Sansera Engineering Ltd.

NSE: SANSERA BSE: 543358 SECTOR: Auto Ancillary  21k   28   12

746.60
-28.45 (-3.67%)
NSE: 22 Oct 03:57 PM

Price Summary

Today's High

₹ 784

Today's Low

₹ 735

52 Week High

₹ 860

52 Week Low

₹ 771

FinStar

Ownership Stable
Ownership strength is slightly missing the benchmark.
ValuationAttractive
The stock is considerably attractive based on intrinsic value.
EfficiencyOptimal
The company could improve upon its asset employment.
FinancialsWeak
Watch out! The company might not be able to sustain any adverse condition.
*It is just an analytical rating of the company and not an investment advice.

Company Essentials

Market Cap

3835.87 Cr.

Enterprise Value

4363.32 Cr.

No. of Shares

5.14 Cr.

P/E

46.68

P/B

1.88

Face Value

₹ 2

Div. Yield

0 %

Book Value (TTM)

₹  397.65

CASH

69.36 Cr.

DEBT

596.8 Cr.

Promoter Holding

36.56 %

EPS (TTM)

₹  15.99

Sales Growth

-8.15%

ROE

11.36 %

ROCE

10.9%

Profit Growth

-26.75 %

* Total debt includes long term borrowing, short term borrowing plus current maturities of long-term borrowing
* Ratios are based on latest Audited Financial Result.

Your Added Ratios

Please login to Add & View your own added ratios.

Login

Index Presence

The company is present in 1 Indices.

Price Chart 1d 1w 1m 3m 6m 1Yr 3Yr 5Yr

 

Volume Chart 1d 1w 1m 3m 6m 1Yr 3Yr 5Yr

* Prices are based on daily market changes.
* The chart is based on the standalone earnings of the company. * Negative values and values more than 1000x in PE chart is considered 0.

Peer Comparison

View Full Peer Comparison
* The Peers list includes companies operating in the same industry and having comparable market cap.

 Group Companies

Track the companies of Group.

Ratios

Sales Growth

1 Year-8.15%
3 Year9.28%
5 Year10.9%

Profit Growth

1 Year-26.75%
3 Year8.46%
5 Year7.55%

ROE%

1 Year11.36%
3 Year16.11%
5 Year16.28%

ROCE %

1 Year10.9%
3 Year16.58%
5 Year16.82%

Debt/Equity

0.7719

Price to Cash Flow

17.28

Interest Cover Ratio

2.68233215547703

CFO/PAT (5 Yr. Avg.)

1.95692693293496

Share Holding Pattern

Promoter Pledging %

Date Promoter % Pledge %
Sep 2021 36.56 0
Mar 2018 48.06 0
Investors List
* Figures given above are % of equity capital

 Strengths

  • The company has an efficient Cash Conversion Cycle of 88.729036733465 days.
  • The company has a good cash flow management; CFO/PAT stands at 1.95692693293496.
  • Promoter stake has increased from 0% to 48.06% in the last 1 quarter.

 Limitations

  • The company has shown a poor profit growth of 8.45769646030139% for the Past 3 years.
  • The company has shown a poor revenue growth of 9.28060312018975% for the Past 3 years.
  • Promoter stake has been decreased from 48.06% to 36.56%.

Quarterly Result (All Figures in Cr.)

Quarterly Data is not available for this company.Report us

Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020
Net Sales 835.97 966.67 1147.44 1373.57 1261.56
Total Expenditure 690.26 802.39 911.84 1105 1054.26
Operating Profit 145.71 164.29 235.6 268.57 207.31
Other Income 8.64 6.32 12.67 17.25 18.27
Interest 28.86 29.83 39.62 45.69 53.77
Depreciation 31.46 44.45 53.87 61.84 81.35
Exceptional Items 0 0 0 0 0
Profit Before Tax 94.03 96.32 154.78 178.29 90.46
Tax 22.27 31.91 55.02 66.11 8.29
Net Profit 71.76 64.41 99.76 112.18 82.17
Adjusted EPS (Rs.) 11084.67 9955.18 15418.86 23.9 17.51

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020
Equity and Liabilities
Share Capital 11.15 11.15 11.15 19.89 19.89
Total Reserves 430.83 488.53 588.77 692.49 771.43
Borrowings 72.21 110.12 172.04 204.05 164.47
Other N/C liabilities 27.09 57.45 79.79 125.82 122.48
Current liabilities 309.79 378.67 472.41 546.3 616.64
Total Liabilities 851.07 1045.91 1324.17 1588.55 1694.91
Assets
Net Block 367.17 549.78 608.02 827.07 897.78
Capital WIP 31.79 32.15 91.06 48.27 67.3
Intangible WIP 0 0 0 0 0
Investments 21.38 20.17 81.09 108.28 115.72
Loans & Advances 83.29 28.64 30.88 38.37 33.92
Other N/C Assets 0 0.44 0.81 0.67 0.8
Current Assets 347.43 414.73 512.3 565.89 579.39
Total Assets 851.07 1045.91 1324.17 1588.55 1694.91
* Other Non-current Liabilities include Net deferred Liabilities

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2016 Mar 2017 Mar 2018 Mar 2019 Mar 2020
Profit from operations 94.03 96.32 154.78 178.29 90.46
Adjustment 64.61 69.61 92.44 108.66 131.83
Changes in Assets & Liabilities -0.69 -67.36 -50.1 -10.32 23.97
Tax Paid -19.89 -14.56 -35.54 -40.18 -24.33
Operating Cash Flow 138.07 84.01 161.58 236.45 221.93
Investing Cash Flow -128.45 -156.31 -237.22 -263.24 -172.63
Financing Cash Flow 25.1 46.4 96.12 18.01 -12.74
Net Cash Flow 34.71 -25.9 20.48 -8.78 36.56

Corporate Actions

Investors Details

PARTICULARS Mar 2018% Sep 2021%
Promoters 48.06 36.56
total 48.06 -
s sekhar vasan 26.22 -
sekhar vasan - 19.95
d devaraj 7.28 -
fr singhvi 7.28 -
unni rajagopal k 7.28 5.54
devappa devaraj - 5.54
fatheraj singhvi - 5.44
p singhvi charitab... - 0.10
PARTICULARS Mar 2018% Sep 2021%
Investors 51.94 63.44
total 51.94 -
client ebene ltd. 32.69 -
client ebene limit... - 18.60
cvigp ii employee ... 18.31 -
cvcigp ii employee... - 10.42
government of sing... - 3.64
axis mutual fund t... - 3.25
abu dhabi investme... - 1.79
the nomura trust a... - 1.77
sbi life insurance... - 1.38
nissin manufacturi... 0.46 -
karthik das 0.32 -
llp - 0.20
anjana iyer 0.16 -

Annual Reports

No Annual reports exist for this company.Report us

Ratings & Research Reports

No Credit and Research reports exist for this company.Report us

Company Presentations

Currently we do not have any Presentation and Concall related to this company.Report us
X