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Maars Software International

Sector: Technology | Industry: Computer Software
R 0.26 -0.01  | -3.70% -46.94% - 3.87
BSE Price: Mar 20, 2013 Change R    |  % 1-Year Change P/E Market Cap (R Cr)
BSE Mar 20, 2013 0.26 -0.01 -3.70% 0.26 0.27 54,980 0.26 - 0.26
NSE May 06, 2009 1.45 0.00 0.00% 1.45 1.45 129,663 1.40 - 1.55
Exchange & Time Last Price      Day Change Open Prev Close Volume    1-Day Range
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TTM Mar-11 Jun-10 Mar-09 Mar-08 Mar-07 Mar-06
Income StatementR Cr
Operating Revenue-11.0514.7722.1931.22 35.5551.23
Other Income-0.751.368.780.85 0.661.28
Total Income-11.8016.1230.9732.06 36.2152.51
Total Expenditure-22.8727.8731.8629.77 34.3546.13
Operating Profit--11.06-11.75-0.882.30 1.866.38
Interest-0.120.010.020.02 0.010.00
PBDT--11.18-11.75-0.902.28 1.846.38
Depreciation-0.312.552.052.16 2.382.45
PBT & Exceptional Items--11.48-14.30-2.960.12 -0.533.92
Exceptional Items----- --
Profit before Tax--11.48-14.30-2.960.12 -0.533.92
Provision for Tax-0.01-0.550.000.01 0.00-
Profit after Tax--11.50-13.76-2.960.12 -0.533.92
Minority Interest----- --
Share of Associate----- --
Consolidated Profit--11.50-13.76-2.960.12 -0.533.92
 
LiabilitiesR Cr
Share Capital-152.52151.22151.22151.22 77.4269.70
Total Reserves--8.553.85-1.958.57 7.267.12
Shareholder's Funds-143.97155.07149.27159.79 84.6876.82
Minority Interest----- --
Long Term Borrowings-75.2934.5228.8125.75 26.2534.63
Other Non Current Liabilities-2.372.372.931.02 1.101.07
Current Liabilities-40.2935.0936.8015.83 16.7534.43
Total Debt*-75.2934.5228.8125.75 26.2534.63
Total Liabilities-261.93227.05217.81202.39 128.77146.94
 
AssetsR Cr
Net Block-35.5835.9538.4835.70 34.1136.35
Non Current Investments-72.8855.8813.314.33 6.000.00
Other Non-Current Assets-0.000.000.000.00 0.000.00
Current Investments-0.000.00-0.00 0.000.00
Cash and Bank-2.610.810.1055.08 0.010.01
Other Current Assets-150.86134.41165.92107.28 88.65110.58
Net Current Assets-113.17100.13129.22146.53 71.9176.16
Miscellaneous Exp. Not Written Off-0.000.00-- --
Total Assets-261.93227.05217.81202.39 128.77146.94
 
Cash FlowR Cr
From Operations--10.5131.15-49.27-17.83 5.872.18
From Investing Activities--16.19-34.44-8.78-0.40 -5.782.96
From Finance Activities-39.074.003.0673.30 -0.09-6.30
Net Inflow/Outflow-12.370.71-54.9955.07 0.00-1.16
 
Key Ratios
Adjusted EPS (Rs)-0.94-0.77-0.93-0.200.01 -0.090.57
Adjusted Book Value (Rs)-9.4310.269.8710.58 11.1011.08
Dividend per Share (Rs)-0.000.000.000.00 0.000.00
Cash Flow per Share (Rs)--0.712.11-3.34-1.21 0.88-
Debt to Equity-0.520.220.190.16 0.310.45
Current Ratio-3.813.854.5110.26 5.293.21
ROCE (%)--5.56-7.78-1.620.09 -0.473.55
RONW (%)--7.87-9.26-1.960.10 -0.735.54
Operating Margin (%)--100.08-79.56-3.997.35 5.2212.45
Net Margin (%)--97.39-85.33-9.550.36 -1.487.47
Revenue Growth (%)--25.15-33.45-28.92-12.19 -30.6131.95
Net Profit Growth (%)-16.44-365.05-2,641.75121.77 -113.63206.79
EPS Growth (%)-17.17-365.06-2,641.70109.15 -115.21201.61
Book Value Growth (%)--7.323.98-6.73112.82 0.18-
 
Market Cues
Close Price (Rs)-0.951.781.254.05 3.754.70
High Price (Rs)-2.954.646.1512.05 6.708.20
Low Price (Rs)-0.781.781.102.75 3.104.50
Market Cap (Rs Cr)3.8714.1526.2917.8759.93 24.8831.03
Price / Earnings0.000.000.000.00515.19 0.008.29
Price / Book Value-0.100.170.120.38 0.340.42
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
2.65
Piotroski F-Score
2
Modified C-Score
5
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