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Fundamental Analysis of Euro Ceramics (EUROCERA)

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

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Financial Highlights EUROCERA

EOD Close 0.500
Market Cap 1.92
EBITDA -23.25
Book Value -161.483
Profit margin 0
Qtr Revenue Growth YOY 0.105
Qtr Earning Growth YOY -0.483
Revenue TTM 21.55
Gross Profit TTM -14.96
Revenue Per Share TTM 6.39
Face Value 10.00
Enterprise Value -328.26
Outstanding Shares 3.37
Consensus Target 0

Key Ratios of EUROCERA

Earning /Share -130.60
Diluted EPS TTM -130.60
PE Ratio 0
Div / Share 0
Div Yield % 0
PEG Ratio 0
Trailing PE 0
Forward PE 0
Price Sales TTM 0.078
Price Book MRQ 0
Enterprise Value / Revenue 0
Enterprise Value / EBITDA 14.12
Return on Asset TTM -0.092
Return on Equity TTM 0

Key Balance Sheet Fields

Period 31_Mar_2019 31-Mar-18 Growth
Common Stock 33.74 33.74 0 %
Current Liabilities 804.57 414.65 94.04 %
Total Liabilities 808.14 420.78 92.06 %
Current Assets 12.66 44.60 71.61 %
Total Assets 263.33 316.60 16.83 %
Working capital -791.91 -370.04 114.01 %
Accounts Payable 13.83 36.95 62.57 %
Inventory 5.54 24.00 76.92 %
Net Receivable 3.14 11.15 71.84 %
   
   

Key Cash Flow Fields

Period 31_Mar_2019 31_Mar_2018 Growth
Cash EPS -12.48 -0.280 4357.14 %
Cash From Investment Activity 10.00 10.75 6.98 %
Cash From Financial Activity -8.08 -9.48 14.77 %
Cash Operational Activity -1.18 -2.56 53.91 %
Net Cash Flow 0.747 -1.30 157.46 %
NetIncome -440.61 -29.18 1409.97 %
Capital Expenditure 0.0068 0.0068 0 %
Change To Inventory 18.46 9.10 102.86 %
   
   



Annual Key Income Statement of EUROCERA

Period 31_Mar_2019 31_Mar_2018 Growth
Net Income From Continuing Ops -440.61 -29.18 1409.97 %
Net Income -440.61 -29.18 1409.97 %
Operating Income -16.33 -32.08 49.10 %
Total Revenue 21.55 19.34 11.43 %
Operating Expense 37.88 51.42 26.33 %
Interest Expense 386.18 0.348 110871.26 %
Tax Expense 0.141 5.36 97.37 %
Income Before tax -440.47 -23.82 1749.16 %
Gross Profit -13.65 -3.75 264.00 %
Dividend Paid 0 0 � %
   
   

Quarterly Key Income Statement of EUROCERA

Period 31_Mar_2019 30_Jun_2008 Growth
Net Income From Continuing Ops 0 4.20 100.00 %
Net Income 0 4.20 100.00 %
Operating Income 0 12.28 100.00 %
Total Revenue 0 70.24 100.00 %
Operating Expense 0 57.96 100.00 %
Interest Expense 0 -9.32 100.00 %
Tax Expense 0 -1.17 100.00 %
Income Before tax 0 3.03 100.00 %
Gross Profit 0 27.76 100.00 %
Dividend Paid 0 0 � %
   
   




About Financial Data , All results are consolidated, Values are in Crores, Sourced from external Vendors


( Intraday Analysis is on Real Time Data (Updated every 5 Mins). All Other 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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