Poddar Pigments
Poddar Pigments
Poddar Pigments
IN
Narration Mar-06 Mar-07 Mar-08 Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15 Trailing Best Case Worst Case
Sales 75.38 91.69 98.74 119.73 153.09 186.48 221.92 275.55 313.23 318.31 313.54 358.98 323.40
Expenses 74.30 83.06 91.01 109.75 139.59 171.73 212.62 257.21 289.62 297.09 292.01 333.98 301.95
Operating Profit 1.08 8.63 7.73 9.98 13.50 14.75 9.30 18.34 23.61 21.22 21.53 25.00 21.44
Other Income 2.48 2.54 3.06 2.51 10.01 2.51 1.13 1.93 1.74 2.94 4.06 - -
Depreciation 2.23 2.26 2.35 2.16 2.16 2.33 2.70 2.65 2.60 2.85 2.65 2.65 2.65
Interest 1.19 1.40 1.15 1.90 1.19 2.10 2.13 2.06 1.71 1.10 0.43 0.43 0.43
Profit before tax 1.68 3.00 5.29 5.97 17.16 13.99 14.42 17.53 19.10 21.93 22.55 21.92 18.36
Tax 0.49 1.30 1.49 2.00 2.97 4.44 4.58 4.74 5.64 5.62 5.60 25% 25%
Net profit 1.19 1.70 3.80 3.97 14.19 9.55 9.84 12.79 13.47 16.31 16.97 16.48 13.80
EPS 0.98 1.39 3.11 3.25 13.37 9.00 9.27 12.05 12.70 15.37 15.99 15.53 13.01
Price to earning 15.08 21.03 9.27 5.30 2.97 4.95 4.19 3.86 3.91 8.78 9.33 9.33 5.41
Price 14.71 29.30 28.86 17.25 39.74 44.54 38.89 46.52 49.66 134.93 149.30 144.95 70.40
RATIOS:
Dividend Payout 0.00% 0.00% 0.00% 0.00% 0.00% 29.11% 21.54% 16.58% 17.74% 16.25%
OPM 1.43% 9.41% 7.83% 8.34% 8.82% 7.91% 4.19% 6.66% 7.54% 6.67% 6.87%
Narration Sep-13 Dec-13 Mar-14 Jun-14 Sep-14 Dec-14 Mar-15 Jun-15 Sep-15 Dec-15
Sales 82.63 74.43 85.85 85.23 76.01 81.62 75.41 75.31 78.98 83.84
Expenses 77.19 69.59 79.85 79.40 70.58 75.51 70.39 69.99 73.74 77.89
Operating Profit 5.44 4.84 6.00 5.83 5.43 6.11 5.02 5.32 5.24 5.95
Other Income -0.17 1.06 0.50 0.45 0.65 0.67 1.17 0.67 1.07 1.15
Depreciation 0.63 0.67 0.67 0.63 0.84 0.69 0.68 0.65 0.66 0.66
Interest 0.15 0.43 0.27 0.20 0.16 0.13 0.11 0.13 0.10 0.09
Profit before tax 4.50 4.81 5.20 5.47 5.10 5.96 5.30 5.27 5.62 6.36
Tax 1.38 1.32 1.69 1.50 1.43 1.50 1.20 1.45 1.45 1.50
Net profit 3.12 3.49 3.90 3.97 3.65 4.48 4.22 3.77 4.12 4.86
OPM 7% 7% 7% 7% 7% 7% 7% 7% 7% 7%
PODDAR PIGMENTS LTD SCREENER.IN
Narration Mar-06 Mar-07 Mar-08 Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15
Equity Share Capital 12.20 12.20 12.20 12.20 10.61 10.61 10.61 10.61 10.61 10.61
Reserves 16.52 18.22 22.02 25.99 36.10 42.87 50.24 60.55 71.23 84.03
Borrowings 7.56 6.10 13.27 10.95 9.07 23.99 21.64 14.73 6.37 0.75
Other Liabilities 16.70 19.67 16.53 20.81 26.70 36.11 20.90 28.21 32.54 27.87
Total 52.98 56.19 64.02 69.95 82.48 113.58 103.39 114.10 120.75 123.26
Net Block 18.76 16.40 18.71 18.44 20.09 30.87 31.75 30.33 28.15 26.19
Capital Work in Progress 0.03 - - 1.45 0.02 0.05 - 0.01 - -
Investments 1.00 - - 3.80 6.26 6.68 4.08 3.59 - 6.01
Other Assets 33.19 39.79 45.31 46.26 56.11 75.98 67.56 80.17 92.60 91.06
Total 52.98 56.19 64.02 69.95 82.48 113.58 103.39 114.10 120.75 123.26
Working Capital 16.49 20.12 28.78 25.45 29.41 39.87 46.66 51.96 60.06 63.19
Debtors 8.96 11.71 15.14 18.54 19.16 25.52 28.85 39.06 42.46 33.87
Inventory 18.61 19.13 16.63 17.11 19.76 29.58 30.04 35.28 37.83 39.48
Debtor Days 43.39 46.62 55.97 56.52 45.68 49.95 47.45 51.74 49.48 38.84
Inventory Turnover 4.05 4.79 5.94 7.00 7.75 6.30 7.39 7.81 8.28 8.06
Return on Equity 4% 6% 11% 10% 30% 18% 16% 18% 16% 17%
Return on Capital Emp -5% 14% 8% 13% 17% 11% 3% 13% 17% 14%
PODDAR PIGMENTS LTD SCREENER.IN
Narration Mar-06 Mar-07 Mar-08 Mar-09 Mar-10 Mar-11 Mar-12 Mar-13 Mar-14 Mar-15
Cash from Operating Activity 1.56 1.95 -0.11 6.51 6.60 2.03 18.71 9.76 13.98 19.33
Cash from Investing Activity -0.85 1.68 -3.48 -6.91 2.05 -13.58 -2.53 -0.76 2.42 -7.12
Cash from Financing Activity -0.15 -2.46 6.43 -3.53 -9.30 11.61 -14.99 -10.89 -12.38 -9.41
Net Cash Flow 0.56 1.17 2.84 -3.93 -0.65 0.06 1.19 -1.89 4.02 2.80
PODDAR PIGMENTS LTD 3/31/2006 3/31/2007 3/31/2008 3/31/2009
DERIVED:
Adjusted Equity Shares in Cr 0.00% 0.00% 0.00%
Margins % of Sales
Sales 100.00% 100.00% 100.00% 100.00%
Raw Material Cost 77.54% 74.85% 74.74% 75.12%
Change in Inventory 2.33% -1.71% -0.42% -0.41%
Power and Fuel 2.95% 2.37% 2.21% 1.99%
Other Mfr. Exp 3.32% 2.91% 3.04% 3.23%
Employee Cost 4.78% 4.49% 5.03% 5.22%
Selling and admin 6.83% 6.48% 6.05% 4.87%
Other Expenses 0.82% 1.20% 1.52% 1.65%
Other Income 3.29% 2.77% 3.10% 2.10%
Depreciation 2.96% 2.46% 2.38% 1.80%
Interest 1.58% 1.53% 1.16% 1.59%
Profit before tax 2.23% 3.27% 5.36% 4.99%
Tax 0.65% 1.42% 1.51% 1.67%
Net profit 1.58% 1.85% 3.85% 3.32%
Dividend Amount 0.00%
Efficiency Ratio
Capital Turns 1 2.07772878 2.51067907996 2.0791745631 2.4365079365
Capital Turns 2 2.24 2.72 2.36 2.74
Fixed Asset Turns 4.02 5.59 5.28 6.49
Working Capital1/Sales 0.22 0.22 0.29 0.21
Working Capital2/Sales 19.70% 18.88% 23.44% 19.82%
Debtor Days 43.39 46.62 55.97 56.52
Inventory Days 18.61 19.13 16.63 17.11
Debtors turnover 8.41 7.83 6.52 6.46
Inventory turnover 4.05 4.79 5.94 7.00
Financial Health
Long term debt/Earning 6.35 3.59 3.49 2.76
Current liablility/Earning 14.03 11.57 4.35 5.24
Total liability/Earning 20.39 15.16 7.84 8.00
Debt/Equity 0.26 0.20 0.39 0.29
Interest Coverage 2.4 3.1 5.6 4.1
Owners Earning
Fixed Asset/Sales 0.25 0.18 0.19 0.15
Fixed Asset/Sales 10 yrs
Fixed Asset/Sales 7 yrs
Fixed Asset/Sales 5 yrs
Fixed Asset/Sales 3 yrs 0.21 0.17
YoY Increase in Sales 16.31 7.05 20.99
Capex -0.13 4.66 3.34
Growth Capex-5Yr
Maintenance Capex-5yr
OE5Yr/Sales
OE3Yr/Sales 2.98% 5.38%
OE/Sales 4.46% 1.51% 2.33%
NPM 1.58% 1.85% 3.85% 3.32%
Defensive Earning From Balance Sheet Kindly Enter Data from Balance sheet in
Fixed Asset (with Capital work in progress) 18.79 16.4 18.71 19.89
Working Capital 0 0 0 0
Current Assets-Cash 0 0 0 0
Inventories
Trade Receivables
Cash and Bank Balances
Short - Term Loans and Advances
Other Current Assets
Current Liabilities 0 0 0 0
Short - Term Borrowings
Trade Payables
Other Current Liabilities
Short - Term Provisions
CASH FLOW:
Report Date 0.89% 0.88% 0.87%
Cash from Operating Activity 75.66% 40.73% 27.68%
Cash from Investing Activity -14.91% 206.08% 133.99%
Cash from Financing Activity #NUM! -7.04% -31.56%
Net Cash Flow 161.37% #NUM! -43.57%
3/31/2010 3/31/2011 3/31/2012 3/31/2013 3/31/2014 3/31/2015
cell
20.11 30.92 31.75 30.34 28.15 26.19
0 0 0 0 0 0
0 0 0 0 0 0
0 0 0 0 0 0
META
Number of shares 1.06
Face Value 10.00
Current Price 149.30
Market Capitalization 158.41
Quarters
Report Date Sep-13 Dec-13 Mar-14 Jun-14
Sales 82.63 74.43 85.85 85.23
Expenses 77.19 69.59 79.85 79.40
Other Income -0.17 1.06 0.50 0.45
Depreciation 0.63 0.67 0.67 0.63
Interest 0.15 0.43 0.27 0.20
Profit before tax 4.50 4.81 5.20 5.47
Tax 1.38 1.32 1.69 1.50
Net profit 3.12 3.49 3.90 3.97
BALANCE SHEET
Report Date Mar-06 Mar-07 Mar-08 Mar-09
Equity Share Capital 12.20 12.20 12.20 12.20
Reserves 16.52 18.22 22.02 25.99
Borrowings 7.56 6.10 13.27 10.95
Other Liabilities 16.70 19.67 16.53 20.81
Total 52.98 56.19 64.02 69.95
Net Block 18.76 16.40 18.71 18.44
Capital Work in Progress 0.03 1.45
Investments 1.00 3.80
Other Assets 33.19 39.79 45.31 46.26
Total 52.98 56.19 64.02 69.95
Receivables 8.96 11.71 15.14 18.54
Inventory 18.61 19.13 16.63 17.11
Cash & Bank 1.64 2.81 5.64 1.72
No. of Equity Shares 12,200,000.00 12,200,000.00 12,200,000.00 12,200,000.00
New Bonus Shares
Face value 10.00 10.00 10.00 10.00
CASH FLOW:
Report Date Mar-06 Mar-07 Mar-08 Mar-09
Cash from Operating Activity 1.56 1.95 -0.11 6.51
Cash from Investing Activity -0.85 1.68 -3.48 -6.91
Cash from Financing Activity -0.15 -2.46 6.43 -3.53
Net Cash Flow 0.56 1.17 2.84 -3.93
DERIVED:
Adjusted Equity Shares in Cr 1.22 1.22 1.22 1.22
PLEASE DO NOT MAKE ANY CHANGES TO THIS SHEET