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SPEB Adhesives Ltd.

Chemicals
₹87.00
CMP₹87.00
Mkt Cap₹195 Cr
P/E28.46
P/B3.51
ROE26.30%
52W High₹0.00
52W Low₹0.00

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Stock DNA

Key Ratios

P/E Ratio

28.46

P/B Ratio

3.51

EV/EBITDA

18.23

Price/Sales

3.86

Dividend Yield (%)

0.00

EPS (TTM ₹)

3.06

Book Value (₹)

24.82

ROE (%)

26.30

ROCE (%)

36.37

ROA (%)

24.58

EBITDA Margin (%)

17.51

Net Profit Margin (%)

13.16

Debt/Equity

0.00

Current Ratio

13.42

Interest Coverage

424.57

Asset Turnover

1.87

Working Capital/Sales

1.94

Core EBITDA Growth (%)

20.29

P&L

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Gross Sales2790.883837.164261.644479.32
Net Sales2790.883837.164261.644479.32
Total Income2828.963879.064321.244553.97
Total Expenditure2427.613593.043607.043694.85
Operating Profit401.35286.02714.2859.12
Depreciation34.6732.3748.0543.95
Exceptional Items
Profit Before Tax344.74252.09664.38813.25
Tax84.6168.96170.7223.79
Profit After Tax (PAT)260.13183.13493.68589.46
EPS (₹)1.350.952.593.35
Dividend Payout %

Balance Sheet

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Share Capital18.4418.4416.811761.06
Reserves1736.831927.281929.77774.99
Shareholders Funds1755.271945.721946.582536.05
Total Debt0000
Total Liabilities1870.671988.912069.72727.39
Total Assets1870.671988.912069.72727.39
Book Value / Share9518.817810551.626911579.892914.4007
Assets1870.671988.912069.72727.39

Cash Flows

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)
Operating Activities-111.6640390.74-92.61
Investing Activities326.0441.6523131.12
Financing Activities-275.97-492.8151.84
Net Cash Flow-61.5981.65128.93-9.65

SPEB

₹87.00

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