* price as on 19 Nov 2024
Financial
Mar-22A Mar-23F Mar-24F Mar-25F
Revenue (Rsm) 510,856 486,278 451,689 462,805
Operating EBITDA (Rsm) 155,134 69,239 73,583 72,808
Net Profit (Rsm) 82,553 24,512 29,580 27,772
Core EPS (Rs) 84.3 24.3 29.3 27.5
Core EPS Growth 40.1% (71.2%) 20.7% (6.1%)
FD Core P/E (x) 10.64 35.68 29.57 31.49
DPS (Rs)
Dividend Yield
EV/EBITDA (x) 6.33 13.36 11.97 11.51
P/FCFE (x) 51.69 (78.09) 14.57 14.56
Net Gearing 23.9% 9.0% (2.0%) (11.4%)
P/BV (x) 2.46 2.30 2.13 2.00
ROE 25.4% 6.7% 7.5% 6.5%
% Change In Core EPS Estimates
InCred Research/Consensus EPS (x)
(Rs mn) Mar-22A Mar-23F Mar-24F Mar-25F
Total Net Revenues 510,856 486,278 451,689 462,805
Gross Profit 305,831 264,226 275,564 281,201
Operating EBITDA 155,134 69,239 73,583 72,808
Depreciation And Amortisation (20,968) (28,525) (28,947) (29,334)
Operating EBIT 134,167 40,714 44,636 43,474
Financial Income/(Expense) (18,877) (9,076) (5,955) (6,942)
Pretax Income/(Loss) from Assoc.
Non-Operating Income/(Expense) 504 1,962 1,962 1,962
Profit Before Tax (pre-EI) 115,793 33,601 40,644 38,495
Exceptional Items (4,062)
Pre-tax Profit 111,731 33,601 40,644 38,495
Taxation (29,245) (9,089) (11,064) (10,722)
Exceptional Income - post-tax
Profit After Tax 82,485 24,512 29,580 27,772
Minority Interests 67
Preferred Dividends
FX Gain/(Loss) - post tax
Other Adjustments - post-tax
Net Profit 82,553 24,512 29,580 27,772
Recurring Net Profit 85,552 24,512 29,580 27,772
Fully Diluted Recurring Net Profit 85,552 24,512 29,580 27,772
(Rs mn) Mar-22A Mar-23F Mar-24F Mar-25F
EBITDA 155,134 69,239 73,583 72,808
Cash Flow from Invt. & Assoc.
Change In Working Capital 100 13,109 (4,871) (3,486)
(Incr)/Decr in Total Provisions
Other Non-Cash (Income)/Expense 14,430 (423) 940 30
Other Operating Cashflow (5,044) (7,139) (14,211) (12,540)
Net Interest (Paid)/Received (23,747) (9,076) (5,955) (6,942)
Tax Paid 19,604 9,089 11,064 10,722
Cashflow From Operations 160,478 74,799 60,550 60,592
Capex (28,722) (12,741) (10,500) (10,500)
Disposals Of FAs/subsidiaries
Acq. Of Subsidiaries/investments
Other Investing Cashflow 5,409
Cash Flow From Investing (23,313) (12,741) (10,500) (10,500)
Debt Raised/(repaid) (120,166) (73,259) 10,000 10,000
Proceeds From Issue Of Shares (4,966)
Shares Repurchased
Dividends Paid
Preferred Dividends
Other Financing Cashflow (26,064) (9,076) (5,955) (6,942)
Cash Flow From Financing (151,196) (82,334) 4,045 3,058
Total Cash Generated (14,031) (20,276) 54,095 53,151
Free Cashflow To Equity 16,998 (11,200) 60,050 60,092
Free Cashflow To Firm 160,911 71,134 56,005 57,034
(Rs mn) Mar-22A Mar-23F Mar-24F Mar-25F
Total Cash And Equivalents 40,006 19,730 73,825 126,976
Total Debtors 12,641 17,020 20,929 23,981
Inventories 72,814 71,460 65,137 65,903
Total Other Current Assets 140,628 144,327 150,210 153,651
Total Current Assets 266,089 252,537 310,101 370,512
Fixed Assets 475,782 459,998 441,551 422,717
Total Investments 1,378 1,378 1,378 1,378
Intangible Assets 4,480 4,480 4,480 4,480
Total Other Non-Current Assets 18,707 18,707 17,824 17,855
Total Non-current Assets 500,347 484,563 465,234 446,430
Short-term Debt 44,277 11,018 11,018 11,018
Current Portion of Long-Term Debt
Total Creditors 52,519 52,202 48,214 49,232
Other Current Liabilities 130,227 150,378 152,964 155,720
Total Current Liabilities 227,023 213,597 212,196 215,970
Total Long-term Debt 84,343 44,344 54,344 64,344
Hybrid Debt - Debt Component
Total Other Non-Current Liabilities 7,137 7,287 7,287 7,287
Total Non-current Liabilities 91,480 51,630 61,630 71,630
Total Provisions 76,981 76,408 76,465 76,526
Total Liabilities 395,483 341,636 350,291 364,126
Shareholders Equity 356,247 380,759 410,338 438,111
Minority Interests 14,705 14,705 14,705 14,705
Total Equity 370,952 395,464 425,044 452,816
Mar-22A Mar-23F Mar-24F Mar-25F
Revenue Growth 31.0% (4.8%) (7.1%) 2.5%
Operating EBITDA Growth 7.4% (55.4%) 6.3% (1.1%)
Operating EBITDA Margin 30.4% 14.2% 16.3% 15.7%
Net Cash Per Share (Rs) (87.68) (35.25) 8.37 51.07
BVPS (Rs) 352.48 376.73 405.99 433.47
Gross Interest Cover 7.11 4.49 7.50 6.26
Effective Tax Rate 26.2% 27.0% 27.2% 27.9%
Net Dividend Payout Ratio
Accounts Receivables Days 14.50 11.13 15.33 17.71
Inventory Days 117.71 118.58 141.54 131.69
Accounts Payables Days 82.70 86.07 104.05 97.93
ROIC (%) 24.7% 7.9% 8.9% 9.0%
ROCE (%) 23.1% 7.4% 8.2% 7.5%
Return On Average Assets 13.6% 4.5% 4.7% 4.4%

Analyst(s)

Satish KUMAR

(91) 22 4161 1562 satish.kumar@incredresearch.com

Abbas PUNJANI

(91) 22 4161 1598 abbas.punjani@incredresearch.com