Tata Global Your Raj
Tata Global Your Raj
Tata Global Your Raj
IN
Narration Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15 Mar-16 Mar-17 Mar-18 Trailing Best Case Worst Case
Sales 4,846.56 5,782.68 6,003.17 6,640.04 7,350.98 7,737.61 7,993.39 6,636.54 6,779.55 6,815.35 7,251.50 7,251.50 6,440.02
Expenses 4,320.96 5,269.07 5,467.39 6,133.69 6,645.23 7,212.06 7,201.19 6,270.63 6,032.65 6,031.35 6,465.59 6,465.59 5,869.34
Operating Profit 525.60 513.61 535.78 506.35 705.75 525.55 792.20 365.91 746.90 784.00 785.91 785.91 570.69
Other Income 1,039.30 379.23 179.03 233.75 120.58 396.90 -77.36 37.54 132.63 127.93 123.84 - -
Depreciation 98.69 102.92 99.44 96.13 105.10 129.06 133.10 116.79 126.04 116.04 122.57 122.57 122.57
Interest 210.13 149.08 121.02 70.35 84.44 86.53 81.86 116.90 91.53 42.76 52.47 52.47 52.47
Profit before tax 1,256.08 640.84 494.35 573.62 636.79 706.86 499.88 169.76 661.96 753.13 734.71 610.87 395.65
Tax 424.18 247.53 202.31 141.71 164.07 184.49 215.52 200.01 198.31 185.87 260.88 36% 36%
Net profit 700.55 390.30 254.33 356.14 372.75 480.52 247.82 -5.52 389.44 495.56 408.19 393.96 255.16
EPS 11.33 6.31 4.11 5.76 6.03 7.77 4.01 -0.09 6.17 7.85 6.47 6.24 4.04
Price to earning 5.72 15.91 25.02 20.50 22.37 19.72 37.74 -1,374.80 24.55 35.75 30.90 30.90 23.82
Price 64.80 100.39 102.91 118.09 134.85 153.21 151.22 120.24 151.49 280.72 199.85 192.88 96.29
RATIOS:
Dividend Payout 15.40% 31.59% 48.55% 37.33% 35.67% 28.96% 5.61% 0.00% 38.08% 31.84%
OPM 10.84% 8.88% 8.92% 7.63% 9.60% 6.79% 9.91% 5.51% 11.02% 11.50% 10.84%
Narration Dec-16 Mar-17 Jun-17 Sep-17 Dec-17 Mar-18 Jun-18 Sep-18 Dec-18 Mar-19
Sales 1,740.82 1,681.97 1,704.42 1,692.14 1,730.39 1,688.40 1,802.59 1,760.87 1,912.58 1,775.46
Expenses 1,559.34 1,496.51 1,460.25 1,478.18 1,495.31 1,542.70 1,553.82 1,594.22 1,716.36 1,601.19
Operating Profit 181.48 185.46 244.17 213.96 235.08 145.70 248.77 166.65 196.22 174.27
Other Income 66.35 -32.23 19.45 21.36 8.14 24.07 10.34 64.07 22.59 26.84
Depreciation 31.08 31.20 29.05 29.47 29.05 28.47 29.49 30.48 29.62 32.98
Interest 21.57 24.77 11.06 9.62 8.50 13.58 12.57 11.47 12.95 15.48
Profit before tax 195.18 97.26 223.51 196.23 205.67 127.72 217.05 188.77 176.24 152.65
Tax 50.32 12.90 80.54 72.75 19.56 13.02 83.45 63.68 54.92 58.83
Net profit 127.63 31.41 124.44 143.80 188.64 59.45 116.24 169.73 99.32 22.90
Narration Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15 Mar-16 Mar-17 Mar-18
Equity Share Capital 61.64 61.64 61.74 61.84 61.84 61.84 61.84 63.11 63.11 63.11
Reserves 3,591.25 3,661.59 3,895.38 4,503.90 4,748.28 5,787.01 5,429.68 6,184.06 6,202.39 6,968.49
Borrowings 2,431.07 1,796.79 1,041.49 915.59 1,388.75 1,438.10 1,324.02 1,354.05 786.56 1,067.58
Other Liabilities 2,776.34 2,745.16 2,843.04 2,873.13 2,700.28 2,749.66 2,734.05 2,410.38 2,634.31 2,580.80
Total 8,860.30 8,265.18 7,841.65 8,354.46 8,899.15 10,036.61 9,549.59 10,011.60 9,686.37 10,679.98
Net Block 3,762.15 3,647.04 3,771.30 4,243.64 4,434.34 5,181.01 4,921.69 4,661.80 4,572.59 4,798.18
Capital Work in Progress 63.19 47.36 31.27 49.15 90.68 59.57 47.17 39.42 63.19 135.16
Investments 351.30 519.11 586.51 566.53 577.93 610.97 622.02 1,365.94 1,451.04 1,161.33
Other Assets 4,683.66 4,051.67 3,452.57 3,495.14 3,796.20 4,185.06 3,958.71 3,944.44 3,599.55 4,585.31
Total 8,860.30 8,265.18 7,841.65 8,354.46 8,899.15 10,036.61 9,549.59 10,011.60 9,686.37 10,679.98
Working Capital 1,907.32 1,306.51 609.53 622.01 1,095.92 1,435.40 1,224.66 1,534.06 965.24 2,004.51
Debtors 449.98 519.72 573.26 651.81 712.92 654.35 616.09 592.43 592.45 648.28
Inventory 744.44 921.65 1,069.65 1,160.73 1,382.92 1,518.46 1,625.30 1,629.01 1,452.96 1,448.31
Debtor Days 33.89 32.80 34.85 35.83 35.40 30.87 28.13 32.58 31.90 34.72
Inventory Turnover 6.51 6.27 5.61 5.72 5.32 5.10 4.92 4.07 4.67 4.71
Narration Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15 Mar-16 Mar-17 Mar-18
Cash from Operating Activity 64.69 139.61 54.36 279.10 172.88 421.77 417.81 115.98 741.20 355.58
Cash from Investing Activity 485.31 1,432.42 110.68 155.96 23.98 -1.20 -207.05 144.62 145.05 -31.10
Cash from Financing Activity -784.05 -757.35 -1,072.09 -437.84 185.97 -363.25 -392.38 -281.80 -815.84 -30.39
Net Cash Flow -234.05 814.68 -907.05 -2.78 382.83 57.32 -181.62 -21.20 70.41 294.09
TATA GLOBAL BEVERAGES LTD
DELTA
NETWORTH DELTA MKTCAP IMPACT*
10 YR 3379 13710 4.06
7 YR 2466 10415 4.22
5 YR 1183 8243 6.97
3 YR 784 10128 12.91
1 YR 766 8156 10.65
* IMPACT – Every Rupee retained added xx.yy in incremental market value
7.75% 8.22% 4.51% -0.09% 6.22% 7.05% Check back what is really driving RoE (Net Marg
11.63% 10.89% 8.54% 3.77% 10.68% 9.83%
9.53% 8.78% 5.34% -0.82% 9.42% 8.64% Check back what is really driving RoIC (Op Marg
58%
84%
64%
37%
190%
1-5 6-10
-1.50% 3.86%
-2.59%
12.00%
PRE-TAX BOND
LongTerm Bond 9%
LTB Quote 0.92
Equity Quoting @ 6.23%
back what is really driving RoE (Net Margins, Asset Turns, or Financial Leverage)
back what is really driving RoIC (Op Margins or Capital Turns, or both)
META
Number of shares 63.11
Face Value 1
Current Price 199.85
Market Capitalization 12613.13
Quarters
Report Date Dec-16 Mar-17 Jun-17 Sep-17
Sales 1740.82 1681.97 1704.42 1692.14
Expenses 1559.34 1496.51 1460.25 1478.18
Other Income 66.35 -32.23 19.45 21.36
Depreciation 31.08 31.2 29.05 29.47
Interest 21.57 24.77 11.06 9.62
Profit before tax 195.18 97.26 223.51 196.23
Tax 50.32 12.9 80.54 72.75
Net profit 127.63 31.41 124.44 143.8
Operating Profit 181.48 185.46 244.17 213.96
BALANCE SHEET
Report Date Mar-09 Mar-10 Mar-11 Mar-12
Equity Share Capital 61.64 61.64 61.74 61.84
Reserves 3591.25 3661.59 3895.38 4503.9
Borrowings 2431.07 1796.79 1041.49 915.59
Other Liabilities 2776.34 2745.16 2843.04 2873.13
Total 8860.3 8265.18 7841.65 8354.46
Net Block 3762.15 3647.04 3771.3 4243.64
Capital Work in Progress 63.19 47.36 31.27 49.15
Investments 351.3 519.11 586.51 566.53
Other Assets 4683.66 4051.67 3452.57 3495.14
Total 8860.3 8265.18 7841.65 8354.46
Receivables 449.98 519.72 573.26 651.81
Inventory 744.44 921.65 1069.65 1160.73
Cash & Bank 1089.15 1903.83 997.31 736.16
No. of Equity Shares 61839857 61839857 618398570 618398570
New Bonus Shares
Face value 10 10 1 1
CASH FLOW:
Report Date Mar-09 Mar-10 Mar-11 Mar-12
Cash from Operating Activity 64.69 139.61 54.36 279.1
Cash from Investing Activity 485.31 1432.42 110.68 155.96
Cash from Financing Activity -784.05 -757.35 -1072.09 -437.84
Net Cash Flow -234.05 814.68 -907.05 -2.78
DERIVED:
Adjusted Equity Shares in Cr 61.84 61.84 61.84 61.84
PLEASE DO NOT MAKE ANY CHANGES TO THIS SHEET
1 1 1 1 1 1
Operating Cash Flow 64.69 139.61 54.36 279.1 172.88 421.77 417.81
Capex 0 -28.02 207.61 586.35 337.33 844.62 -138.62
Free Cash Flow 0.00 167.63 -153.25 -307.25 -164.45 -422.85 556.43
Tax Rate 34% 39% 41% 25% 26% 26% 43%
NOPLAT 971.07 484.81 363.53 484.88 535.40 586.32 330.93
RoIC 17% 10% 8% 10% 10% 9% 5%
WACC 12% 12% 12% 12% 12% 12% 12%
EPA (Economic Profit
Added) 283.15 -115.30 -165.92 -104.90 -139.11 -214.80 -412.30
Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15
MktCap 4007.07 6207.93 6363.65 7302.44 8339.34 9474.60 9351.58
MktCap+Dividend 4114.94 6331.21 6487.13 7435.40 8472.30 9613.74 9365.49
Retained Profit 592.68 267.02 130.85 223.18 239.79 341.38 233.91
EV 5348.99 6100.89 6407.83 7481.87 9030.39 10187.46 10131.36
Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15
Price/Earnings 5.72 15.91 25.02 20.50 22.37 19.72 37.74
Price/Book 1.10 1.67 1.61 1.60 1.73 1.62 1.70
Price/CashFlow 61.94 44.47 117.06 26.16 48.24 22.46 22.38
Price/Sales 0.83 1.07 1.06 1.10 1.13 1.22 1.17
EV/EBITDA 3.42 6.83 8.96 10.11 10.93 11.04 14.17
Dividend Yield 2.69% 1.99% 1.94% 1.82% 1.59% 1.47% 0.15%
Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15
Working Capital/Total 0.22 0.16 0.08 0.07 0.12 0.14 0.13
Retained Profits/Total 0.07 0.03 0.02 0.03 0.03 0.03 0.02
EBIT/Total Assets 0.17 0.10 0.08 0.08 0.08 0.08 0.06
Market Cap/Total 0.45 0.75 0.81 0.87 0.94 0.94 0.98
Sales/Total Assets 0.55 0.70 0.77 0.79 0.83 0.77 0.84
Altman Z-Score 1.72 1.70 1.63 1.70 1.84 1.82 1.81
Z > 2.99 -“Safe” Zones
1.81 < Z < 2.99 -“Grey”
Zones
Z < 1.81 -“Distress”
Zones
Mar-16 Mar-17 Mar-18 YOY Mar-10 Mar-11 Mar-12 Mar-13
3035.05 3613.9 3439.6 Gross Profit 13.56% -12.41% 22.69% 13.60%
286.66 753.49 795.89 EBIT -46.13% -22.10% 4.65% 12.00%
403.45 879.53 911.93 EBITDA -42.95% -19.94% 3.54% 11.65%
Operating Profit
365.91 746.9 784 (excl Other Income) -2.28% 4.32% -5.49% 39.38%
-5.52 389.44 495.56 PAT -44.29% -34.84% 40.03% 4.66%
142 148.31 157.78 Dividend 14.29% 0.16% 7.68% 0.00%
Mar-16 Mar-17 Mar-18 YOY
6247.17 6265.5 7031.6 Networth 1.93% 6.28% 15.38% 5.35%
1534.06 965.24 2004.51 Working Capital -31.50% -53.35% 2.05% 76.19%
6235.28 5601.02 6937.85 Invested Capital -12.76% -11.77% 11.39% 14.37%
7601.22 7052.06 8099.18 Capital Employed -9.27% -9.45% 9.66% 13.09%
10011.6 9686.37 10679.98 Total Assets -6.72% -5.12% 6.54% 6.52%
Mar-16 Mar-17 Mar-18 YOY
115.98 741.2 355.58 Operating Cash Flow 115.81% -61.06% 413.43% -38.06%
-150.85 60.6 413.6 CHECK? Capex 0.00% -840.94% 182.43% -42.47%
266.83 680.60 -58.02 Free Cash Flow 0.00% -191.42% 100.49% -46.48%
118% 30% 25% Tax Rate 14.38% 5.95% -39.63% 4.29%
-51.08 527.76 599.47 NOPLAT -50.07% -25.01% 33.38% 10.42%
-1% 9% 9% RoIC -42.77% -15.01% 19.74% -3.45%
12% 12% 12% WACC 0.00% 0.00% 0.00% 0.00%
EPA (Economic
-799.31 -144.36 -233.08 Profit Added) -140.72% 43.90% -36.78% 32.62%
Mar-16 Mar-17 Mar-18 CURRENT YOY
7588.92 9561.28 17717.31 12613.13 MktCap 54.92% 2.51% 14.75% 14.20%
7730.92 9709.59 17875.09 MktCap+Dividend 53.86% 2.46% 14.62% 13.95%
-147.52 241.13 337.78 Retained Profit -54.95% -51.00% 70.56% 7.44%
8441.94 9773.02 17546.75 EV 14.06% 5.03% 16.76% 20.70%
Mar-16 Mar-17 Mar-18 YOY
-1374.80 24.55 35.75 Price/Earnings 178.07% 57.31% -18.05% 9.11%
1.21 1.53 2.52 Price/Book 52.00% -3.55% -0.54% 8.40%
65.43 12.90 49.83 Price/CashFlow -28.21% 163.27% -77.65% 84.37%
1.14 1.41 2.60 Price/Sales 29.84% -1.26% 3.75% 3.15%
20.92 11.11 19.24 EV/EBITDA 99.91% 31.19% 12.77% 8.10%
1.87% 1.55% 0.89% Dividend Yield -26.23% -2.29% -6.17% -12.43%
Mar-16 Mar-17 Mar-18 Z-Weights YOY
0.15 0.10 0.19 1.2 Working -26.57% -50.83% -4.22% 65.41%
-0.01 0.02 0.03 1.4 Retained -51.70% -48.35% 60.09% 0.87%
0.03 0.08 0.07 3.3 EBIT/Total Assets -42.25% -17.89% -1.78% 5.14%
0.76 0.99 1.66 0.6 Market Cap/Total 66.08% 8.04% 7.71% 7.21%
0.66 0.70 0.64 1 Sales/Total Assets 27.91% 9.42% 3.82% 3.93%
1.38 1.70 2.15 Altman Z-Score -0.92% -4.27% 4.44% 8.29%
Mar-14 Mar-15 Mar-16 Mar-17 Mar-18
5.62% 3.31% -33.69% 19.07% -4.82%
10.01% -26.68% -50.72% 162.85% 5.63%
11.63% -22.51% -43.56% 118.00% 3.68%