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Regaliaa Realty

Sector: Construction | Industry: Infrastructure
R 16.50 -0.10  | -0.60% - - 5.94
BSE Price: Jul 30, 2019 Change R    |  % 1-Year Change P/E Market Cap (R Cr)
BSE Jul 30, 2019 16.50 -0.10 -0.60% 16.30 16.60 392 16.30 - 16.90
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 Mar-13
Income StatementR Cr
Operating Revenue0.00---- -3.82
Other Income0.00---- 0.260.27
Total Income0.000.000.000.000.00 0.264.09
Total Expenditure0.090.150.090.130.24 0.294.47
Operating Profit-0.09-0.15-0.09-0.13-0.24 -0.03-0.38
Interest0.060.040.060.060.06 0.070.71
PBDT-0.15-0.19-0.15-0.20-0.30 -0.10-1.09
Depreciation0.010.010.020.020.09 0.040.07
PBT & Exceptional Items-0.16-0.21-0.16-0.21-0.39 -0.14-1.15
Exceptional Items0.00--0.89--0.48 --
Profit before Tax-0.16-0.21-1.06-0.21-0.87 -0.14-1.15
Provision for Tax0.00---- 0.010.01
Profit after Tax-0.16-0.21-1.06-0.21-0.87 -0.16-1.17
 
LiabilitiesR Cr
Share Capital3.603.603.603.603.60 3.603.60
Total Reserves-6.13-5.96-5.75-4.70-4.49 -3.61-3.46
Shareholder's Funds-2.53-2.36-2.15-1.10-0.89 -0.010.14
Long Term Borrowings5.175.084.8911.4911.26 9.708.36
Other Non Current Liabilities0.000.000.000.000.00 0.000.00
Current Liabilities4.894.824.816.086.07 7.638.52
Total Debt*-5.084.8911.4911.26 10.209.80
Total Liabilities7.527.537.5516.4716.44 17.3117.03
 
AssetsR Cr
Net Block0.560.580.590.610.62 0.740.79
Non Current Investments----- --
Other Non-Current Assets0.620.620.620.620.62 0.620.63
Current Investments----- --
Cash and Bank0.000.000.000.000.00 0.010.18
Other Current Assets6.346.346.3415.2415.20 15.9415.42
Net Current Assets1.451.521.539.179.13 8.337.08
Miscellaneous Exp. Not Written Off----- --
Total Assets7.527.537.5516.4716.44 17.3117.03
 
Cash FlowR Cr
From Operations--0.14-0.12-0.17-1.52 -1.460.70
From Investing Activities----0.02 0.010.06
From Finance Activities-0.140.120.171.50 1.27-0.66
Net Inflow/Outflow----0.00-0.01 -0.170.09
 
Key Ratios
Adjusted EPS (Rs)-0.45-0.57-2.94-0.59-2.42 -0.43-3.24
Adjusted Book Value (Rs)-7.12-6.56-5.98-3.05-2.46 -0.030.40
Dividend per Share (Rs)-0.000.000.000.00 0.000.00
Cash Flow per Share (Rs)--0.39-0.33-0.47-4.23 -4.051.94
Debt to Equity-2.04-2.15-2.27-10.47-12.71 -891.7467.68
Current Ratio1.301.321.322.512.50 2.091.83
ROCE (%)--5.94-15.20-1.41-7.87 -0.75-4.27
RONW (%)6.440.000.000.000.00 -234.32-160.21
Operating Margin (%)----- --9.95
Net Margin (%)----- -59.34-28.51
Revenue Growth (%)----- -100.00138.08
Net Profit Growth (%)95.5180.52-400.1975.70-456.84 86.6070.79
EPS Growth (%)95.5180.52-400.1575.70-456.89 86.6070.79
Book Value Growth (%)--9.67-96.34-23.86-7,644.85 -107.90-88.96
 
Market Cues
Close Price (Rs)----- --
High Price (Rs)----- --
Low Price (Rs)----- --
Market Cap (Rs Cr)5.94---- -5.58
Price / Earnings0.000.000.000.000.00 0.000.00
Price / Book Value-2.320.000.000.000.00 -456.4338.57
Dividend Yield (%)0.00---- 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
-0.55
Piotroski F-Score
3
Modified C-Score
3
3-Years Price to Earnings
Not available
3-Years Price to Book
-2.32
Earnings Yield
EBIT / Enterprise value
-0.91%
PEG
Price / Earnings to growth ratio
Not available
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As on Sep 20, 15:59