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Rane Brake Lining Ltd. - (Amalgamated)

(Industry - Auto Ancillary)

744.550.00 (0.00%)

BSE: 532987 | NSE: RBL
Website: http://www.ranegroup.com

Today High/Low

L
H
730758.3

52 Week High/Low

L
H
650.55764.25
Market Cap
₹ 575.53 Cr.
P/E Ratio
12.86
Current Price
₹ 744.55
Open
₹ 749.4
High
₹ 758.3
Prev Close
₹ 744.55
Quantity Traded
2,475
52 High
₹ 764.25
52 Low
₹ 650.55
Dividend Yield
4.03%
EBITDA Margin
12.24%
ROE
15.92%
Book Value
₹ 372.54
Face Value
₹ 10

Shareholding

Mar 2025Dec 2024Sep 2024Jun 2024Mar 2024
Promoters70.9370.9370.9370.9370.93
Mutual Funds UTI3.253.243.354.073.56
FII/Banks0.040.060.130.090.01
Others25.7825.7725.5924.9125.50

Quarterly Results

(All figures In ₹ Cr.)Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Trend 2023-24
Sales164.87152.33158.03164.25186.22159.93173.63185.28
Other Income0.960.730.20.690.520.571.480.76
Operating Profit21.0112.3317.7818.7728.6418.0720.6719.32
Interest0.03---0.03-0.040.26
Depreciation5.245.135.165.246.316.115.626.42
Taxation3.722.023.033.415.693.133.933.06
Net Profit / Loss12.025.189.5910.1215.398.8311.069.47

Annual Results

(All figures In ₹ Cr.)Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Trend 2020-24
Sales470.98423.88505.55598.8660.83
Other Income10.4513.3412.648.272.14
Operating Profit70.9971.8456.7764.6377.52
Interest0.020.480.020.050.03
Depreciation26.2924.4221.422021.84
Taxation10.3415.147.611.1214.15
Net Profit / Loss34.3431.827.0733.4640.28

Cash Flow

(All figures In ₹ Cr.)Mar 1998Mar 1999Mar 2000Mar 2001Mar 2002Trend 1998-02
Cash from Operating Activity7.69.1611.7111.798.24
Cash from Investing Activity-16.35-15.51-11.19-23.9421.76
Cash from Financing Activity7.46.39-0.4612.05-29.94
Net Cash Flow-1.350.040.05-0.10.05

Balance Sheet

Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Trend 2020-24
Share Capital7.917.757.737.737.73
Reserve220.91229.91235.11253.45273.35
Borrowings------
Other Liabilities21.4120.3121.7241.1744.87
Total Liabilities366.81388.54247.34266.2286.89
Fixed Assets132.67117.9113.85118.22126.94
CWIP0.491.663.44.387
Investments151.86164.1217.2536.6116.56
Other Assets2.312.024.052.752.8
Total Assets366.81388.54247.34266.2286.89

Financial Ratios

Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Trend 2017-24
Total Debt Mcap0.010.020.040.06----
EPS Growth35.62.352.18-6-5.48-14.6523.6120.38
EV_EBITA12.999.466.473.597.878.057.427.17
EBIT_Margin7.8510.69.29.1410.666.587.157.96
PAT_Margin6.36.886.767.027.155.145.365.89
ROA13.0910.228.097.046.25.828.6610.4

Peer Companies

Company
Market Cap (₹Cr.)
CMP (₹)
1D Price Change %
52 Week H/L
Book Value (₹)
PE (x)
575.53
744.55
-2.65%
764.25 / 650.55
372.54
12.86
1,29,503.02
122.70
-2.97%
135.25 / 75.40
36.45
43.10
98,365.86
33,351.55
0.42%
41,499.05 / 26,185.75
4,934.11
35.58
64,763.02
1,121.60
0.32%
1,366.35 / 803.35
97.04
65.78
52,675.19
2,721.60
-0.88%
3,400.90 / 2,219.65
295.49
51.62
34,555.94
2,456.65
-2.16%
3,039.45 / 1,819.05
336.14
38.31
32,009.57
514.75
0.60%
545.50 / 405.00
92.13
52.48
27,368.87
41.27
-0.17%
52.05 / 33.46
3.00
44.25
27,238.59
14,360.60
1.11%
15,970.55 / 11,243.00
1,867.59
54.49
22,103.39
547.65
1.37%
592.50 / 444.45
147.37
71.24

Broker Report

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