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RAJESWARI GR Fact Sheet  (RJGR)



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Here is the latest financial fact sheet of RAJESWARI GR. For more details, see the RAJESWARI GR quarterly results and RAJESWARI GR share price.

RAJESWARI GR Price History

Price Rs 3.6
Mkt Cap Rs m 20
Vol '000 0.1
P/E X -5.7
P/CF X 37.1
EPS (TTM) Rs -0.6
1 Day % 0.0
No. of shares m 5.53
1 Week % 0.0
1 Month % 0.0
1 Year % -
52 week H/L Rs 6.9/3.5
As on Apr 26, 2024 (Close)
* Results Consolidated
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RAJESWARI GR Financials

No. of Mths
Year Ending
12
Mar-18
*
12
Mar-19
*
12
Mar-20
*
12
Mar-21
*
12
Mar-22
*
5-Yr Chart
Click to enlarge
RAJESWARI GR EQUITY SHARE DATA
High Rs899821 
Low Rs35843 
Sales per share (Unadj.) Rs0.206.77.23.7 
Earnings per share (Unadj.) Rs-1.1-1.41.41.1-0.2 
Diluted earnings per shareRs-1.1-1.41.41.1-0.2 
Cash flow per share (Unadj.) Rs-0.5-0.91.91.40.1 
Dividends per share (Unadj.) Rs00000 
Adj. dividends per shareRs0.000.000.000.000.00 
Avg Dividend yield %00000 
Book value per share (Unadj.) Rs-0.2-1.6-0.20.90.7 
Adj. book value per shareRs-0.2-1.6-0.20.90.7 
Shares outstanding (eoy) m5.535.535.535.535.53 
Bonus / Rights / Conversions  00000 
Price / Sales ratio x33.901.30.83.3 
Avg P/E ratio x-4.9-4.76.35.5-77.1 
P/CF ratio (eoy) x-10.1-7.54.74.1124.9 
Price / Book Value ratio x-29.0-4.2-42.56.817.3 
Dividend payout %00000 
Avg Mkt Cap Rs m3137493367 
No. of employees `000NANANANANA 
Total wages/salary Rs m21222 
Avg. sales/employee Rs Th00000 
Avg. wages/employee Rs Th00000 
Avg. net profit/employee Rs Th00000 
RAJESWARI GR INCOME DATA
Net Sales Rs m10374021 
Other income Rs m33923 
Total revenues Rs m43474223 
Gross profit Rs m-4-716-1 
Depreciation Rs m33321 
Interest Rs m10001 
Profit before tax Rs m-6-7860 
Minority Interest Rs m00000 
Prior Period Items Rs m00000 
Extraordinary Inc (Exp) Rs m00000 
Tax Rs m00000 
Profit after tax Rs m-6-886-1 
Gross profit margin %-473.703.915.0-2.7 
Effective tax rate %-8.1-5.44.35.9-82.9 
Net profit margin %-698.9020.914.9-4.2 
RAJESWARI GR BALANCE SHEET DATA
Current assets Rs m1601571149087 
Current liabilities Rs m196212172147149 
Net working cap to sales %-3,953.20-155.5-143.4-301.5 
Current ratio x0.80.70.70.60.6 
Inventory Days Days41909917 
Debtors Days Days59,639,7830152172470 
Net fixed assets Rs m6361585655 
Share capital Rs m5555555555 
"Free" reserves Rs m-56-64-56-51-51 
Net worth Rs m-1-9-154 
Long term debt Rs m43281581 
Total assets Rs m224218172146141 
Interest coverage x-4.4-23.955.3105.80.6 
Debt to equity ratio x-40.7-3.2-12.71.60.4 
Sales to assets ratio x000.20.30.1 
Return on assets %-2.3-3.54.64.10.1 
Return on equity %593.488.2-677.7124.0-22.5 
Return on capital %-11.3-36.761.451.710.8 
Exports to sales %00000 
Imports to sales %00000 
Exports (fob) Rs m00000 
Imports (cif) Rs m00000 
Fx inflow Rs m00000 
Fx outflow Rs m00000 
Net fx Rs m00000 
RAJESWARI GR CASH FLOW
From Operations Rs m 9 17 31 20 5 
From Investments Rs m 0 0 0 0 0 
From Financial Activity Rs m -10 -17 -32 -20 -6 
Net Cashflow Rs m -1 -0 -1 -0 -1 
* Results Consolidated
Source: Accord Fintech, Equitymaster

Share Holding

Promoters 51.9%
Institution 0.0%
Non-Institution 48.1%
Total 100.0%
Free Float 48.1%
Pledged promoter holdings 0.0%
Shareholding as on Mar 2024
 

Company Information

Regd Off Plot No - 284 And 285 Kamakotti Nagar, 3rd Main Road, Pallikaranai, Chennai - 600100
E-mail rajeswariltd@gmail.com Web www.rflindia.org
Tel 044-45522434 Fax 044-42024198
Sector CONSTRUCTION Group Private sector
Tr Agent Cameo Corporate Services Ltd, Subramanian Buildings No 1, Club House Road
CHM: G Ramamurthy COMP SEC: Bhupendra Kanjibhai Bhadani YEAR OF INC: 1993 BSE CODE: 526823 FV (Rs): 10 DIV YIELD (%): -

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