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Markolines Pavement Technologies Ltd.

Infrastructure
₹174.101.28%

24 Jul, 4:01 PM

CMP₹174.10
Mkt Cap₹391 Cr
P/E14.92
P/B1.93
ROE16.17%
52W High₹191.75
52W Low₹120.25

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Stock DNA

Key Ratios

P/E Ratio

14.92

P/B Ratio

1.93

EV/EBITDA

9.95

Price/Sales

1.12

Dividend Yield (%)

0.00

EPS (TTM ₹)

11.81

Book Value (₹)

91.25

ROE (%)

16.17

ROCE (%)

18.67

ROA (%)

7.93

EBITDA Margin (%)

12.69

Net Profit Margin (%)

7.15

Debt/Equity

0.37

Current Ratio

2.20

Interest Coverage

4.68

Asset Turnover

1.11

Working Capital/Sales

2.14

Core EBITDA Growth (%)

24.74

P&L

ParticularsFY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Gross Sales31180.0234729.4430743.22
Net Sales31180.0234729.4430743.22
Total Income31242.5935110.9731280.14
Total Expenditure28419.2631551.9826840.48
Operating Profit2823.333558.994439.66
Depreciation226.17499.96703.53
Exceptional Items-29.44-42.26
Profit Before Tax2237.882508.762938.03
Tax663.34810.38738.46
Profit After Tax (PAT)1574.541698.382199.57
EPS (₹)8.249.0610.09
Dividend Payout %71015

Balance Sheet

ParticularsFY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Share Capital1910.751910.752200.45
Reserves6671.338268.0514823.37
Shareholders Funds8582.0810178.817671.61
Total Debt3054.665874.76302.4
Total Liabilities18701.5923962.9631497.8
Total Assets18701.5923962.9631497.8
Book Value / Share44.914753.271277.3652
Assets18701.5923962.9631497.8

Cash Flows

ParticularsFY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Operating Activities2012.4244.02-3562.82
Investing Activities-2223.57-2307.12-1378.06
Financing Activities85.162063.754957.38
Net Cash Flow-126.010.6516.5

MARKOLINES

₹174.10

-1.28%