* price as on 19 Nov 2024
Financial
Mar-21A Mar-22A Mar-23F Mar-24F
Revenue (Rsm) 3,639,496 5,746,190 5,369,112 5,160,525
Operating EBITDA (Rsm) 405,849 454,803 380,577 412,103
Net Profit (Rsm) 216,382 249,449 190,569 204,673
Core EPS (Rs) 15.3 17.7 13.5 14.5
Core EPS Growth (1,675.2%) 15.3% (23.6%) 7.4%
FD Core P/E (x) 8.69 7.54 9.86 9.18
DPS (Rs) 8.0 8.0 7.0 7.0
Dividend Yield 6.01% 6.01% 5.26% 5.26%
EV/EBITDA (x) 6.37 5.18 6.86 6.46
P/FCFE (x) 17.66 25.18 28.67 21.04
Net Gearing 90.3% 61.1% 74.1% 72.4%
P/BV (x) 1.68 1.45 1.33 1.24
ROE 20.9% 20.6% 14.1% 14.0%
% Change In Core EPS Estimates
InCred Research/Consensus EPS (x)
(Rs mn) Mar-21A Mar-22A Mar-23F Mar-24F
Total Net Revenues 3,639,496 5,746,190 5,369,112 5,160,525
Gross Profit 884,907 929,405 880,721 932,415
Operating EBITDA 405,849 454,803 380,577 412,103
Depreciation And Amortisation (109,415) (114,731) (117,184) (127,625)
Operating EBIT 296,434 340,073 263,393 284,478
Financial Income/(Expense) (35,891) (51,591) (47,552) (47,520)
Pretax Income/(Loss) from Assoc. 11,969 16,021 15,573 15,143
Non-Operating Income/(Expense) 34,995 29,949 21,175 20,520
Profit Before Tax (pre-EI) 307,507 334,451 252,589 272,621
Exceptional Items
Pre-tax Profit 307,507 334,451 252,589 272,621
Taxation (89,885) (82,131) (61,771) (67,078)
Exceptional Income - post-tax
Profit After Tax 217,622 252,320 190,818 205,543
Minority Interests (1,240) (2,871) (249) (870)
Preferred Dividends
FX Gain/(Loss) - post tax
Other Adjustments - post-tax
Net Profit 216,382 249,449 190,569 204,673
Recurring Net Profit 216,382 249,449 190,569 204,673
Fully Diluted Recurring Net Profit 216,382 249,449 190,569 204,673
(Rs mn) Mar-21A Mar-22A Mar-23F Mar-24F
EBITDA 405,849 454,803 380,577 412,103
Cash Flow from Invt. & Assoc. 34,995 29,949 21,175 20,520
Change In Working Capital 167,506 215,375 (172,930) 31,396
(Incr)/Decr in Total Provisions
Other Non-Cash (Income)/Expense 25,252 1,149 527 718
Other Operating Cashflow 44,177 2,746 (1,359) (1,583)
Net Interest (Paid)/Received (35,891) (51,591) (47,552) (47,520)
Tax Paid (89,885) (82,131) (61,771) (67,078)
Cashflow From Operations 552,003 570,300 118,667 348,556
Capex (242,949) (263,436) (312,486) (316,432)
Disposals Of FAs/subsidiaries
Acq. Of Subsidiaries/investments (89,837) (12,682) (2,500)
Other Investing Cashflow
Cash Flow From Investing (332,786) (276,118) (314,986) (316,432)
Debt Raised/(repaid) (131,372) (219,540) 261,889 57,228
Proceeds From Issue Of Shares
Shares Repurchased
Dividends Paid (96,405) (91,788) (74,843) (98,849)
Preferred Dividends
Other Financing Cashflow
Cash Flow From Financing (227,777) (311,328) 187,046 (41,620)
Total Cash Generated (8,560) (17,146) (9,273) (9,497)
Free Cashflow To Equity 87,845 74,642 65,570 89,352
Free Cashflow To Firm 255,108 345,773 (148,767) 79,644
(Rs mn) Mar-21A Mar-22A Mar-23F Mar-24F
Total Cash And Equivalents 147,735 146,610 152,910 158,460
Total Debtors 138,003 23,994 176,317 169,639
Inventories 834,275 875,413 880,520 850,487
Total Other Current Assets 159,847 164,538 166,583 168,670
Total Current Assets 1,279,860 1,210,555 1,376,330 1,347,256
Fixed Assets 1,945,109 2,093,814 2,289,115 2,477,923
Total Investments 324,180 336,862 339,362 339,362
Intangible Assets 10 19,285 19,285 19,285
Total Other Non-Current Assets
Total Non-current Assets 2,269,300 2,449,961 2,647,763 2,836,570
Short-term Debt 475,800 171,762 431,651 486,878
Current Portion of Long-Term Debt
Total Creditors 1,005,853 1,153,293 1,139,838 1,136,611
Other Current Liabilities
Total Current Liabilities 1,481,653 1,325,055 1,571,489 1,623,489
Total Long-term Debt 690,731 775,229 777,229 779,230
Hybrid Debt - Debt Component
Total Other Non-Current Liabilities
Total Non-current Liabilities 690,731 775,229 777,229 779,230
Total Provisions 248,636 249,540 250,067 250,784
Total Liabilities 2,421,020 2,349,825 2,598,785 2,653,504
Shareholders Equity 1,118,380 1,298,159 1,412,624 1,516,865
Minority Interests 9,759 12,533 12,684 13,458
Total Equity 1,128,139 1,310,692 1,425,308 1,530,323
Mar-21A Mar-22A Mar-23F Mar-24F
Revenue Growth (24.9%) 57.9% (6.6%) (3.9%)
Operating EBITDA Growth 245.1% 12.1% (16.3%) 8.3%
Operating EBITDA Margin 11.2% 7.9% 7.1% 8.0%
Net Cash Per Share (Rs) (72.15) (56.68) (74.78) (78.44)
BVPS (Rs) 79.20 91.93 100.04 107.42
Gross Interest Cover 8.26 6.59 5.54 5.99
Effective Tax Rate 29.2% 24.6% 24.5% 24.6%
Net Dividend Payout Ratio 36.9% 34.1% 39.2% 36.4%
Accounts Receivables Days 13.57 5.15 6.81 12.23
Inventory Days 99.67 64.78 71.40 74.72
Accounts Payables Days 120.32 81.81 93.24 98.26
ROIC (%) 10.7% 12.6% 8.2% 8.3%
ROCE (%) 13.8% 15.3% 11.0% 10.7%
Return On Average Assets 9.8% 10.3% 7.5% 7.5%

Analyst(s)

Satish KUMAR

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

Abbas PUNJANI

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