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Hindustan Motors

R 5.45 0.40  | 7.92% -30.57% 4.39 113.72
NSE Price: Aug 23, 15:59 Change R    |  % 1-Year Change P/E Market Cap (R Cr)
NSE Aug 23, 15:59 5.45 0.40 7.92% 5.05 5.05 107,878 4.85 - 5.70
BSE Aug 23, 2019 5.45 0.37 7.28% 5.10 5.08 16,330 5.00 - 5.64
Exchange & Time Last Price      Day Change Open Prev Close Volume    1-Day Range
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TTM Mar-18 Mar-17 Mar-16 Mar-15 Mar-14 Sep-13
Income StatementR Cr
Operating Revenue0.030.001.130.8115.10 182.78722.89
Other Income35.489.3911.331.6210.04 9.8612.05
Total Income35.519.3912.462.4425.14 192.64734.95
Total Expenditure6.5115.8517.5322.2357.12 231.20842.08
Operating Profit29.00-6.46-5.07-19.80-31.97 -38.56-107.13
Interest1.508.8010.3010.367.82 56.4530.89
PBDT27.50-15.26-15.37-30.15-39.80 -95.01-138.02
Depreciation1.151.431.561.892.10 8.4421.97
PBT & Exceptional Items26.35-16.70-16.93-32.04-41.90 -103.45-159.99
Exceptional Items0.0078.970.90-- 102.7580.01
Profit before Tax26.3562.27-16.03-32.04-41.90 -0.71-79.98
Provision for Tax0.445.69--- 2.37-8.78
Profit after Tax25.9156.58-16.03-32.04-41.90 -3.07-71.20
 
LiabilitiesR Cr
Share Capital104.41104.41104.41104.41104.41 92.4792.47
Total Reserves-134.68-161.13-217.01-197.87-165.81 -127.40-124.07
Shareholder's Funds-30.27-56.71-112.60-93.45-61.40 -34.93-31.60
Long Term Borrowings0.000.000.006.8413.69 0.000.00
Other Non Current Liabilities2.763.044.813.148.95 18.4421.30
Current Liabilities57.91106.17146.81136.04110.21 205.87277.12
Total Debt*-17.9235.7638.5840.83 41.1098.42
Total Liabilities30.4052.5039.0252.5671.45 189.37266.82
 
AssetsR Cr
Net Block21.3824.0225.5827.2029.31 39.09118.16
Non Current Investments0.110.110.110.140.14 0.1418.45
Other Non-Current Assets0.840.843.944.275.45 26.778.43
Current Investments--0.00-- --
Cash and Bank2.7016.570.050.050.24 0.897.13
Other Current Assets5.3710.969.3320.9136.31 122.49114.65
Net Current Assets-49.83-78.64-137.42-115.08-73.66 -82.49-155.34
Miscellaneous Exp. Not Written Off----- --
Total Assets30.4052.5039.0252.5671.45 189.37266.82
 
Cash FlowR Cr
From Operations--33.4610.648.5233.15 -24.06-109.06
From Investing Activities-79.221.000.360.70 80.76149.59
From Finance Activities--29.24-11.64-8.97-34.52 -60.06-53.37
Net Inflow/Outflow-16.520.00-0.08-0.66 -3.36-12.84
 
Key Ratios
Adjusted EPS (Rs)1.242.71-0.77-1.54-2.01 -0.17-3.85
Adjusted Book Value (Rs)-1.77-3.07-5.75-4.83-3.30 -2.29-2.12
Dividend per Share (Rs)-0.000.000.000.00 0.000.00
Cash Flow per Share (Rs)--1.600.510.411.59 -1.30-5.90
Debt to Equity0.00-0.28-0.30-0.38-0.59 -0.97-2.51
Current Ratio0.140.260.060.150.33 0.600.44
ROCE (%)-0.000.000.000.00 191.80-45.36
RONW (%)-59.580.000.000.000.00 0.000.00
Operating Margin (%)96,666.67--448.97-2,435.40-211.76 -21.10-14.82
Net Margin (%)72.97602.81-128.66-1,315.19-166.67 -1.60-9.69
Revenue Growth (%)-94.12-100.0038.92-94.62-91.74 -74.7246.26
Net Profit Growth (%)-58.52452.9749.9823.53-1,263.08 95.68-137.69
EPS Growth (%)-58.51452.9749.9823.53-1,106.85 95.68-122.51
Book Value Growth (%)-46.64-18.97-46.59-62.53 -7.83-324.17
 
Market Cues
Close Price (Rs)5.456.958.955.006.25 7.207.40
High Price (Rs)10.1514.8012.9010.6513.50 10.6013.15
Low Price (Rs)4.856.704.554.856.00 6.006.00
Market Cap (Rs Cr)113.72-186.54107.04131.04 133.77137.29
Price / Earnings4.392.600.000.000.00 0.000.00
Price / Book Value-3.07-2.30-1.56-1.06-1.91 -3.16-3.50
Dividend Yield (%)0.000.000.000.000.00 0.000.00
TTM (Trailing Twelve Months) data based on income statement of last 4 quarters and interim half yearly balance sheet.
*Total Debt is long term borrowings plus short term borrowings plus current maturities of long term borrowings.
Essential checks
Altman Z-Score
-3.72
Piotroski F-Score
5
Modified C-Score
3
3-Years Price to Earnings
4.39
3-Years Price to Book
-3.07
Earnings Yield
EBIT / Enterprise value
24.20%
PEG
Price / Earnings to growth ratio
0.11
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As on Aug 23, 15:59