In the last three years, the company has given poor Net Margin
Company is unable to generate enough free cash to support the business.
In the last three years, the company has given poor Returns on Equity
In the last three years, the company has given poor Returns on Assets
Terrific Steady Risky Stock View - Fundamental Snapshot
Share Overview
Promoter Owned
41.00 %
Institution Owned
4.00 %
Public/Others
55.00 %
Outstanding Shares
1.08 Cr
Floating Shares
0.389 Cr
Floating / Outstanding
36.22%
Book Value/Share
177.34
Face value
10.00
Share Holding
Annual Key Income Statement of PREMEXPLN
Period
31_Mar_2022
31_Mar_2021
Growth
Net Income From Continuing Ops
5.22
-10.96
147.63 %
Net Income
5.30
-10.92
148.53 %
Operating Income
4.17
-7.00
159.57 %
Total Revenue
199.13
152.20
30.83 %
Operating Expense
194.96
159.20
22.46 %
Interest Expense
7.26
7.05
2.98 %
Tax Expense
1.77
-4.19
142.24 %
Income Before tax
6.99
-15.15
146.14 %
Gross Profit
101.88
75.77
34.46 %
Dividend Paid
0
0
%
Quarterly Key Income Statement of PREMEXPLN
Period
30_Sep_2022
30_Jun_2022
Growth
Net Income From Continuing Ops
2.60
1.30
100.00 %
Net Income
2.58
1.29
100.00 %
Operating Income
7.22
3.43
110.50 %
Total Revenue
60.64
51.77
17.13 %
Operating Expense
53.42
48.35
10.49 %
Interest Expense
1.98
2.06
3.88 %
Tax Expense
1.02
0.516
97.67 %
Income Before tax
3.63
1.81
100.55 %
Gross Profit
28.96
27.10
6.86 %
Dividend Paid
-1.61
0
%
Key Balance Sheet Fields
Period
31_Mar_2022
31-Mar-21
Growth
Common Stock
10.75
10.75
0 %
Current Liabilities
113.64
87.64
29.67 %
Total Liabilities
131.10
108.26
21.10 %
Current Assets
127.22
100.95
26.02 %
Total Assets
321.78
294.32
9.33 %
Working capital
13.58
13.31
2.03 %
Accounts Payable
21.18
16.90
25.33 %
Inventory
37.70
36.72
2.67 %
Net Receivable
71.55
43.10
66.01 %
Key Cash Flow Fields
Period
31_Mar_2022
31_Mar_2021
Growth
Cash EPS
13.69
-4.36
413.99 %
Cash From Investment Activity
-10.85
-4.00
171.25 %
Cash From Financial Activity
12.58
-7.04
278.69 %
Cash Operational Activity
-2.16
9.95
121.71 %
Net Cash Flow
-0.430
-1.09
60.55 %
NetIncome
5.30
-10.92
148.53 %
Capital Expenditure
14.43
12.96
11.34 %
Change To Inventory
-0.979
5.30
118.47 %
About Premier Explosives Limited Premier Explosives Limited manufactures and sells high energy materials and allied products in India. The company offers bulk explosives, packaged explosives, detonators, detonating fuse, cast and emulsion boosters, solid propellants, pyrogen igniters, pyro devices, explosive bolts, pyro actuators, nitrate mixtures, slurry/emulsion, chaffs, IR flares, tear gas grenades, smoke markers, cable cutters, etc. that have applications in mining, infrastructure, defense, space, homeland security, and other areas. It also operates and maintains solid propellant plants of defense and space establishments. The company markets its products through consignment agents, dealers, and handling agents across India. It also exports commercial explosives to South East Asia, the Middle Eastern, and European countries. The company was incorporated in 1980 and is based in Secunderabad, India.
Address : Premier House, Secunderabad, India, 500015
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