Purity Flex Pack Ltd - Stock Valuation and Financial Performance

BSE: 523315 | NSE: | Packaging | Small Cap

Purity Flex Pack Share Price

2.04 0.00 0.00%
as on 19-Feb'20 18:01

DeciZen - make an informed investing decision on Purity Flex Pack

M-Cap below 100cr DeciZen not available

Purity Flex Pack stock performance -

mw4me loader
P/E Ratio (SA):
0.23
Market Cap:
0.2 Cr.
52-wk low:
2
52-wk high:
2

Is Purity Flex Pack Ltd. an attractive stock to invest in?


Login to view analysis.

10 Year X-Ray of Purity Flex Pack:

Analysis of Financial Track Record

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end
Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end.

Financial track record gives insight into the company's performance on key parameters over the past ten years. MoneyWorks4me’s proprietary colour codes make it easy for retail investors to gauge the company’s past performance.

Value Creation

Value Creation Index Colour Code Guide

Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23TTM
ROCE % 17.9%9.9%13.4%24.3%12.8%8.9%10.4%24.8%3.1%5.2%-
Value Creation
Index
0.3-0.30.00.7-0.1-0.4-0.30.8-0.8-0.6-

Growth Parameters

Growth Parameters Colour Code Guide

Sales 45.647.451.25661.363.771.593.4104116115
Sales YoY Gr.-3.9%8.1%9.3%9.5%3.9%12.3%30.6%11.4%11.1%-
Adj EPS 169.117.743.226.819.224.182.549.99
YoY Gr.--42.8%93.9%143.6%-37.8%-28.4%25.5%242.3%-95.2%148.3%-
BVPS (₹) 67.676.494.1137.5164.6183.7207.6290.4293.7303.6203.8
Adj Net
Profit
1.711.94.62.92.12.68.90.41.11
Cash Flow from Ops. 2.11.36.35.85.64.65.46.35.55-
Debt/CF from Ops. 3.410.51.71.52.532.51.73.63.8-

CAGR

CAGR Colour Code Guide

9 Years 5 Years 3 Years 1 Years
Sales 10.9%13.5%17.3%11.1%
Adj EPS -5.2%-18%-25.6%148.3%
BVPS18.2%13%13.5%3.4%
Share Price - 1.9% - -

Key Financial Parameters

Performance Ratio Colour Code Guide

Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23TTM
Return on
Equity %
26.812.720.837.317.81112.333.11.43.33.6
Op. Profit
Mgn %
7.67.710.716.711.98.311.415.34.96.26.3
Net Profit
Mgn %
3.82.13.78.34.73.23.69.50.40.90.8
Debt to
Equity
11.610.60.80.70.60.30.60.60.2
Working Cap
Days
82938482981071049410810154
Cash Conv.
Cycle
61715102435363232271

Recent Performance Summary

Login to view analysis.
Login to view analysis.

Latest Financials - Purity Flex Pack Ltd.

Standalone Consolidated
TTM EPS (₹) 9 -
TTM Sales (₹ Cr.) 115 -
BVPS (₹.) 203.8 -
Reserves (₹ Cr.) 21 -
P/BV 0.01 -
PE 0.23 -
From the Market
52 Week Low / High (₹) 2.04 / 2.04
All Time Low / High (₹) 0.30 / 50.00
Market Cap (₹ Cr.) 0.2
Equity (₹ Cr.) 1.1
Face Value (₹) 10
Industry PE 19.3

Management X-Ray of Purity Flex Pack:

Shareholding Pattern

Promoter's Holding & Share Pledging

Pledged *0.000.000.000.000.000.000.000.000.000.00
* Pledged shares as % of Promoter's holding (%)

Event Update

Login/Register to view analysis.

Analyst's Notes

Key Ratios of Purity Flex Pack

Adj EPS (Rs.)

Sales (Cr.)

ROE (%)

ROCE (%)

Profit And Loss

(All Figures are in Crores.)
PARTICULARSMar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23
Sales45.6147.4051.2356.0161.3463.7071.5493.43104.06115.59
Operating Expenses 42.1343.8045.7546.6654.0458.4163.4979.2999.08108.54
Manufacturing Costs2.352.784.133.583.734.245.555.967.409.13
Material Costs36.2636.3236.4437.4742.6245.6048.4162.4378.7484.93
Employee Cost 1.562.322.182.433.524.304.495.656.667.09
Other Costs 1.952.3833.194.174.285.055.256.287.39
Operating Profit 3.483.605.489.357.305.298.0414.144.997.05
Operating Profit Margin (%) 7.6%7.6%10.7%16.7%11.9%8.3%11.2%15.1%4.8%6.1%
Other Income 0.090.110.020.150.110.100.070.420.210.09
Interest 0.861.101.291.050.951.171.461.041.442.28
Depreciation 0.761.201.361.551.972.322.432.573.143.67
Exceptional Items 0000000000
Profit Before Tax 1.951.402.866.904.491.894.2310.950.621.20
Tax 0.240.460.962.281.61-0.161.702.120.270.24
Profit After Tax 1.720.941.904.622.882.042.528.840.350.97
PAT Margin (%) 3.8%2.0%3.7%8.2%4.7%3.2%3.5%9.5%0.3%0.8%
Adjusted EPS (₹)16.08.817.743.026.819.023.582.33.29.0
Dividend Payout Ratio (%)0%0%0%0%0%0%0%0%0%0%

Balance Sheet

(All Figures are in Crores.)
PARTICULARSMar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23

Equity and Liabilities

Shareholders Fund 7.258.2010.1014.7617.6619.7122.2931.1731.5332.58
Share Capital 1.071.071.071.071.071.071.071.071.071.07
Reserves 6.187.129.0213.6916.5918.6421.2130.0930.4631.51
Minority Interest0000000000
Debt5.7010.638.467.3411.6210.1810.337.4614.6914.38
Long Term Debt1.345.274.472.968.486.275.705.0812.048.31
Short Term Debt4.365.3644.383.153.914.642.382.656.06
Trade Payables8.017.656.589.2310.1111.1210.4511.8823.7217.46
Others Liabilities 3.144.604.644.576.187.888.389.8011.3811.30
Total Liabilities 24.1031.0829.7735.9045.5848.8951.4560.3181.3275.73

Fixed Assets

Gross Block17.5723.6526.8928.8938.6441.9344.9647.6063.9365.82
Accumulated Depreciation6.467.608.8610.3212.2614.2915.9416.2819.4123.08
Net Fixed Assets11.1016.0518.0318.5726.3827.6329.0231.3244.5142.74
CWIP 0.010.5700.1000000.150.05
Investments 0.010.010.010.380.700.750.590.850.950.96
Inventories6.267.084.696.807.188.639.1613.1316.9914.95
Trade Receivables4.934.925.327.049.529.5210.429.6115.0912.79
Cash Equivalents 0.670.280.240.800.940.730.750.881.582.08
Others Assets1.112.171.482.220.861.621.504.522.042.15
Total Assets 24.1031.0829.7735.9045.5848.8951.4560.3181.3275.73

Cash Flow

(All Figures are in Crores.)
PARTICULARSMar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23
Cash Flow From Operating Activity 2.081.256.335.785.554.595.376.285.524.99
PBT 1.951.402.864.674.491.894.2310.950.621.20
Adjustment 1.592.242.384.792.763.373.853.444.325.81
Changes in Working Capital -1.03-2.261.78-1.62-0.84-0.37-2.01-5.391.08-1.91
Tax Paid -0.43-0.14-0.69-2.07-0.86-0.30-0.71-2.73-0.51-0.12
Cash Flow From Investing Activity -2.32-6.65-2.67-2.48-9.89-3.26-3.73-5.25-14.79-2.77
Capex -2.35-6.76-2.77-2.20-9.68-3.61-3.80-5.05-14.78-1.80
Net Investments 000-0.37-0.300.300.02-0.23-0.12-1.05
Others 0.030.110.100.090.080.060.060.040.110.08
Cash Flow From Financing Activity -0.065-3.70-3.114.12-1.25-1.66-1.099.85-2.78
Net Proceeds from Shares 0000000000
Net Proceeds from Borrowing 000-1.996.26-0.89-1.22-0.648.95-3.87
Interest Paid -0.86-1.10-1.10-1-0.90-1.12-1.17-1.13-1.29-2.09
Dividend Paid 0000000000
Others 0.806.11-2.59-0.12-1.230.760.730.682.193.17
Net Cash Flow -0.30-0.40-0.040.19-0.220.09-0.02-0.070.58-0.56
PARTICULARSMar'14Mar'15Mar'16Mar'17Mar'18Mar'19Mar'20Mar'21Mar'22Mar'23
Ratios
ROE (%)26.8612.2320.7837.1617.7710.9412.0233.071.113.02
ROCE (%)21.7414.1219.7935.9419.699.4116.4131.014.456.77
Asset Turnover Ratio2.241.891.841.881.541.351.431.671.471.47
PAT to CFO Conversion(x)1.211.333.331.251.932.252.130.7115.775.14
Working Capital Days
Receivable Days29343337485551394344
Inventory Days45473834414545445350
Payable Days78797177838581658388

Purity Flex Pack Ltd Stock News

Purity Flex Pack Ltd FAQs

Company share prices are keep on changing according to the market conditions. The closing price of Purity Flex Pack on 19-Feb-2020 18:01 is ₹2.04.
Market capitalization or market cap is determined by multiplying the current market price of a company's shares with the total number of shares outstanding. As of 19-Feb-2020 18:01 the market cap of Purity Flex Pack stood at ₹0.22.
The latest P/E ratio of Purity Flex Pack as of 19-Feb-2020 18:01 is 0.23.
The latest P/B ratio of Purity Flex Pack as of 19-Feb-2020 18:01 is 0.01.
The 52-week high of Purity Flex Pack is ₹2.04 and the 52-week low is ₹2.04.
The TTM revenue is Trailing Twelve Months sales. The TTM revenue/sales of Purity Flex Pack is ₹115.5 ( Cr.) .

About Purity Flex Pack Ltd

No data to display
To get DeciZen Rating of 3,500+ Stocks based on their Quality, Valuation and Price Trend Login Now
© 2024 The Alchemists Ark Pvt. Ltd. All rights reserved. MoneyWorks4Me ® is a registered trademark of The Alchemists Ark Pvt.Ltd.