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Power Mech Projects Ltd.

BSE: 539302 | NSE: POWERMECH | Series: NA | ISIN: INE211R01019 | SECTOR: Infrastructure - General

BSE Live

May 22, 15:56
321.15 -8.10 (-2.46%)
Volume
AVERAGE VOLUME
5-Day
738
10-Day
731
30-Day
2,051
222
  • Prev. Close

    329.25

  • Open Price

    320.20

  • Bid Price (Qty.)

    318.75 (25)

  • Offer Price (Qty.)

    339.05 (10)

NSE Live

May 22, 15:53
322.00 -4.95 (-1.51%)
Volume
AVERAGE VOLUME
5-Day
13,527
10-Day
14,914
30-Day
19,274
6,723
  • Prev. Close

    326.95

  • Open Price

    329.90

  • Bid Price (Qty.)

    322.00 (103)

  • Offer Price (Qty.)

    0.00 (0)

Financials

2019 2018 2017 2016 2015
Key Financial Ratios of Power Mech Projects (in Rs. Cr.) Mar '19 Mar '18 Mar '17 Mar '16 Mar '15  
Investment Valuation Ratios  
Face Value 10.00 10.00 10.00 10.00 10.00  
Dividend Per Share -- -- -- -- --  
Operating Profit Per Share (Rs) 197.67 137.50 112.79 123.69 132.72  
Net Operating Profit Per Share (Rs) 1,537.17 1,052.18 909.68 936.87 1,085.79  
Free Reserves Per Share (Rs) -- -- -- -- --  
Bonus in Equity Capital 7.34 7.34 7.34 7.34 8.58  
Profitability Ratios  
Operating Profit Margin(%) 12.85 13.06 12.39 13.20 12.22  
Profit Before Interest And Tax Margin(%) 10.76 10.25 9.28 10.33 9.49  
Gross Profit Margin(%) 10.83 10.30 9.34 10.37 9.53  
Cash Profit Margin(%) 8.23 8.61 7.80 8.23 7.89  
Adjusted Cash Margin(%) 8.23 8.61 7.80 8.23 7.89  
Net Profit Margin(%) 5.37 5.13 4.83 5.44 5.22  
Adjusted Net Profit Margin(%) 5.34 5.11 4.80 5.43 5.20  
Return On Capital Employed(%) 22.41 17.08 16.56 19.32 23.00  
Return On Net Worth(%) 14.84 11.46 10.41 13.56 20.12  
Adjusted Return on Net Worth(%) 17.28 13.12 10.31 13.51 20.17  
Return on Assets Excluding Revaluations 562.52 484.18 423.75 377.62 281.91  
Return on Assets Including Revaluations 562.52 484.18 423.75 377.62 281.91  
Return on Long Term Funds(%) 29.66 22.88 20.83 25.76 34.75  
Liquidity And Solvency Ratios  
Current Ratio 1.36 1.31 1.32 1.18 0.99  
Quick Ratio 2.10 2.22 1.97 1.97 1.62  
Debt Equity Ratio 0.41 0.39 0.29 0.38 0.67  
Long Term Debt Equity Ratio 0.07 0.04 0.02 0.04 0.10  
Debt Coverage Ratios  
Interest Cover 4.70 4.63 4.03 4.51 4.62  
Total Debt to Owners Fund 0.41 0.39 0.29 0.38 0.67  
Financial Charges Coverage Ratio 5.54 5.83 5.27 5.69 5.87  
Financial Charges Coverage Ratio Post Tax 4.04 4.41 4.21 4.46 4.68  
Management Efficiency Ratios  
Inventory Turnover Ratio 24.39 32.78 30.63 44.05 42.57  
Debtors Turnover Ratio 6.48 5.13 4.72 5.90 7.93  
Investments Turnover Ratio 1.96 1.59 30.63 44.05 42.57  
Fixed Assets Turnover Ratio 6.66 4.90 4.82 5.91 4.02  
Total Assets Turnover Ratio 1.95 1.57 1.67 1.80 2.32  
Asset Turnover Ratio 2.10 1.73 1.70 2.03 2.65  
Average Raw Material Holding -- -- -- -- --  
Average Finished Goods Held -- -- -- -- --  
Number of Days In Working Capital -26.94 -28.65 -46.57 -46.10 -2.01  
Profit & Loss Account Ratios  
Material Cost Composition 14.43 12.68 9.30 8.30 5.63  
Imported Composition of Raw Materials Consumed -- -- -- -- --  
Selling Distribution Cost Composition -- -- -- -- --  
Expenses as Composition of Total Sales 6.64 4.72 16.37 12.32 6.13  
Cash Flow Indicator Ratios  
Dividend Payout Ratio Net Profit 1.45 2.21 -- 4.37 2.16  
Dividend Payout Ratio Cash Profit 1.05 1.44 -- 2.87 1.42  
Earning Retention Ratio 98.76 98.07 100.00 95.62 97.85  
Cash Earning Retention Ratio 99.06 98.69 100.00 97.12 98.58  
AdjustedCash Flow Times 1.79 2.05 1.71 1.87 2.18  
Source : Dion Global Solutions Limited