Financial Projection of Surgecial Equipments
Financial Projection of Surgecial Equipments
Financial Projection of Surgecial Equipments
Ltd
4 Registration No.
8 Consolidated/Unconsolidated UNCONSOLIDATED
9 Currency NPR
11 Repayment
A. Over Draft (Working Capital Loan) At the end of 10th Year
B. Term Loan Quarterly
Surgical Equipments
Units
Other Pharmacueticals
Quality & Standards As per Customers Specification
Expected Maximum Sales Amount (Rs.) 296996785.45
Expected Minimum Sales Amount (Rs.) 148498392.73
Gross Margin (Average) 39%
Net Margin (Average) 22%
Basic Assumptions
1. This report is worked out on the basis of present sales value status and expected future sales status.
2. The machinery and equipment are of standard make.
3. The cost of materials and other expenditure is approximate and based on current market rates.
Key Assumptions
1. Operating Cost Assumptions
Description Details
Electricity Semi-Variable
Indirect Employees (including benefits) Semi-Variable
Repairs & maintenance Semi-Variable
Business Promotion/Social Expenses Semi-Variable
Insurance Costs Fixed
Financial Costs Fixed
Lease Rent Fixed
Repairs & maintenance Fixed
Supervision Fixed
Depreciation As pescribed by Income Tax
2.Revenue Assumptions
Starting Capacity Utilization 50%
Maximum Capacity Utilization 100%
3.Financial Assumptions
Project Life (Years) 10Years
Debt: Equity 2:1
Interest Rate on Debt 12%
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Balance Sheet (Assets)
Projected (Years)
Particulars
0 1 2 3 4 5 6
Current Assets:
Intangible Assets
Abhishek Surgical Suppliers Pvt. Ltd Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal Kathmandu, Nepal
Balance Sheet (Assets)
Projected (Years)
Particulars
7 8 9 10
Current Assets:
Intangible Assets
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Total Non Current Assets + Intangibles (B) - 35,069,445 29,810,699 25,593,515 21,587,191 17,781,182 14,165,474
Overdraft and Short Term Debt - 20,000,000 20,000,000 20,000,000 20,000,000 20,000,000 20,000,000
Trade Creditors - 6,427,731 7,713,277 8,998,823 10,284,370 11,569,916 12,855,462
Proposed Dividend - 2,000,000 - - - - -
Total Current Liabilities - 28,427,731 27,713,277 28,998,823 30,284,370 31,569,916 32,855,462
Non-Current External Debt (A) - 12,291,178 25,000,000 25,000,000 25,000,000 25,000,000 25,000,000
Net Worth:
Equity - 10,000,000
General Reserve - 8,181,776 25,540,631 48,075,081 75,162,100 106,793,779 142,962,606
Abhishek Surgical Suppliers Pvt. Ltd Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal Kathmandu, Nepal
Net Worth:
Equity
General Reserve 179,267,022 215,700,248 252,255,844 288,927,689
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Total Net Worth + Liabilities - 58,900,685 78,253,908 102,073,905 130,446,469 163,363,694 200,818,068
Abhishek Surgical Suppliers Pvt. Ltd Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal Kathmandu, Nepal
Net Sales/Revenue/Income
Gross Sales/Revenue/Income 110,189,674.29 132,227,609.14 154,265,544.00 176,303,478.86 198,341,413.71 220,379,348.57 220,379,348.57
Less: Cost of Goods Sold 74,102,555.96 88,923,067.15 103,743,578.34 118,564,089.53 133,384,600.72 148,205,111.91 148,205,111.91
Purchase of goods 77,132,772.00 92,559,326.40 107,985,880.80 123,412,435.20 138,838,989.60 154,265,544.00 154,265,544.00
Direct costs 5,509,483.71 6,611,380.46 7,713,277.20 8,815,173.94 9,917,070.69 11,018,967.43 11,018,967.43
Other Contingent Expenses 1,101,896.74 1,322,276.09 1,542,655.44 1,763,034.79 1,983,414.14 2,203,793.49 2,203,793.49
Less: Closing Stock (9,641,596.50) (11,569,915.80) (13,498,235.10) (15,426,554.40) (17,354,873.70) (19,283,193.00) (19,283,193.00)
Total Operating Expenses 13,542,462.65 14,900,655.24 16,258,847.83 17,617,040.42 18,975,233.01 20,333,425.61 20,333,425.61
Profit Before Int., Depreciation & Tax 22,544,655.68 28,403,886.75 34,263,117.83 40,122,348.90 45,981,579.98 51,840,811.05 51,840,811.05
Depreciation 6,568,955.00 5,258,746.25 4,217,183.69 4,006,324.50 3,806,008.28 3,615,707.86 3,434,922.47
Profit Before Interest & Taxes 15,975,700.68 23,145,140.50 30,045,934.14 36,116,024.40 42,175,571.70 48,225,103.19 48,405,888.58
Interest on Loan (Long Term & Short Term) 2,400,000.00 - - - - - -
Profit Before Tax (PBT) 13,575,700.68 23,145,140.50 30,045,934.14 36,116,024.40 42,175,571.70 48,225,103.19 48,405,888.58
Income Tax @ 25% 3,393,925.17 5,786,285.13 7,511,483.54 9,029,006.10 10,543,892.92 12,056,275.80 12,101,472.15
Profit After Tax (PAT) 10,181,775.51 17,358,855.38 22,534,450.61 27,087,018.30 31,631,678.77 36,168,827.39 36,304,416.44
Accumulated Profit 10,181,775.51 25,540,630.89 48,075,081.49 75,162,099.79 106,793,778.57 142,962,605.96 179,267,022.39
Dividend 2,000,000.00 - - - - - -
Accumulated Profit after Dividend 8,181,775.51 25,540,630.89 48,075,081.49 75,162,099.79 106,793,778.57 142,962,605.96 179,267,022.39
Net Sales/Revenue/Income
Gross Sales/Revenue/Income 220,379,348.57 220,379,348.57 220,379,348.57
Less: Cost of Goods Sold 148,205,111.91 148,205,111.91 148,205,111.91
Purchase of goods 154,265,544.00 154,265,544.00 154,265,544.00
Direct costs 11,018,967.43 11,018,967.43 11,018,967.43
Other Contingent Expenses 2,203,793.49 2,203,793.49 2,203,793.49
Less: Closing Stock (19,283,193.00) (19,283,193.00) (19,283,193.00)
Proje
Particulars
1 2 3 4
Cash Flow from Operating Activities
Net Profit before Interest, Depreciation & Tax 22,544,655.68 28,403,886.75 34,263,117.83 40,122,348.90
Profit/(Loss) before Working Capital Changes
(Increase)/Decrease in Current Assets (33,883,324.84) (6,776,664.97) (6,776,664.97) (6,776,664.97)
Increase/(Decrease) in Current Liabilities 28,427,731.00 (714,453.80) 1,285,546.20 1,285,546.20
Less:Income Tax Paid (3,393,925.17) (5,786,285.13) (7,511,483.54) (9,029,006.10)
Net Cash Flow from Operating Activities ( A ) 13,695,136.67 15,126,482.86 21,260,515.52 25,602,224.03
Projected (Years)
Particulars
5 6 7 8
Cash Flow from Operating Activities
Net Profit before Interest, Depreciation & Tax 45,981,579.98 51,840,811.05 51,840,811.05 51,840,811.05
Profit/(Loss) before Working Capital Changes
(Increase)/Decrease in Current Assets (6,776,664.97) (6,776,664.97) - -
Increase/(Decrease) in Current Liabilities 1,285,546.20 1,285,546.20 - -
Less:Income Tax Paid (10,543,892.92) (12,056,275.80) (12,101,472.15) (12,144,408.68)
Net Cash Flow from Operating Activities ( A ) 29,946,568.28 34,293,416.49 39,739,338.91 39,696,402.38
Projected (Years)
Particulars
9 10
Cash Flow from Operating Activities
Net Profit before Interest, Depreciation & Tax 51,840,811.05 51,840,811.05
Profit/(Loss) before Working Capital Changes
(Increase)/Decrease in Current Assets - -
Increase/(Decrease) in Current Liabilities - -
Less:Income Tax Paid (12,185,198.38) (12,223,948.60)
Net Cash Flow from Operating Activities ( A ) 39,655,612.67 39,616,862.45
Cost of Operation
Period(Years)
Particulars
1 2 3 4 5 6 7
1. Direct Overhead 83,744,152.46 100,492,982.95 117,241,813.44 133,990,643.93 150,739,474.42 167,488,304.91 167,488,304.91
Purchase of goods 77,132,772.00 92,559,326.40 107,985,880.80 123,412,435.20 138,838,989.60 154,265,544.00 154,265,544.00
Direct costs 5,509,483.71 6,611,380.46 7,713,277.20 8,815,173.94 9,917,070.69 11,018,967.43 11,018,967.43
Other Contingent Expenses 1,101,896.74 1,322,276.09 1,542,655.44 1,763,034.79 1,983,414.14 2,203,793.49 2,203,793.49
2. Admistrative Overhead 10,787,720.79 11,594,965.01 12,402,209.23 13,209,453.45 14,016,697.67 14,823,941.89 14,823,941.89
Electricity 550,948.37 661,138.05 771,327.72 881,517.39 991,707.07 1,101,896.74 1,101,896.74
Indirect Employees (including benefits) 3,305,690.23 3,966,828.27 4,627,966.32 5,289,104.37 5,950,242.41 6,611,380.46 6,611,380.46
Insurance Costs 359,165.00 359,165.00 359,165.00 359,165.00 359,165.00 359,165.00 359,165.00
Lease Rent 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00
Other Overhead 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97
Repairs & maintenance 179,582.50 215,499.00 251,415.50 287,332.00 323,248.50 359,165.00 359,165.00
Supervision 771,327.72 771,327.72 771,327.72 771,327.72 771,327.72 771,327.72 771,327.72
3. Operating Cost (1+2) 94,531,873.25 112,087,947.96 129,644,022.67 147,200,097.38 164,756,172.09 182,312,246.81 182,312,246.81
4. Business Promotion Exp. 2,754,741.86 3,305,690.23 3,856,638.60 4,407,586.97 4,958,535.34 5,509,483.71 5,509,483.71
5. Depreciation & Amortisation 6,568,955.00 5,258,746.25 4,217,183.69 4,006,324.50 3,806,008.28 3,615,707.86 3,434,922.47
6. Financial Cost 2,400,000.00 - - - - - -
7. Total Cost (3+4+5+6) 106,255,570.11 120,652,384.44 137,717,844.96 155,614,008.86 173,520,715.72 191,437,438.38 191,256,652.99
hishek Surgical Suppliers Pvt. Ltd Abhishek Surgical Suppliers Pvt. L
Kathmandu, Nepal Kathmandu, Nepal
Annexure 8
Cost of Operation Cost of Operation
Period(Years)
Particulars
8 9 10
1. Direct Overhead 167,488,304.91 167,488,304.91 167,488,304.91
Purchase of goods 154,265,544.00 154,265,544.00 154,265,544.00
Direct costs 11,018,967.43 11,018,967.43 11,018,967.43
Other Contingent Expenses 2,203,793.49 2,203,793.49 2,203,793.49
2. Admistrative Overhead 14,823,941.89 14,823,941.89 14,823,941.89
Electricity 1,101,896.74 1,101,896.74 1,101,896.74
Indirect Employees (including benefits) 6,611,380.46 6,611,380.46 6,611,380.46
Insurance Costs 359,165.00 359,165.00 359,165.00
Lease Rent 1,213,420.00 1,213,420.00 1,213,420.00
Other Overhead 4,407,586.97 4,407,586.97 4,407,586.97
Repairs & maintenance 359,165.00 359,165.00 359,165.00
Supervision 771,327.72 771,327.72 771,327.72
3. Operating Cost (1+2) 182,312,246.81 182,312,246.81 182,312,246.81
4. Business Promotion Exp. 5,509,483.71 5,509,483.71 5,509,483.71
5. Depreciation & Amortisation 3,263,176.35 3,100,017.53 2,945,016.65
6. Financial Cost - - -
7. Total Cost (3+4+5+6) 191,084,906.87 190,921,748.05 190,766,747.17
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Total Sales Revenue 100% 220,379,348.57 110,189,674.29 132,227,609.14 154,265,544.00 176,303,478.86 198,341,413.71
Add: Closing Stock 9,641,596.50 11,569,915.80 13,498,235.10 15,426,554.40 17,354,873.70
A. Variable Costs
Purchase of goods 70% 154,265,544.00 77,132,772.00 92,559,326.40 107,985,880.80 123,412,435.20 138,838,989.60
Direct costs 5% 11,018,967.43 5,509,483.71 6,611,380.46 7,713,277.20 8,815,173.94 9,917,070.69
Other Contingent Expenses 1% 2,203,793.49 1,101,896.74 1,322,276.09 1,542,655.44 1,763,034.79 1,983,414.14
C. Fixed Costs
Depreciation 5,258,746.25 6,568,955.00 5,258,746.25 4,217,183.69 4,006,324.50 3,806,008.28
Electricity 0.5% 1,101,896.74 400,000.00 400,000.00 400,000.00 400,000.00 400,000.00
Indirect Employees (including benefits) 3% 6,611,380.46 1,600,000.00 1,600,000.00 1,600,000.00 1,600,000.00 1,600,000.00
Insurance Costs 1% 359,165.00 359,165.00 359,165.00 359,165.00 359,165.00 359,165.00
Financial Costs 12% 2,400,000.00 2,400,000.00 - - - -
Lease Rent 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00 1,213,420.00
Other Overhead 2% 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97 4,407,586.97
Repairs & maintenance 1% 359,165.00 145,000.00 145,000.00 145,000.00 145,000.00 145,000.00
Supervision 1% 771,327.72 771,327.72 771,327.72 771,327.72 771,327.72 771,327.72
Business Promotion/Social Expenses 3% 5,509,483.71 3,000,000.00 3,000,000.00 3,000,000.00 3,000,000.00 3,000,000.00
If Project cost decrease If revenue Increase by If revenue Decrease by If Direct cost Increase
by 5 % 5% 5% by 5%
100,942,791.60 115,699,158.00 104,680,190.57 87,931,360.08
72% 80% 63% 80%
1.90 2.10 1.66 2.10
178303824.183817 197,072,647.78 156,015,846.16 197,072,647.78
Year 7 Year 8 Year 9 Year 10
220,379,348.57 220,379,348.57 220,379,348.57 220,379,348.57
167,488,304.91 167,488,304.91 167,488,304.91 167,488,304.91
52,891,043.66 52,891,043.66 52,891,043.66 52,891,043.66
23,768,348.08 23,596,601.95 23,433,443.14 23,278,442.26
- - - -
29,122,695.58 29,294,441.70 29,457,600.52 29,612,601.40
Payback Period 2
Years
Net Present Value in 10 Years 187,688,235.98
Internal Rate 76%
Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Annexure 10
ENT VALUE AND INTERNAL RATE OF RETURN
Projected (Years)
6 7 8 9 10
51,840,811.05 51,840,811.05 51,840,811.05 51,840,811.05 51,840,811.05
- - - - -
(3,615,707.86) (3,434,922.47) (3,263,176.35) (3,100,017.53) (2,945,016.65)
48,225,103.19 48,405,888.58 48,577,634.70 48,740,793.52 48,895,794.40
12,056,275.80 12,101,472.15 12,144,408.68 12,185,198.38 12,223,948.60
36,168,827.39 36,304,416.44 36,433,226.03 36,555,595.14 36,671,845.80
3,615,707.86 3,434,922.47 3,263,176.35 3,100,017.53 2,945,016.65
- - - - -
39,784,535.25 39,739,338.91 39,696,402.38 39,655,612.67 39,616,862.45
- - - - -
(5,491,118.77) - - - -
(5,491,118.77) - - - -
34,293,416.49 39,739,338.91 39,696,402.38 39,655,612.67 39,616,862.45
0.51 0.45 0.40 0.36 0.32
17,373,044.79 17,974,102.99 16,033,376.92 14,299,813.93 12,756,629.71
74,055,922.73 92,030,025.72 108,063,402.64 122,363,216.57 135,119,846.28
1.00 1.00 1.00 1.00 1.00
Term Loan
Annual Interest Rate 12%
Years 10.00
Payments Per Year 4.00
Amount 0.00
Period(Years)
Particulars
1 2 3 4 5 6 7 8 9
Interest - - - - - - - - -
Principal - - - - - - - - -
Annexure 6
Period(Years)
10
-
-
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
Details of Assets
Annexure 5
Assets Type Quantity Amount Total Amount
Land & Buildings -
Land 1 - -
Building 1 - -
10,200.00
18,000.00
7,800.00
42,000.00
24,000.00
22,800.00
15,000.00
10,800.00
18,000.00
18,000.00
9,000.00
33,600.00
18,000.00
11,400.00
11,400.00
15,000.00
54,000.00
21,000.00
102,000.00
54,000.00
54,000.00
21,600.00
135,000.00
450,000.00
388,800.00
9,000.00
38,880.00
5,400.00
27,000.00
450,000.00
216,000.00
18,000.00
30,000.00
38,400.00
10,800.00
14,400.00
21,000.00
21,000.00
9,600.00
12,600.00
14,100.00
13,200.00
8,400.00
9,000.00
14,400.00
24,000.00
30,000.00
6,000.00
30,000.00
48,000.00
36,000.00
12,096.00
16,128.00
12,096.00
14,400.00
23,040.00
43,200.00
2,640.00
2,880.00
36,000.00
5,760.00
4,560.00
5,040.00
8,640.00
6,000.00
264,000.00
7,200.00
4,800.00
72,000.00
120,000.00
3,120.00
90,000.00
150,000.00
198,000.00
78,000.00
78,000.00
78,000.00
22,200.00
18,000.00
30,000.00
54,000.00
57,600.00
78,000.00
26,400.00
25,800.00
21,600.00
42,000.00
54,000.00
33,600.00
38,400.00
54,000.00
264,000.00
21,600.00
26,400.00
102,000.00
300,000.00
9,000.00
30,000.00
29,160.00
14,040.00
43,200.00
25,920.00
4,320.00
43,200.00
51,840.00
16,200.00
75,600.00
72,000.00
36,000.00
2,700.00
2,340.00
9,000.00
24,000.00
15,000.00
9,000.00
6,600.00
5,400.00
3,900.00
1,200.00
900.00
23,040.00
23,040.00
28,800.00
28,800.00
30,000.00
45,000.00
105,000.00
195,000.00
90,000.00
72,000.00
52,500.00
6,000.00
720.00
864.00
720.00
21,600.00
21,600.00
26,400.00
115,200.00
134,400.00
48,960.00
16,800.00
105,600.00
168,000.00
264,000.00
408,000.00
648,000.00
1,680,000.00
21,600.00
120,000.00
240.00
7,200.00
5,760.00
28,800.00
18,144.00
24,000.00
4,800.00
18,144.00
15,600.00
11,520.00
3,060.00
126.00
3,240.00
9,000.00
7,200.00
12,600.00
15,120.00
25,920.00
47,520.00
108,000.00
18,000.00
3,240.00
34,200.00
10,080.00
18,720.00
1,980.00
25,920.00
4,500.00
1,440.00
15,120.00
25,920.00
12,960.00
64,800.00
19,440.00
21,600.00
23,760.00
57,600.00
25,920.00
43,200.00
1,728.00
3,060.00
19,800.00
6,660.00
8,100.00
4,860.00
4,860.00
4,860.00
4,860.00
5,940.00
5,580.00
5,940.00
4,860.00
4,860.00
9,900.00
6,660.00
6,660.00
12,000.00
30,000.00
54,000.00
66,000.00
42,000.00
6,600.00
10,200.00
4,200.00
23,400.00
4,860.00
12,600.00
12,600.00
27,000.00
1,980.00
54,000.00
54,000.00
7,920.00
6,300.00
54,000.00
900.00
3,960.00
11,750,046.00
S.N PRODUCT NAME SIZE RATE (INR)
Total
Total of cost
No of items
Per unit Avg. cost
TOTAL+ SUPER MARKETING
RATE (NPR) C.C. RATE % CUSTOMS % TOTAL FINAL RATE
MARGIN 20% EXP.+10%
Total
100.00 103,600.00
100.00 21,300.00
100.00 31,800.00
100.00 21,300.00
100.00 64,100.00
100.00 84,900.00
100.00 33,100.00
100.00 53,200.00
100.00 71,000.00
100.00 157,700.00
100.00 57,500.00
100.00 63,900.00
100.00 36,500.00
100.00 55,200.00
100.00 59,100.00
100.00 46,400.00
100.00 46,400.00
100.00 56,800.00
100.00 25,100.00
100.00 28,600.00
100.00 12,800.00
100.00 30,600.00
100.00 46,100.00
100.00 35,600.00
100.00 22,600.00
100.00 20,800.00
100.00 20,800.00
100.00 16,700.00
100.00 64,600.00
100.00 24,900.00
100.00 49,800.00
100.00 78,100.00
100.00 26,700.00
100.00 48,400.00
100.00 23,800.00
100.00 13,700.00
100.00 19,000.00
100.00 7,600.00
100.00 41,300.00
100.00 7,600.00
100.00 6,000.00
100.00 7,600.00
100.00 9,900.00
100.00 11,900.00
100.00 15,800.00
100.00 102,500.00
100.00 118,200.00
100.00 79,000.00
100.00 110,400.00
100.00 141,900.00
100.00 8,900.00
100.00 54,800.00
100.00 73,300.00
100.00 187,300.00
100.00 141,900.00
100.00 130,100.00
100.00 83,800.00
100.00 98,600.00
100.00 59,100.00
100.00 80,800.00
100.00 12,800.00
100.00 23,800.00
100.00 69,400.00
100.00 88,800.00
100.00 98,600.00
100.00 108,400.00
100.00 88,800.00
100.00 49,300.00
100.00 21,700.00
100.00 25,600.00
100.00 43,400.00
100.00 17,800.00
100.00 27,600.00
100.00 29,700.00
100.00 83,800.00
100.00 74,000.00
100.00 21,700.00
100.00 68,000.00
100.00 118,200.00
100.00 53,200.00
100.00 98,600.00
100.00 44,300.00
100.00 32,600.00
100.00 53,700.00
100.00 55,700.00
100.00 55,700.00
100.00 244,000.00
100.00 144,200.00
100.00 32,700.00
100.00 56,800.00
100.00 35,600.00
100.00 24,700.00
100.00 11,900.00
100.00 15,800.00
100.00 29,700.00
100.00 35,600.00
100.00 12,200.00
100.00 14,400.00
100.00 12,500.00
100.00 33,500.00
100.00 1,000.00
100.00 7,200.00
100.00 9,600.00
100.00 21,900.00
100.00 24,200.00
100.00 29,000.00
100.00 31,300.00
100.00 33,800.00
100.00 38,400.00
100.00 103,600.00
100.00 107,000.00
100.00 113,000.00
100.00 123,700.00
100.00 150,800.00
100.00 174,500.00
6,388,600.00
LC 2 cr
OD 4 cr
Abhishek Surgical Suppliers Pvt. Ltd
Kathmandu, Nepal
PURCHASE
Total 154,265,544.00
8381%
152%
55.14
ROE
-
-
-
7.83%
-
-
-
-
-
-
-
11.38%
-
-
20.92%
-
-
-
-
15.68%
-
2.62%
-
-
4.94%
39.36%
-
8.21%
-
18.44%
-
23.56%
-
-
-
3.82%
-
11.59%
-
-
5%
240.40%
37.51%
16.93%
-
-
-
14.29%
4.55%
-
0.58%
-
14.71%
15.51%
19.67%
-
10.71%
4.73%
-
1.79%
-
28.31%
-
415.33%
2.66%
11.16%
4.37%
-
-
-
2.39%
-
-
-
23.03%
-
13.83%
18.60%
-
-
-
-
-
-
23.18%
4.07%
-
45.25%
2.81%
6.91%
-
-
-
12.40%
-
-
-
-
18.31%
-
3.02%
-
17.92%
-
-
4.44%
-
-
-
-
-
-
9.90%
0.20%
18.63%
-
16.15%
-
11.79%
-
-
-
6.49%
-
-
-
9.67%
25.99%
-
-
-
25%
-
13.40%
4.58%
11.72%
0.48%
7.95%
-
-
-
-
3.59% Profitability
17.79% Medical Equipment & Supplies Industry
18.07% Gross margin contracted to 53.39 % in the 4. Quarter 2017 from 53.87 % in
previous quarter,
Net margin now Ranking
for Medical #0 and
Equipment ranking within
& Supplies sector
Industry #0. % above industry
is 10.68
-
average.
-
-
-
-
25.61%
-
7%
10%
13%
17%
18%
19%
20%
21%
22%
23%
26%
28%
29%
31%
33%
34%
35%
36%
38%
39%
40%
41%
42%
43%
44%
45%
46%
47%
48%
49%
50%
51%
52%
53%
54%
55%
56%
57%
58%
59%
60%
61%
62%
63%
64%
65%
66%
67%
68%
69%
70%
71%
72%
73%
74%
75%
76%
77%
78%
79%
80%
81%
82%
83%
84%
85%
86%
89%
96%
53%
rom 53.87 % in
#0
.68. % above industry