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SENSEX185.23
73,319.550.25%

Maximaa Systems Ltd.

(ઉદ્યોગ - Steel & Iron Products)

0.84

0.00 (0.00%)
બીએસઈ: 526538 | એનએસઈ:
વેબસાઇટ: http://www.maximaagroup.com

આજે ઊંચો/નીચો

L
H
0.760.84

૫૨ અઠવાડિયું ઉચ્ચ/નીચું

L
H
00
માર્કેટ કેપ.
₹ 4.87 Cr.
પી/ઇ રેશિયો
N/A
પી/બી રેશિયો
-0.4
વર્તમાન કિંમત
₹ 0.84
ખુલ્લું
₹ 0.81
ઉચ્ચ
₹ 0.84
પાછલું બંધ કરો
₹ 0.84
વેપાર થયેલ જથ્થો
1,39,576
૫૨ સપ્તાહનો ઉચ્ચતમ સ્તર
₹ undefined
૫૨ અઠવાડિયાનો સૌથી નીચો સ્તર
₹ undefined
ડિવિડન્ડ ઉપજ
0%
EBITDA માર્જિન
0%
આરઓઇ
undefined%
પુસ્તક મૂલ્ય
₹ -2.09
ફેસ વેલ્યુ
₹ 2

શેરહોલ્ડિંગ

Dec 2021Sep 2021Jun 2021Mar 2021Dec 2020
Promoters31.1631.1631.1631.1631.16
Mutual Funds UTI0.000.000.000.000.00
FII/Banks0.000.000.000.000.00
Others68.8468.8468.8468.8468.84

ત્રિમાસિક પરિણામો

(All figures In ₹ Cr.)Dec 2019Mar 2020Jun 2020Sep 2020Dec 2020Mar 2021Jun 2021Sep 2021Trend 2019-21
Sales0.40.40.040.750.160.04--
Other Income0-0.0100.020.080.01-
Operating Profit-0.79-11.12-0.22-3.48-1.310.090-
Interest-0.07------
Depreciation0.091.140.270.30.15---
Taxation---------
Net Profit / Loss-0.88-12.33-0.49-3.78-1.46-2.80-

વાર્ષિક પરિણામો

(All figures In ₹ Cr.)Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Trend 2016-20
Sales19.4412.2812.1711.153.72
Other Income1.950.010.210.62-
Operating Profit1.171.060.731.93-17.76
Interest1.040.090.031.30.12
Depreciation0.820.70.71.481.41
Taxation------
Net Profit / Loss-0.680.26--0.85-19.29

રોકડ પ્રવાહ

(All figures In ₹ Cr.)Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Trend 2016-20
Cash from Operating Activity-1.110.64-0.41-5.50.51
Cash from Investing Activity-1.17-0.08-0.050.13-0.07
Cash from Financing Activity2.02-0.670.025.39-0.46
Net Cash Flow-0.26-0.11-0.440.02-0.02

બેલેન્સ શીટ

Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Trend 2016-20
Share Capital11.2810.1210.1211.611.6
Reserve4.464.284.283.11-15.17
Borrowings13,63,30,91213,26,33,65611,21,26,98411,86,35,84012,44,05,504
Other Liabilities3.63.425.190.240.21
Total Liabilities25.4421.2622.2524.014.76
Fixed Assets15.6114.9914.2911.8610.52
CWIP------
Investments6.0732.773.42.34
Other Assets0.50.49-0.040.04
Total Assets25.4421.2622.2524.014.76

નાણાકીય ગુણોત્તર

Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Trend 2013-20
Total Debt Mcap0.71.140.870.680.470.50.821.4
EPS Growth42.1108.91-68.58-4,493.05138.81-99.06--2,170.7
EV_EBITA7.886.8917.1945.7563.1877.6223.15-2
EBIT_Margin2.454.648.261.762.650.254.03-514.58
PAT_Margin-2.160.170.06-3.391.970.02-7.62-517.88
ROA-1.760.140.03-1.240.560.01-2.17-61.76

પીઅર કંપનીઓ

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
2,78,965.15
1,140.75
-0.46%
1,280.60 / 929.50
344.04
33.55
2,42,241.45
194.05
-0.33%
215.50 / 127.20
136.17
27.49
64,085.10
155.15
-0.51%
166.00 / 104.60
136.58
26.16
59,172.72
717.75
1.77%
866.25 / 512.30
218.48
19.79
52,634.31
1,895.65
-1.45%
2,280.65 / 1,439.70
117.95
46.10
22,325.92
846.35
2.39%
967.65 / 725.80
186.35
13.44
22,135.16
793.00
-0.47%
989.90 / 760.85
225.39
22.85
18,603.52
277.10
-0.38%
283.50 / 176.15
77.98
25.11
18,353.78
520.85
-1.88%
625.80 / 417.45
185.99
18.05
15,809.25
2,255.50
-0.14%
3,007.10 / 1,965.40
565.38
25.43

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