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Wim Plast Ltd. Company Financial Ratios Analysis
(Rs in Cr.) |
Mar 31, 2023 |
Mar 31, 2022 |
Mar 31, 2021 |
Mar 31, 2020 |
Mar 31, 2019 |
|
PER SHARE RATIOS |
Adjusted EPS (Rs.) |
33.98 |
29.44 |
26.91 |
37.72 |
32.71 |
Adjusted Cash EPS (Rs.) |
45.87 |
42.99 |
41.87 |
53.13 |
46.72 |
Reported EPS (Rs.) |
33.98 |
29.44 |
26.91 |
37.72 |
32.71 |
Reported Cash EPS (Rs.) |
45.87 |
42.99 |
41.87 |
53.13 |
46.72 |
Dividend Per Share |
8.50 |
8.00 |
5.00 |
7.00 |
7.00 |
Operating Profit Per Share (Rs.) |
48.77 |
44.23 |
44.77 |
55.86 |
62.04 |
Book Value (Excl Rev Res) Per Share (Rs.) |
369.54 |
343.86 |
319.18 |
292.35 |
271.61 |
Book Value (Incl Rev Res) Per Share (Rs.) |
369.54 |
343.86 |
319.18 |
292.35 |
271.61 |
Net Operating Income Per Share (Rs.) |
274.44 |
263.89 |
217.89 |
264.17 |
293.26 |
Free Reserves Per Share (Rs.) |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
|
PROFITABILITY RATIOS |
Operating Margin (%) |
17.76 |
16.76 |
20.54 |
21.14 |
21.15 |
Adjusted Cash Margin (%) |
16.20 |
15.74 |
18.69 |
19.62 |
15.84 |
Adjusted Return On Net Worth (%) |
9.19 |
8.56 |
8.43 |
12.90 |
12.04 |
Reported Return On Net Worth (%) |
9.19 |
8.56 |
8.43 |
12.90 |
12.04 |
Return On long Term Funds (%) |
12.29 |
11.58 |
11.23 |
16.08 |
18.25 |
|
LEVERAGE RATIOS |
Long Term Debt / Equity |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
Owners fund as % of total Source |
100.00 |
100.00 |
100.00 |
100.00 |
100.00 |
Fixed Assets Turnover Ratio |
0.77 |
0.80 |
0.71 |
0.94 |
1.13 |
|
LIQUIDITY RATIOS |
Current Ratio |
5.92 |
6.41 |
4.79 |
5.18 |
5.02 |
Current Ratio (Inc. ST Loans) |
5.92 |
6.41 |
4.79 |
5.18 |
5.02 |
Quick Ratio |
3.77 |
2.98 |
2.12 |
2.32 |
2.46 |
Fixed Assets Turnover Ratio |
0.77 |
0.80 |
0.71 |
0.94 |
1.13 |
|
PAYOUT RATIOS |
Dividend payout Ratio (Net Profit) |
17.43 |
11.62 |
0.00 |
26.35 |
14.98 |
Dividend payout Ratio (Cash Profit) |
17.43 |
11.62 |
0.00 |
26.35 |
14.98 |
Earning Retention Ratio |
76.46 |
83.02 |
100.00 |
62.89 |
78.60 |
Cash Earnings Retention Ratio |
82.57 |
88.38 |
100.00 |
73.65 |
85.02 |
|
COVERAGE RATIOS |
Adjusted Cash Flow Time Total Debt |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
Financial Charges Coverage Ratio |
625.64 |
301.24 |
341.71 |
304.33 |
457.71 |
Fin. Charges Cov.Ratio (Post Tax) |
501.58 |
243.63 |
282.58 |
259.93 |
337.18 |
|
COMPONENT RATIOS |
Material Cost Component(% earnings) |
58.30 |
60.26 |
54.79 |
55.28 |
57.95 |
Selling Cost Component |
0.00 |
0.68 |
0.42 |
0.00 |
0.65 |
Exports as percent of Total Sales |
0.15 |
1.30 |
0.61 |
1.10 |
1.18 |
Import Comp. in Raw Mat. Consumed |
0.00 |
0.00 |
0.00 |
0.00 |
0.00 |
Long term assets / Total Assets |
0.48 |
0.57 |
0.56 |
0.55 |
0.48 |
Bonus Component In Equity Capital (%) |
49.99 |
49.99 |
49.99 |
49.99 |
49.99 |