Annual sales of the company is increased for three years in a row
Annual Net Profit in last 3 years is trending up
Steady increase in Total Assets for last 3 Years
EBITDA is continuously increasing for last 3 Years
Company financial liquidity has improved
Good Return on Equity of 18.03% is achieved by the company
Good Net Margin of 14.30% is achieved by the company
Risky View
Tsr Profitability Index - Very Poor Score of 19.38
Quarterly sales in last 5 Quarter is trending down
EPS decline for last four quarters
Negative Net Margin MRQ
Terrific Steady Risky Stock View - Fundamental Snapshot
Share Overview
Promoter Owned
52.50 %
Institution Owned
15.70 %
Public/Others
31.80 %
Outstanding Shares
62.05 Cr
Floating Shares
25.71 Cr
Floating / Outstanding
41.44%
Book Value/Share
63.29
Face value
2.00
Share Holding
Annual Key Income Statement of FINPIPE
Period
31_Mar_2022
31_Mar_2021
Growth
Net Income From Continuing Ops
1052.80
721.60
45.90 %
Net Income
1051.33
737.79
42.50 %
Operating Income
926.24
904.32
2.42 %
Total Revenue
4647.32
3462.82
34.21 %
Operating Expense
3721.08
2558.50
45.44 %
Interest Expense
14.09
7.27
93.81 %
Tax Expense
331.73
254.27
30.46 %
Income Before tax
1384.53
975.87
41.88 %
Gross Profit
1798.26
1376.83
30.61 %
Dividend Paid
-124.09
-4.18
2868.66 %
Quarterly Key Income Statement of FINPIPE
Period
30_Sep_2022
30_Jun_2022
Growth
Net Income From Continuing Ops
-94.73
99.22
195.47 %
Net Income
-95.38
99.22
196.13 %
Operating Income
-164.23
104.57
257.05 %
Total Revenue
941.13
1189.81
20.90 %
Operating Expense
1083.80
1085.24
0.133 %
Interest Expense
4.31
11.33
61.96 %
Tax Expense
-34.98
17.70
297.63 %
Income Before tax
-129.71
116.92
210.94 %
Gross Profit
88.32
389.95
77.35 %
Dividend Paid
-248.19
0
%
Key Balance Sheet Fields
Period
31_Mar_2022
31-Mar-21
Growth
Common Stock
124.10
124.10
0 %
Current Liabilities
1198.85
936.16
28.06 %
Total Liabilities
1417.56
1154.92
22.74 %
Current Assets
3045.96
1987.85
53.23 %
Total Assets
5345.37
4293.88
24.49 %
Working capital
1847.11
1051.69
75.63 %
Accounts Payable
463.08
395.21
17.17 %
Inventory
1015.47
918.82
10.52 %
Net Receivable
334.46
147.98
126.02 %
Key Cash Flow Fields
Period
31_Mar_2022
31_Mar_2021
Growth
Cash EPS
18.31
12.88
42.16 %
Cash From Investment Activity
-440.34
-876.57
49.77 %
Cash From Financial Activity
-189.50
-90.30
109.86 %
Cash Operational Activity
621.99
940.98
33.90 %
Net Cash Flow
-7.85
-25.89
69.68 %
NetIncome
1051.33
737.79
42.50 %
Capital Expenditure
84.41
64.91
30.04 %
Change To Inventory
-96.66
-61.01
58.43 %
About Finolex Industries Limited Finolex Industries Limited manufactures and sells polyvinyl chloride (PVC) pipes and fittings, and PVC resins in India. It operates in two segments, PVC Resin and PVC Pipes and Fittings. The company offers agriculture pipes and fittings; column pipes; casing pipes; solvent cement and lubricants; ASTM plumbing pipes and fittings; chlorinated PVC pipes and fittings; SWR pipes and fittings; sewerage pipes; and solvent cement lubricant and primer. It distributes its products through dealers and retail outlets. Finolex Industries Limited was founded in 1956 and is headquartered in Pune, India.
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