Renovare Environmental Inc (RENO) Financials

$0.56

up-down-arrow $0.00 (-0.45%)

As on 11-Feb-2022 09:30EDT

Market cap

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$25 Mln

Revenue (TTM)

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$12 Mln

P/E Ratio

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--

P/B Ratio

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133

Div. Yield

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0 %

Income Statement ($ Mln)

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Operating Revenue
12.40
5.88
4.22
3.36
2.42
2.24
Cost of Revenue
11.07
5.65
2.96
1.64
1.69
1.67
Gross Profit
1.33
5.88
1.26
1.72
0.73
0.57
Operating Expenses
25.84
17.55
8.79
6.86
7.30
6.50
Operating Profit (EBIT)
-2.09
-11.68
-7.54
-5.14
-6.56
-5.92
Other Income
-0.03
0.02
0.63
-7.03
-0.02
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Profit before Tax
-3.06
-15.74
-10.28
-14.75
-8.35
-6.75
Provision for Tax
--
--
--
--
--
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Profit after Tax (Net Income)
-2.37
-15.74
-7.62
-14.67
-8.35
-6.75
Minority Interest
0.20
-4.20
5.35
6.60
6.60
6.60
Consolidated Profit
-9.56
-12.34
-8.75
-15.16
-8.36
-6.75

Liabilities ($ Mln)

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Shareholder's Funds
5.99
2.31
2.02
3.41
-11.49
-11.46
Minority Interest
0.20
1.14
5.35
6.60
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Non-Current Liabilities
31.95
0.33
38.09
38.10
18.69
7.72
Current Liabilities
17.63
18.35
11.08
7.21
3.34
6.29
Total Liabilities
73.61
56.69
56.54
55.32
10.54
2.55

Assets ($ Mln)

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Non-Current Assets
48.58
49.94
50.81
47.74
8.95
1.36
Current Assets
7.47
6.74
5.73
7.58
1.59
1.19
Total Assets
73.67
54.92
51.19
48.71
10.54
2.55
Total Debt*
28.83
9.52
37.91
37.45
16.19
10.31
Net Current Assets
-10.16
-11.61
-5.35
0.37
-1.76
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Cashflow ($ Mln)

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Cash From Operating Activities
--
-8.76
-7.13
-6.04
-4.77
-5.18
Cash Flow from Investing Activities
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-1.02
-2.88
6.08
-2.07
-0.01
Cash from Financing Activities
--
11.14
6.35
8.15
7.40
5.43
Net Cash Inflow / Outflow
--
1.36
-3.59
8.23
0.58
0.29

Financials Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Adjusted EPS ($) info
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--
--
--
--
--
Cash EPS ($) info
--
--
--
--
--
--
Adjusted Book Value ($) info
--
--
--
--
--
--
Dividend per Share ($) info
--
--
--
--
--
--
Cash Flow per Share ($) info
--
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--
--
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Free Cash Flow per Share ($) info
--
--
--
--
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Profitability Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
ROCE (%) info
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-60.82
-18.87
-64.39
-468.93
684.73
ROE (%) info
-1,024.95
-725.75
-280.79
362.97
72.78
79.77
ROA (%) info
-3.08
-27.81
-13.63
-44.55
-127.57
-295.07
EBIT Margin (%) info
-68.39
-337.24
-100.62
-168.56
-271.89
-264.09
Net Margin (%) info
-19.16
-266.97
-157.11
400.00
-347.63
-300.67
Cash Profit Margin (%) info
0.00
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--
--
--
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Growth Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Revenue Growth (%) info
207.62
0.39
0.26
0.39
0.08
0.48
EBIT Growth (%) info
10.86
-366.97
25.02
13.99
-11.11
-18.46
Net Profit Growth (%) info
-8,815.70
-106.51
48.04
-75.68
-23.80
-34.87
EPS Growth (%) info
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--
--
--
--
Book Value Growth (%) info
--
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--
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Valuation Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Price / Earnings info
--
--
--
--
--
--
Price / Book Value info
132.97
--
--
--
--
--
Dividend Yield (%) info
--
--
--
--
--
--
EV/EBITDA info
37.02
-0.37
-14.33
-6.75
-2.47
-1.83
Close Price ($) info
1.38
1.12
1.70
1.62
3.92
2.25
High Price ($) info
4.03
4.40
3.30
5.76
9.50
5.50
Low Price ($) info
1.10
1.01
1.54
1.60
1.50
1.50
Market Cap ($ Cr) info
24.64
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--
--
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Solvency Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Debt to Equity info
4.81
4.11
18.73
11.00
-1.41
-0.90
Short term debt to equity ratio info
4.81
3.97
1.47
0.43
-0.09
-0.25
Current Ratio info
0.42
0.37
0.52
1.05
0.47
0.19
Quick Ratio info
0.37
0.33
0.47
0.98
0.38
0.08
Interest Coverage info
0.81
--
--
--
--
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Operating Efficiency Ratios

TTM Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11
Debtors to sales (%) info
15.01
26.78
51.09
12.01
11.33
6.25
Asset Turnover info
0.16
0.10
0.08
0.10
0.37
0.98
Receivable days info
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115.87
110.77
36.84
31.27
37.15
Inventory Days info
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37.57
59.67
92.63
112.42
107.21
Payable days info
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232.02
369.96
289.36
269.10
264.59
Cash Conversion Cycle info
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-78.57
-199.52
-159.88
-125.42
-120.23
*TTM (Trailing Twelve Months) data based on income statement of last 4 quarters and interim half yearly balance sheet.
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