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Selan Exploration Technology

Sector: Energy | Industry: Offshore Drilling
R 141.95 -9.40  | -6.21% -40.83% 4.72 215.31
NSE Price: Sep 18, 15:59 Change R    |  % 1-Year Change P/E Market Cap (R Cr)
NSE Sep 18, 15:59 141.95 -9.40 -6.21% 151.00 151.35 51,146 141.00 - 151.30
BSE Sep 18, 2019 141.65 -9.80 -6.47% 151.00 151.45 5,337 140.10 - 151.00
Exchange & Time Last Price      Day Change Open Prev Close Volume    1-Day Range
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TTM Mar-19 Mar-18 Mar-17 Mar-16 Mar-15 Mar-14
Income StatementR Cr
Operating Revenue88.9193.3376.6155.8462.03 79.29101.27
Other Income11.7710.707.658.119.86 11.7613.05
Total Income100.68104.0384.2663.9471.89 91.05114.32
Total Expenditure47.6347.0348.0846.8847.78 44.1544.77
Operating Profit53.0557.0036.1917.0624.11 46.9069.55
Interest0.080.230.120.061.69 0.140.08
PBDT52.9756.7736.0717.0022.42 46.7669.47
Depreciation3.002.942.562.172.44 2.511.36
PBT & Exceptional Items49.9753.8333.5114.8319.98 44.2668.11
Exceptional Items0.00---- --
Profit before Tax49.9753.8333.5114.8319.98 44.2668.11
Provision for Tax4.392.3211.465.997.08 15.9523.56
Profit after Tax45.5851.5122.068.8312.90 28.3044.55
 
LiabilitiesR Cr
Share Capital15.8315.8316.4016.4016.40 16.4016.40
Total Reserves309.98309.98278.00265.79266.98 263.92245.40
Shareholder's Funds325.81325.81294.40282.19283.38 280.32261.80
Long Term Borrowings0.510.520.360.000.00 0.000.00
Other Non Current Liabilities55.2855.2864.9660.2773.29 71.3455.24
Current Liabilities6.626.618.476.3811.81 30.2421.59
Total Debt*-0.640.450.000.00 0.000.00
Total Liabilities388.22388.22368.20348.84368.49 381.90338.63
 
AssetsR Cr
Net Block11.1011.1011.829.4810.03 10.758.40
Non Current Investments----- --
Other Non-Current Assets197.67197.67204.00200.42230.92 232.52171.62
Current Investments132.57132.5735.06-- --
Cash and Bank15.9415.9486.50112.96104.14 114.66126.34
Other Current Assets30.9430.9430.8225.9723.40 23.9632.27
Net Current Assets172.83172.84143.91132.55115.72 108.39137.03
Miscellaneous Exp. Not Written Off----- --
Total Assets388.22388.22368.20348.84368.49 381.90338.63
 
Cash FlowR Cr
From Operations-99.6567.2437.4816.95 61.7274.67
From Investing Activities--99.87-54.37-10.71-15.91 -63.43-58.08
From Finance Activities--20.06-9.44-9.87-11.56 -9.98-20.60
Net Inflow/Outflow--20.283.4216.90-10.52 -11.68-4.00
 
Key Ratios
Adjusted EPS (Rs)29.9932.5413.455.397.87 17.2627.17
Adjusted Book Value (Rs)212.41205.82179.51172.07172.79 170.93159.64
Dividend per Share (Rs)-5.005.005.005.00 5.005.00
Cash Flow per Share (Rs)-62.9541.0022.8510.33 37.6445.53
Debt to Equity0.000.000.000.000.00 0.000.00
Current Ratio27.1127.1517.9921.7610.79 4.587.35
ROCE (%)-17.4011.665.277.69 16.3827.30
RONW (%)14.7016.617.653.124.58 10.4417.84
Operating Margin (%)59.6761.0847.2330.5638.87 59.1568.68
Net Margin (%)45.2749.5226.1813.8217.94 31.0938.97
Revenue Growth (%)0.3521.8137.21-9.98-21.77 -21.704.34
Net Profit Growth (%)38.50133.54149.68-31.51-54.43 -36.47-1.36
EPS Growth (%)41.74141.95149.68-31.51-54.43 -36.471.20
Book Value Growth (%)-10.674.33-0.421.09 7.0710.11
 
Market Cues
Close Price (Rs)141.95181.75190.00174.95169.65 227.25523.30
High Price (Rs)251.55278.00270.00230.50334.00 677.40542.70
Low Price (Rs)127.65159.25154.70154.60149.00 215.00197.40
Market Cap (Rs Cr)215.31288.26311.68285.52279.46 372.44856.74
Price / Earnings4.725.6014.1332.3221.67 13.1619.23
Price / Book Value0.670.881.061.010.99 1.333.27
Dividend Yield (%)3.532.752.632.872.93 2.200.96
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
4.38
Piotroski F-Score
8
Modified C-Score
0
5-Years Price to Earnings
4.72
5-Years Price to Book
0.67
Earnings Yield
EBIT / Enterprise value
74.21%
PEG
Price / Earnings to growth ratio
5.94
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As on Sep 18, 15:59