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Fundamental Analysis of Rane Brake Linings (RBL)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Risk    Profitability    Qtrly Profit    Solvency    

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CAGR Growth - Rane Brake Linings

CAGR Growth Period Book value Per Share % Operating cash Flow % Earning Per Share % Dividend % EBITDA % Net Income % Revenue % Revenue Per share % Operating Profit % Operating Profit Per Share% EBITDA Per share % Year Range
1 Year 12.02 -20.883 0.798 152.84 22.96 0.806 -1.124 -1.124 27.28 27.28 22.96 17-18
3 Year 15.37 1.95 29.50 29.42 17.41 29.52 5.00 4.97 17.61 17.58 17.39 15-18
5 Year 12.87 7.78 30.90 30.61 16.37 30.92 5.07 5.05 17.64 17.63 16.36 13-18
7 Year 11.57 16.71 12.55 17.22 11.26 12.56 6.71 6.70 11.75 11.74 11.25 11-18
10 Year 10.00 9.28 13.56 15.31 12.71 14.62 10.29 9.27 14.47 13.41 11.66 08-18

Balance Sheet of Rane Brake Linings

Year Book Value Per Share Capital Work In Progress Net Block Reserves EQ Capital Shareholdings Working Capital Shareholder's Funds Total Debt Current Liablities Total Liablities Cash & Bank Balances Total Assets Capital Employed Current Assets
31_Mar_18 236.11 3.00 114.00 180.00 7.92 70.00 187.00 0.000 135.00 135.00 9.63 323.00 187.00 205.00
31_Mar_17 210.77 0.420 120.13 159.02 7.92 52.00 166.93 5.99 117.10 123.09 1.28 290.02 172.92 169.10
Balance sheet for last 13 Years with 14 Indicators



Cash Flow of Rane Brake Linings

Year Cash EPS Cash From Financial Activity Cash From Investing Activity Cash From Operating Activity Net cash Flow
31_Mar_18 60.61 -21.000 -19.000 48.00 8.00
31_Mar_17 76.60 -27.420 -33.600 60.67 -0.350
Cash Flow for last 13 Years

Income Statement of Rane Brake Linings

Year Corporate Tax Rate Depreciation Expense Total Dividend EBITDA EPS (Earning Per Share) Income Tax Interest Net Income Outstanding Shares Operating Profit Other Income Profit Before Tax Revenue Operating Expense Dividend Total Income Profit Before Depreciation And Tax
31_Mar_18 0.352 23.00 12.01 77.00 44.19 19.00 0.000 35.00 0.792 74.00 4.00 54.00 482.00 408.00 0.000 486.00 77.00
31_Mar_17 0.180 19.50 4.75 62.62 43.84 7.64 0.760 34.72 0.792 58.14 4.48 42.36 487.48 429.34 0.000 491.96 61.86
Income Statement for last 13 Years with 17 Parameters

Quarterly Income Statement Rane Brake Linings

Quarter Corporate Tax Rate Depreciation Expense EBITDA EPS Income Tax Expense Interest Net Income OutStanding Shares Operating Profit Other Income Revenue Total Annual Dividend Total Income Operating Expense Profit Before Depreciation and Tax Face Value
31_Mar_19 0.000 7.49 0.000 17.79 0.000 0.390 14.09 0.792 22.96 1.97 139.16 0.000 141.13 116.20 24.54 10.00
31_Dec_18 0.000 5.56 0.000 13.33 0.000 0.060 10.56 0.792 18.53 2.03 132.47 0.000 134.50 113.94 20.50 10.00
Quarterly Income Statement for last 26 Quarters with 16 Parameters



Risk , price and valuations of Rane Brake Linings

Year Market cap Dividend Yield Earning Yield Account Cost of Debit Cost of Equity (CAPM Model) Credit/Default Spread Levered Beta PEG (Price by earning To Growth) PBV (Price To Book Value) PE (Price To earning) PS (Price to Sales - Revenue) Weight to debt (WACC) Weight of equity (WACC) WACC (Weighted cost of Capital) PCFO (Price to cash Flow from Operations) Enterprise value
31_Mar_18 740.36 0.020 0.050 0.000 0.000 0.120 0.000 21.15 3.96 21.15 1.54 0.000 1.00 0.000 15.42 730.73
31_Mar_17 817.80 0.010 0.040 0.127 0.176 0.004 1.05 0.670 4.90 23.55 1.68 0.007 0.993 0.176 13.48 822.51
Risk Price & Valuation for last 13 Years with 16 Parameters

Profitability And Management Efficiency of Rane Brake Linings

Year CROCI (Cash Returns on Capital Invested) Days in Working Capital EBITDA Margin Net Margin Operating cash Flow to Revenue Operating Margin ROCE (Return on Capital Employed) ROE (Return on Equity) Current ratio ROA (return on Assets) ROIC (Return on Invested capital) Asset Turnover CFO To Sales CFO To Turnover(TO) WC to TO Fixed Asset (FA) to TO CFROA (CF to ROA)
31_Mar_18 0.412 52.28 0.160 0.073 0.100 0.153 0.289 0.187 1.52 0.108 0.200 1.49 0.100 50.05 6.89 4.23 0.149
31_Mar_17 0.362 38.40 0.129 0.071 0.124 0.119 0.249 0.208 1.44 0.120 0.200 1.68 0.120 380.84 9.37 4.06 0.209
Profitability & Management Efficiency for last 13 Years with 17 Parameters

Quarterly Profitability /Ratios of Rane Brake Linings

Quarter EBITDA Margin IBT Margin Net Margin Operating Margin) Market Capitalization Dividend Yield Levered Beta Dividend Payout Retention Ratio
31_Mar_19 0.000 0.101 0.000 0.165 476.03 0.000 0.000 0.000 0.000
31_Dec_18 0.000 0.080 0.000 0.140 441.78 0.000 0.000 0.000 0.000
Profitability & Management Efficiency for last 26 Quarters with 9 Parameters


Solvency & Fundamentals of Rane Brake Linings

Year Capitalization Ratio Interest Coverage Long Term Debt to EBITDA Long Term Debt to Equity (Net Worth) Solvency Ratio Dividend Payout Retention Ratio Times Interest Earned Cash Ratio Accruals CFO to Debt Debt To Assets Debt To Capital Assets to Shareholder Equity Dividend Cover
31_Mar_18 0.000 0.000 0.000 0.000 0.000 0.343 0.660 0.000 0.070 -13.000 0.000 0.000 0.000 1.73 3.68
31_Mar_17 0.030 56.74 0.100 0.040 9.05 0.137 0.860 0.020 0.010 -25.950 10.13 0.020 0.030 1.74 9.23
Solvency & Fundamentals for last 13 Years with 15 Parameters

Financial Data From D'Market


(All analysis is based on End of Trade day's Value. Expected time of update is between 5 to 5.30 PM exchange time Zone)


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