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VMS TMT
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VMS TMT share price
VMS TMT Ltd.
21
0
0
The company is currently not listed and is under IPO, so all the data might not be available.
Peer Comparison
View Full Peer Comparison
* The Peers list includes companies operating in the same industry and having comparable market cap.
Ratios
Sales Growth
1 Year
-1.03%
3 Year
NA
5 Year
NA
Profit Growth
1 Year
221.04%
3 Year
NA
5 Year
NA
ROE%
1 Year
34.82%
3 Year
29.53%
ROCE %
1 Year
17.25%
3 Year
13.06%
Debt/Equity
4.2539
Price to Cash Flow
0
Interest Cover Ratio
0
CFO/PAT
(5 Yr. Avg.)
0
Strengths
Company has been maintaining healthy ROE of
29.5303
% over the past 3 years.
The company has an efficient Cash Conversion Cycle of
0
days.
Limitations
The company has shown a poor profit growth of
0
% for the Past 3 years.
The company has shown a poor revenue growth of
0
% for the Past 3 years.
Company has high Debt to Equity ratio of
4.2539
.
Company has low Interest coverage ratio of
0
.
The company has a low EBITDA margin of
0
% over the past 5 years.
Profit & Loss
(All Figures in Cr. Adjusted EPS in Rs.)
PARTICULARS
Mar 2022
Mar 2023
Mar 2024
Net Sales
493.73
882.01
872.96
Total Expenditure
477.69
860.01
831.47
Operating Profit
16.04
22.01
41.49
Other Income
0.02
0.04
0.21
Interest
5.62
12.93
18.47
Depreciation
1.44
3.58
3.93
Exceptional Items
0
0
0
Profit Before Tax
9
5.55
19.3
Tax
2.12
1.35
5.83
Net Profit
6.88
4.2
13.47
Adjusted EPS (Rs.)
2.78
1.33
4.04
Balance Sheet
(All Figures are in Crores.)
Particulars
Mar 2022
Mar 2023
Mar 2024
Equity and Liabilities
Share Capital
9.9
12.61
13.34
Total Reserves
8.8
18.23
33.18
Borrowings
70.92
93.44
104.53
Other N/C liabilities
2.09
3.83
5.84
Current liabilities
66.12
99.22
128.26
Total Liabilities
157.82
227.33
285.14
Assets
Net Block
71.18
75.75
73.76
Capital WIP
0
3.61
51.68
Intangible WIP
0
0
0
Investments
0
0
0
Loans & Advances
0.44
15.57
11.66
Other N/C Assets
0.42
0.54
5.15
Current Assets
85.77
131.86
142.89
Total Assets
157.82
227.33
285.14
* Other Non-current Liabilities include Net deferred Liabilities
Cash Flows
(All Figures are in Crores.)
PARTICULARS
Mar 2023
Mar 2024
Profit from operations
5.55
19.3
Adjustment
16.48
22.22
Changes in Assets & Liabilities
-33.44
-3.86
Tax Paid
0.1
-0.1
Operating Cash Flow
-11.3
37.55
Investing Cash Flow
-27.01
-50.24
Financing Cash Flow
40.51
18.56
Net Cash Flow
2.19
5.88
Corporate Actions
Dividend
Bonus
Rights
Split
Company News
No Latest News available for this company.
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