Technicals Stability Returns

Wait for US Stock Analytics & Screeners is Over
StockAio.com (Stock All In One) is now Live
We hope you will provide us with the same Love & Support as you did for TSR.
Wait for US Stock Analytics is Over
StockAio.com (Stock All In One) is now Live
We hope you will provide us with the same Love & Support as you did for TSR.
Fundamental Analysis of GRP (GRPLTD)

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

Guru Numbers
Book Value/Share1105.49
EV/EBITDA11.10
Market Cap (Cr)484.06
Enterprise Value (Cr)508.99
Piotroski F-Score5.00
Altman Z Score3.91
Graham No1612.98
Price/ Graham 2.25
Peter Lynch Ratio4.10
Sloan Ratio0.0487
Peter Lynch Fair value1354.48
Price/ Peter Lynch FV2.68
TSR Fair value1960.26
Key Financial ratios of GRPLTD
Ratio Latest FY Yoy Change TTM MRQ Screener/
About
Price to Earning    25.52 -20.95 % 34.71    
Price to Book    2.42 76.91 % 3.75 0    
Price to Sales    0.789 64.89 % 1.07    
Earning Per Share    104.61 142.15 % 104.60 20.65    
Return On Equity    9.46 123.79 % 12.65 0    
Return On Asset    4.87 149.82 % 5.94 0    
Net Profit Margin    3.09 108.58 % 3.09 2.88    
Operating Profit Margin    0 0 % 3.45 3.05    
EBITDA Margin    7.61 21.39 % 7.61 7.33    
Debt to Equity Ratio    0.169 -76.89 % 0    
Current Ratio    1.61 7.44 % 0    
Quick Ratio    1.15 12.13 % 0    
View Historitcal ratios of GRP Ltd
Valuation Ratios   Profitability Ratio   Solvency Ratios   Efficiency Ratios
Screen Financial Ratio using Custom Screener
Terrific View
Tsr Stability Index - Excellent Score of 81.25
Stock Returns is greater than Nifty by 155.15 % in last one year
Stock Returns is greater than Nifty returns for consecutive last five years
Altman Z Score of 3.91 suggests good Stability
Paid More Than 50% of Debt, Heading towards debt free
Debt to equity ratio has decreased and is lowest in last five years
YoY Net Margin Jump by 108.58%
Steady View
Piotroski F Score - Stable Value of 5.0
Annual Net Profit in last 3 years is trending up
EBITDA is continuously increasing for last 3 Years
Company financial liquidity has improved
Book Value in last 3 years is trending up
Good Return on Equity of 12.65% is achieved by the company
Risky View
Tsr Profitability Index - Poor Score of 22.66
Very Low Dividend Yield of 0.260 %
Low Earning Yield of 2.88 %
Quarterly sales in last 5 Quarter is trending down
In the last three years, the company has given poor Net Margin
Operating Cash Flow decreasing for last 3 year
In the last three years, the company has given poor Returns on Assets
Interest Coverage of 0
Terrific Steady Risky Stock View - Fundamental Snapshot
Share Overview
Promoter Owned41.60 %
Institution Owned0 %
Public/Others58.40 %
Outstanding Shares0.133 Cr
Floating Shares0.051 Cr
Floating / Outstanding38.49%
Book Value/Share1105.49
Face value10.00
Share Holding
Annual Key Income Statement of GRPLTD
Period 31_Mar_2023 31_Mar_2022 Growth
Net Income From Continuing Ops 13.95 5.76 142.19 %
Net Income 13.95 5.76 142.19 %
Operating Income 0 6.28 100.00 %
Total Revenue 451.00 388.42 16.11 %
Operating Expense 445.21 382.14 16.50 %
Interest Expense 6.50 4.51 44.12 %
Tax Expense 1.36 1.68 19.05 %
Income Before tax 15.30 7.44 105.65 %
Gross Profit 0 206.38 100.00 %
Dividend Paid 0 -0.344 100.00 %
   
Quarterly Key Income Statement of GRPLTD
Period 31_Mar_2023 31_Dec_2022 Growth
Net Income From Continuing Ops 2.75 3.95 30.38 %
Net Income 2.75 3.95 30.38 %
Operating Income 2.91 3.80 23.42 %
Total Revenue 95.54 114.29 16.41 %
Operating Expense 89.71 107.44 16.50 %
Interest Expense 1.78 1.63 9.20 %
Tax Expense -0.460 0.060 866.67 %
Income Before tax 2.29 4.01 42.89 %
Gross Profit 0 63.70 100.00 %
Dividend Paid 0 0 %
   
Key Balance Sheet Fields
Period 31_Mar_2023 31-Mar-22 Growth
Common Stock 1.33 1.33 0 %
Current Liabilities 100.43 112.64 10.84 %
Total Liabilities 139.29 159.53 12.69 %
Current Assets 161.95 169.06 4.21 %
Total Assets 286.71 295.75 3.06 %
Working capital 61.52 56.42 9.04 %
Accounts Payable 15.48 25.14 38.42 %
Inventory 46.41 53.49 13.24 %
Net Receivable 70.69 86.01 17.81 %
   
Key Cash Flow Fields
Period 31_Mar_2023 31_Mar_2022 Growth
Cash EPS 104.61 136.20 23.19 %
Cash From Investment Activity 0 -38.34 100.00 %
Cash From Financial Activity 0 23.38 100.00 %
Cash Operational Activity 0 1.52 100.00 %
Net Cash Flow 0 -13.44 100.00 %
NetIncome 13.95 5.76 142.19 %
Capital Expenditure 0 24.05 100.00 %
Change To Inventory 0 -10.14 100.00 %
   



   About GRP Limited
GRP Limited manufactures and sells reclaimed rubber products for tire and non-tire rubber goods in India and internationally. The company operates through Reclaim Rubber and Others segments. It offers reclaimed natural and synthetic rubber products for use in inner liners and tubes, tire side walls and piles, tire treads and retreads, conveyor belts, molded goods, adhesives, and footwear, as well as rubber mattings, profiles, and roofing; and POLYCOAT, an elastic powder in compounded form, which is used in NBR based molded products, metal to rubber bonded parts, NBR based oil seals, NBR matting/sheeting, NBR-PVC blend, tires, conveyor belt, molded products, matting/sheeting, tread rubber, seals/gaskets, and flaps applications. The company also provides industrial polymers comprising glass filled and unfilled reprocessed nylon 6 and modified nylon 6,6 used in automotive, electrical and electronics, consumer goods, and industrial applications; and custom die forms consisting of link, door, and industrial mats, as well as dock bumpers primarily for use in civil and agricultural industries. In addition, it generates power from windmill; offers engineering plastics and polymer composite products; and develops poly-blends and thermoplastic elastomers. The company was formerly known as Gujarat Reclaim and Rubber Products Limited and changed its name to GRP Limited in June 2012. GRP Limited was incorporated in 1974 and is headquartered in Mumbai, India.

Address : Kohinoor City Commercial I, Mumbai, India, 400070

URL : https://www.grpweb.com
Financial Ratios Overview

About TSR TECH Strength / Valuation / Growth

TSR Tech Strength is based on Deep Analysis, Back Testing and Historical Trend Analysis using Machine Learning. Overall Technical Strength is based on 50+ indicators including Technicals, Moving Avg, Chart Patterns, Candlestick and proprietary algorithms.Technical Strength is calculate from 5 Mins Tick to One Month Tick.

TSR Growth analyses dozen of Historical , MRQ, TTM Parameters, Returns of Individual Stocks vis-a-vis sector , broad based Index to access Growth Potential.

TSR Value analyses dozen of Historical , MRQ, TTM Parameters, Returns of Individual Stocks vis-a-vis sector , broad based Index to access its value.

This is an automated process and in NO WAY should be considered as a tip as its based on past data. We strongly recommend to use these signals for information only and seek advise from a certified professional for any trading decision.If you like it then please share. The more the visitors the more the innovations. Feedback

We are working on fundamental strength also. Please share your views to help shape up the requirement.