
Gross profit margin %075.5- 
Provisions/contingencies Rs m024,221 0.0%   
Profit before tax Rs m-1102 -0.7%   
Extraordinary Inc (Exp) Rs m00-   
Minority Interest Rs m00-   
Prior Period Items Rs m00-   
Tax Rs m025 0.0%   
Profit after tax Rs m-177 -1.0%  
Net profit margin %069.8- 
BALANCE SHEET DATA
Advances Rs m00-   
Deposits Rs m00-  
Credit/Deposit ratio x00- 
Yield on advances %00-  
Cost of deposits %00-  
Net Interest Margin %0138.0- 
Net fixed assets Rs m04 0.0%   
Share capital Rs m6575 87.2%   
Free reserves Rs m-73634 -11.5%   
Net worth Rs m-8709 -1.1%   
Borrowings Rs m00-   
Investments Rs m070 0.0%   
Total assets Rs m0816 0.0%  
Debt/equity ratio x00-   
Return on assets %-310.09.4 -3,282.9%  
Return on equity %9.710.9 89.5%  
Capital adequacy ratio %00-  
Net NPAs %00-  
CASH FLOW
From Operations Rs m-114 -5.3%  
From Investments Rs mNANA 0.0%  
From Financial Activity Rs m1-11 -6.8%  
Net Cashflow Rs m03 -0.3%  

Share Holding

Indian Promoters % 47.7 37.4 127.6%  
Foreign collaborators % 0.0 36.9 -  
Indian inst/Mut Fund % 1.0 0.0 -  
FIIs % 0.0 0.0 -  
ADR/GDR % 0.0 0.0 -  
Free float % 52.3 25.7 203.5%  
Shareholders   14,872 2,121 701.2%  
Pledged promoter(s) holding % 0.0 0.0 -  
NM: Not Meaningful
Source: Company Annual Reports, Regulatory Filings, Equitymaster

Compare STERLING GUARANTY With:   BAJAJ FINANCE    BAJAJ HOLDINGS & INVESTMENT    CHOLAMANDALAM INVEST    SBI CARDS    TATA INVESTMENT    


More on STERL.GUARA. vs AD-MANUM FIN

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

Here's a brief comparison:

STERL.GUARA. vs AD-MANUM FIN Share Price Performance

Period STERL.GUARA. AD-MANUM FIN
1-Day 1.99% -1.97%
1-Month 20.28% -7.11%
1-Year 73.43% 55.19%
3-Year CAGR 125.46% 44.82%
5-Year CAGR 32.63% 41.62%

* Compound Annual Growth Rate

Here are more details on the STERL.GUARA. share price and the AD-MANUM FIN share price.

Moving on to shareholding structures...

The promoters of STERL.GUARA. hold a 47.7% stake in the company. In case of AD-MANUM FIN the stake stands at 74.3%.

To review how promoter stakes have changed over time, and how much of the promoter stake is pledged, please see the shareholding pattern of STERL.GUARA. and the shareholding pattern of AD-MANUM FIN.

Finally, a word on dividends...

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

AD-MANUM FIN paid Rs 0.0, and its dividend payout ratio stood at 0.0%.

You may visit here to review the dividend history of STERL.GUARA., and the dividend history of AD-MANUM FIN.

For a sector overview, read our finance sector report.



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