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Connplex Cinemas Ltd.

Media & Entertainment
₹205.90
CMP₹205.90
Mkt Cap₹393 Cr
P/E15.08
P/B13.31
ROE127.28%
52W High₹0.00
52W Low₹0.00

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Stock DNA

Key Ratios

P/E Ratio

15.08

P/B Ratio

13.31

EV/EBITDA

10.45

Price/Sales

2.67

Dividend Yield (%)

0.00

EPS (TTM ₹)

13.65

Book Value (₹)

15.47

ROE (%)

127.28

ROCE (%)

167.79

ROA (%)

38.99

EBITDA Margin (%)

27.37

Net Profit Margin (%)

19.80

Debt/Equity

0.03

Current Ratio

2.57

Interest Coverage

232.39

Asset Turnover

1.97

Working Capital/Sales

3.86

Core EBITDA Growth (%)

307.84

P&L

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Gross Sales682.262536.916029.749560.96
Net Sales682.262536.916029.749560.96
Total Income697.62560.816083.279678.18
Total Expenditure544.82274.055410.276933.4
Operating Profit152.8286.766732744.78
Depreciation31.5764.29115.88156
Exceptional Items
Profit Before Tax118.07218.53551.472577.64
Tax32.7553.69142.64676.65
Profit After Tax (PAT)85.32164.84408.831900.99
EPS (₹)0.611.182.9213.58
Dividend Payout %

Balance Sheet

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Share Capital5050501400
Reserves-80.5984.25493.081043.98
Shareholders Funds-30.59134.25543.082443.98
Total Debt4.5431.9526.9471.71
Total Liabilities1536.372795.663639.676112.22
Total Assets1536.372795.663639.676112.22
Book Value / Share-6.11826.85108.61617.457
Assets1536.372795.663639.676112.22

Cash Flows

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Operating Activities114.7882.68402.46280.29
Investing Activities-343.56-616.41-439.26-460.89
Financing Activities-19.6523.47-10.6633.64
Net Cash Flow-248.51289.74-47.46-146.96

CONNPLEX

₹205.90

+0%