WatchList
Personal Watch List
Public Watch List
Screener
Research
Stock Technical Trends
Compare
Stocks To Watch
Technical Chart
Market Events
Deals
Announcement
Community
Discussion
Feedback
Educational
Glossary
Tutorial
Slide Show
Home
Welcome for Creative Analysis
Interesting Numbers
Unusual Volume
Dividend Yield Stocks
Index Changes
Worst performer
Best performer
Quarterly Surprises
Higher profit growth
Higher revenue growth
Cheap Valuation
Company with higher debt
Find Us
Advertisement
Back
SUMMARY
QUARTERLY
BALANCESHEET
RATIO
PROFITLOSS
CHART
DEALS
ANNOUNCEMENT
Add company to Watchlist
Company
Arihant Superstructures Ltd
Shares
Price
WatchList
Choose..
Notes
Close
Select the company from the auto select list.
It is not required to enter any field other then company name.
In order to calculate watch list return we will assume shares and price (if not provided). No of shares will be calculated by dividing Rs 1,00,000 by todays share price. We are assuming you are going to invest Rs 1,00,000 in this stock today.
Notes might help you to follow up the circumstance of adding the stock in watch list. e.g. Adani power news to add new plant was the reason to add stock in watch list.
Arihant Superstructures Ltd(
Finance
-
Service
)
-Summary
Profile
Shareholding
Valuation
Operations
Statistics
CapitalChanges
Dividend
Amount Are In Rupees
ISIN Number
INE643K01018
BSE Code
506194
NSE Code
NA
BSE Group
Z
Index List
52 Week-High
75.4
52 Week-Low
49.4
Last Trade Price
41.95
Last Trade On
2012-05-18
Company Website
http://www.asl.net.in
Face Value(Rs.)
10
No Of shares(Crore)
2.7439994
Indian Promoter
71.93814984070332
FII Promoters
0.0
FI Holdings
0.0
Domestic Institution
0.0
Foreign Institution
0.0
General Public
28.061850159296682
Amount Are In Rs.(Crore)
Market Capitalization
115.11077483000003
Market Capital+Debt
115.11077483000003
Debt
0.0
PBDIT(TTM)
15.0
PAT(TTM)
7.12
P/E
16.1969111969112
Debt/Market Capitalization
0.0
Dividend Pay out Ratio
0.0
Return On Net-worth
0.0
Return on Assets
0.0
EBIDTA Multiple
7.67
Amount Are In Rs.(Crore)
Operating Margin
12.0
Net Profit Margin
5.0
Revenue(TTM)
130.12
PBDIT(TTM)
15.0
PAT(TTM)
7.12
EPS(TTM)
2.59
Profit Growth(CAGR)
91.76
Profit growth Consistency
99.43
Revenue Growth(CAGR)
-1646.05
Revenue growth Consistency
51.61
Avg.Volume(Last 30Days)
29429.0
Stock Annual Volatility
44.13
Stock Monthly Volatility
21.01
Check stock's risk to reward ratio (
Sharpe Ratio
) for last one year,
If ratio is greater for stock then the index, means investment in this stock was better off then investment in Index in last one year.
Stock Sharpe Ratio for last one year
0.17
Index Sharpe Ratio for last one year
0.10878565907478333
Correlation
0.926247453776476
Copyright 2009-2010 Askkuber.com. All Rights Reserved