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Fundamental Analysis of V-Marc India (VMARCIND)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Valuation Ratio    Profitability Ratios    Solvency    Efficiency Ratios    

Guru Numbers
Book Value/Share25.04
EV/EBITDA0
Market Cap (Cr)60.00
Enterprise Value (Cr)106.19
Piotroski F-Score5.00
Altman Z Score2.13
Peter Lynch Ratio0
Sloan Ratio0.0434
Key Financial ratios of VMARCIND
Ratio Latest FY Yoy Change TTM MRQ Screener/
About
Price to Earning    0 0 % 0    
Price to Book    0 0 % 0    
Price to Sales    0 0 % 0    
Earning Per Share    3.45 11.65 % 0    
Return On Equity    13.81 -0.949 % 0    
Return On Asset    4.41 17.28 % 0    
Net Profit Margin    3.31 15.05 % 0    
Operating Profit Margin    8.94 7.29 % 0    
EBITDA Margin    8.94 7.29 % 0    
Debt to Equity Ratio    1.10 -10.57 %    
Current Ratio    1.34 9.65 %    
Quick Ratio    0.650 -13.01 %    
View Historitcal ratios of V-Marc India Ltd.
Valuation Ratios   Profitability Ratio   Solvency Ratios   Efficiency Ratios
Screen Financial Ratio using Custom Screener
Terrific View
Debt to equity ratio has decreased and is lowest in last three years
Tremendous increasing in Book Value last 3 year
Steady View
Steady increase in Total Assets for last 3 Years
Risky View
Tsr Growth Index - Poor Score of 34.14
Tsr Profitability Index - Poor Score of 34.38
In the last three years, the company has given poor Net Margin
Interest Coverage of 0
Terrific Steady Risky Stock View - Fundamental Snapshot
Share Overview
Promoter Owned70.00 %
Institution Owned0 %
Public/Others30.00 %
Outstanding Shares1.68 Cr
Floating Shares0 Cr
Floating / Outstanding0%
Book Value/Share25.04
Face value0.000
Share Holding
Annual Key Income Statement of VMARCIND
Period 31_Mar_2021 31_Mar_2020 Growth
Net Income From Continuing Ops 0 0 %
Net Income 5.79 4.92 17.68 %
Operating Income 15.65 14.26 9.75 %
Total Revenue 175.13 171.21 2.29 %
Operating Expense 159.85 157.39 1.56 %
Interest Expense 5.83 6.36 8.33 %
Tax Expense 2.14 1.97 8.63 %
Income Before tax 7.93 6.89 15.09 %
Gross Profit 0 0 %
Dividend Paid 0 0 %
   
Key Balance Sheet Fields
Period 31_Mar_2021 31-Mar-20 Growth
Common Stock 16.79 15.95 5.27 %
Current Liabilities 80.98 88.94 8.95 %
Total Liabilities 89.13 95.25 6.43 %
Current Assets 108.21 108.39 0.166 %
Total Assets 131.16 130.71 0.344 %
Working capital 27.23 19.45 40.00 %
Accounts Payable 0 0 %
Inventory 55.57 41.93 32.53 %
Net Receivable 0 0 %
   
Key Cash Flow Fields
Period 31_Mar_2021 31_Mar_2020 Growth
Cash EPS 0 0 %
Cash From Investment Activity -1.96 -5.82 66.32 %
Cash From Financial Activity -1.09 -2.76 60.51 %
Cash Operational Activity 2.06 9.56 78.45 %
Net Cash Flow -0.990 0.980 201.02 %
NetIncome 5.79 4.92 17.68 %
Capital Expenditure 0 0 %
Change To Inventory 0 0 %
   




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