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Prolife Industries Ltd.

Chemicals
₹75.00
CMP₹75.00
Mkt Cap₹31 Cr
P/E7.22
P/B0.68
ROE10.82%
52W High₹0.00
52W Low₹0.00

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Stock DNA

Key Ratios

P/E Ratio

7.22

P/B Ratio

0.68

EV/EBITDA

2.28

Price/Sales

0.56

Dividend Yield (%)

0.00

EPS (TTM ₹)

10.39

Book Value (₹)

111.07

ROE (%)

10.82

ROCE (%)

14.33

ROA (%)

8.91

EBITDA Margin (%)

10.23

Net Profit Margin (%)

8.43

Debt/Equity

0.06

Current Ratio

6.99

Interest Coverage

19.78

Asset Turnover

1.06

Working Capital/Sales

1.98

Core EBITDA Growth (%)

-42.16

P&L

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Gross Sales7334.397316.747831.355682.435546.99
Net Sales7334.397316.747831.355682.435546.99
Total Income7396.147479.368049.785841.665754.95
Total Expenditure6511.356718.836958.464501.334979.72
Operating Profit884.79760.531091.321340.33775.23
Depreciation93.32115.71125.22121.36109.76
Exceptional Items
Profit Before Tax739.14597.17923.411185.49631.82
Tax189.22166.98232.09309.5163.98
Profit After Tax (PAT)549.92430.19691.32875.99467.84
EPS (₹)13.4310.5116.8921.411.43
Dividend Payout %33353

Balance Sheet

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Share Capital409.41409.41409.41409.41409.41
Reserves1729.792147.712826.753690.454137.82
Shareholders Funds2139.22557.123236.164099.864547.23
Total Debt549.55471.12192.07381.19258.34
Total Liabilities4861.115537.554108.165182.295321.12
Total Assets4861.115537.554108.165182.295321.12
Book Value / Share52.250862.458779.0445100.1407111.0679
Assets4861.115537.554108.165182.295321.12

Cash Flows

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Operating Activities510.86372.845.51733.45-124.72
Investing Activities-564.42-305.13145.59349.49-118.2
Financing Activities-130.66-13.69-142.76-72.17-169.46
Net Cash Flow-184.2254.028.332010.77-412.38

PROLIFE

₹75.00

+0%