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Shree Precoated Steels Ltd.

Infrastructure
₹13.32

24 Jul, 4:01 PM

CMP₹13.32
Mkt Cap₹6 Cr
P/E0.00
P/B-2.10
ROE0.00%
52W High₹19.00
52W Low₹10.03

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Stock DNA

Key Ratios

P/B Ratio

-2.10

EV/EBITDA

-9.58

Dividend Yield (%)

0.00

EPS (TTM ₹)

-1.45

Book Value (₹)

-6.66

ROE (%)

0.00

ROCE (%)

0.00

ROA (%)

-11.07

Debt/Equity

0.00

Current Ratio

0.14

Interest Coverage

-5999.00

Asset Turnover

0.00

Working Capital/Sales

0.00

Core EBITDA Growth (%)

-3.74

P&L

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Gross Sales
Net Sales
Total Income55
Total Expenditure47.3949.1353.157.8359.99
Operating Profit7.61-49.13-53.1-57.83-59.99
Depreciation
Exceptional Items
Profit Before Tax7.41-49.55-53.11-57.85-60
Tax
Profit After Tax (PAT)7.41-49.55-53.11-57.85-60
EPS (₹)0.26-1.2-1.29-1.41-1.47
Dividend Payout %

Balance Sheet

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Share Capital413.99413.99413.99413.99413.99
Reserves-407.91-457.56-510.89-569.33-629.82
Shareholders Funds6.08-43.57-96.9-155.34-215.83
Total Debt00000
Total Liabilities542.6542.47541.92539.84544.58
Total Assets542.6542.47541.92539.84544.58
Book Value / Share0.1469-1.0524-2.3406000000000002-3.7523-5.2134
Assets542.6542.47541.92539.84544.58

Cash Flows

ParticularsFY 2020-21 (Mar)FY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Operating Activities-2.99-0.14-0.55-2.084.7
Investing Activities1.511.22-0.360.03
Financing Activities
Net Cash Flow-1.481.08-0.91-2.054.7

SHPRE

₹13.32

+0%