Home > Share Market > Stocks > Premier Explosives LTD > Financial Statements > PREMEXPLN Key Financial Ratios

Premier explosives Financial Statements

PREMEXPLN Ratio Analysis

  • Tabular Data
  • Graph
  • Consolidated
  • Standalone
Y/e 31 Mar Mar-2021 Mar-2020 Mar-2018 Mar-2017
Growth matrix (%)        
Revenue growth (7.50) (40) 15.50 28.50
Op profit growth (216) (128) (34) 68.60
EBIT growth (111) (152) (33) 81.90
Net profit growth 9.94 (222) (48) 178
Profitability ratios (%)        
OPM 4.15 (3.30) 7.14 12.50
EBIT margin 0.65 (5.60) 6.50 11.20
Net profit margin (7.20) (6) 2.97 6.61
RoCE 0.37 (3.40) 7.98 19.40
RoNW (1.40) (1.30) 1.26 4.13
RoA (1) (0.90) 0.91 2.86
Per share ratios ()        
EPS (10) (9.30) 7.53 17.80
Dividend per share -- -- 2.50 3
Cash EPS (16) (14) 3.96 13.70
Book value per share 172 183 187 141
Valuation ratios        
P/E (15) (6.70) 44.50 19.70
P/CEPS (9.80) (4.40) 84.50 25.50
P/B 0.91 0.34 1.79 2.48
EV/EBIDTA 30.40 (27) 16.70 11.30
Payout (%)        
Dividend payout -- -- 32.60 20
Tax payout (69) (33) (37) (32)
Liquidity ratios        
Debtor days 112 162 102 75.50
Inventory days 94.40 88.20 48.20 44
Creditor days (61) (55) (30) (25)
Leverage ratios        
Interest coverage (0.10) 1.61 (3.40) (6.20)
Net debt / equity 0.28 0.21 0.04 0.26
Net debt / op. profit 8.21 (7.70) 0.38 1.12
Cost breakup ()        
Material costs (48) (52) (59) (53)
Employee costs (31) (31) (20) (21)
Other costs (16) (21) (14) (14)

Invest wise with Expert advice

Open Demat Account

Invest wise with Expert advice

By continuing, I accept the Terms & Conditions and agree to receive updates on Whatsapp