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Modern Malleables Ltd.

(ઉદ્યોગ - Transmission Towers / Equipments)

18.84

0.89 (4.96%)
બીએસઈ: 517336 | એનએસઈ: MODERNMAL
વેબસાઇટ: http://www.modernmalleables.com

આજે ઊંચો/નીચો

L
H
18.8418.84

૫૨ અઠવાડિયું ઉચ્ચ/નીચું

L
H
1.7318.84
માર્કેટ કેપ.
₹ 219.53 Cr.
પી/ઇ રેશિયો
10.28
પી/બી રેશિયો
1.22
વર્તમાન કિંમત
₹ 18.84
ખુલ્લું
₹ 18.84
ઉચ્ચ
₹ 18.84
પાછલું બંધ કરો
₹ 17.95
વેપાર થયેલ જથ્થો
200
૫૨ સપ્તાહનો ઉચ્ચતમ સ્તર
₹ 18.84
૫૨ અઠવાડિયાનો સૌથી નીચો સ્તર
₹ 1.73
ડિવિડન્ડ ઉપજ
0%
EBITDA માર્જિન
21.10%
આરઓઇ
13.45%
પુસ્તક મૂલ્ય
₹ 15.48
ફેસ વેલ્યુ
₹ 1

શેરહોલ્ડિંગ

Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024
Promoters59.3759.3759.3759.3759.37
Mutual Funds UTI0.240.240.240.240.24
FII/Banks0.000.000.000.000.00
Others40.3940.3940.3940.3940.39

ત્રિમાસિક પરિણામો

(All figures In ₹ Cr.)Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Trend 2024-25
Sales1.122.3110.513.2126.1727.8238.1531.46
Other Income3.081.13-0.1311.040.060.02-
Operating Profit1.68-0.320.43-0.4413.223.665.745.81
Interest----0.20.190.30.05
Depreciation0.180.160.170.160.190.20.20.19
Taxation0.38---2.010.821.321.4
Net Profit / Loss1.11-0.480.27-0.610.822.453.924.17

વાર્ષિક પરિણામો

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Sales38.3845.9552.467.9952.31
Other Income0.387.2523.3412.18
Operating Profit7.7219.813.119.5313.03
Interest0.110.050.040.060.25
Depreciation0.930.870.790.740.75
Taxation1.663.893.014.642.01
Net Profit / Loss5.0214.999.2714.0910.02

રોકડ પ્રવાહ

(All figures In ₹ Cr.)Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Cash from Operating Activity-0.56-0.7323.036.22-10.76
Cash from Investing Activity0.471.01-12.624.82-10.78
Cash from Financing Activity-0.09-0.01---0.23
Net Cash Flow-0.170.2710.4111.05-21.78

બેલેન્સ શીટ

Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2021-25
Share Capital11.6511.6511.6511.6511.65
Reserve61.7280.9592.27135.89147.19
Borrowings1,35,34,841---4,14,30,336
Other Liabilities1.080.320.780.250.36
Total Liabilities76.0895.3104.82163.39172.75
Fixed Assets6.265.685.525.175.94
CWIP------
Investments59.9771.4787.27114.04135.09
Other Assets------
Total Assets76.0895.3104.82163.39172.75

નાણાકીય ગુણોત્તર

Mar 2013Mar 2014Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Trend 2013-25
Total Debt Mcap---------
EPS Growth100.57-5,877.023,064.42-82.1198.71-38.1952.11-28.9
EV_EBITA17.992.960.010.16-0.02-0.82-1.120.31
EBIT_Margin0.18-1.5540.4817.741.223.527.6423.48
PAT_Margin0.02-1.6630.0813.0832.6217.6820.7319.16
ROA0.04-2.2141.23513.057.358.845.14

પીઅર કંપનીઓ

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
219.53
18.84
4.96%
18.84 / 1.73
15.48
10.28
1,154.27
9.67
-6.21%
21.70 / 7.97
4.60
23.17
930.16
16.45
1.52%
16.45 / 5.76
14.04
NA
29.43
4.60
4.55%
0.00 / 0.00
-14.81
0.32

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