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RATIO
PROFITLOSS
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Company
Munjal Showa Ltd
Shares
Price
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Munjal Showa Ltd(
Auto Ancillary
-
General
)
-Summary
Profile
Shareholding
Valuation
Operations
Statistics
CapitalChanges
Dividend
Amount Are In Rupees
ISIN Number
INE577A01027
BSE Code
520043
NSE Code
MUNJALSHOW
BSE Group
B1
Index List
BSE-Small Cap,BSE Small-Cap
52 Week-High
75.75
52 Week-Low
50.4
Last Trade Price
76.15
Last Trade On
2012-05-21
Company Website
http://www.munjalshowa.net
Face Value(Rs.)
2
No Of shares(Crore)
3.9995
Indian Promoter
39.01487685960745
FII Promoters
26.003250406300786
FI Holdings
0.02125265658207276
Domestic Institution
1.6876609576197024
Foreign Institution
0.2843755469433679
General Public
32.98858357294662
Amount Are In Rs.(Crore)
Market Capitalization
304.561925
Market Capital+Debt
390.26192499999996
Debt
85.7
PBDIT(TTM)
110.19
PAT(TTM)
56.02
P/E
5.4354032833690225
Debt/Market Capitalization
0.28138776703621116
Dividend Pay out Ratio
0.0
Return On Net-worth
27.6
Return on Assets
19.4
EBIDTA Multiple
3.54
Amount Are In Rs.(Crore)
Operating Margin
7.000000000000001
Net Profit Margin
4.0
Revenue(TTM)
1487.47
PBDIT(TTM)
110.19
PAT(TTM)
56.02
EPS(TTM)
14.01
Profit Growth(CAGR)
15.92
Profit growth Consistency
24.39
Revenue Growth(CAGR)
18.45
Revenue growth Consistency
93.91
Avg.Volume(Last 30Days)
21076.0
Stock Annual Volatility
31.59
Stock Monthly Volatility
6.1
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
1.18
Index Sharpe Ratio for last one year
0.10905728489160538
Correlation
0.19502962952937
Date
CapitalChangeType
Equity
1998-09-01
Bonus
8
1987-07-01
Base
4
Date
DividendPerShare
2011-07-21
2.5
2010-07-22
2.0
2009-07-16
2.0
2008-07-17
2.0
2007-07-19
2.0
2006-08-10
10.0
2005-08-11
7.5
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