Q.1
Revenue growth of TRF Ltd?
TRF Ltd revenue growth is -13.7% for FY-2025 , which is below its 5 year CAGR of -8.2% , indicating slower growth.
Q.2
Gross Profit margin of TRF Ltd?
TRF Ltd Gross profit margin which is the profit after deduction of direct costs, is 25% for FY-2025 , which is in line with its 5 year median of 25% , indicating stable margins.
Q.3
Operating Profit Margin of TRF Ltd?
TRF Ltd Operating Profit Margin which is the profit after deduction of all operating costs, is 17.62% for FY-2025 , which is above its 5 year median of 8.86% indicating increasing margins.
Q.4
Net Profit Margin of TRF Ltd?
TRF Ltd Net Profit Margin is 22.88% for FY-2025 , is in line with with its 5 year median of 22.88%, indicating stable margins.
|
Current Level |
Historic Median |
|
Gross Profit Margin |
25 |
25 |
|
Operating Profit Margin |
17.62 |
8.86 |
|
Net Profit Margin |
22.88 |
22.88 |
Q.5
Return on Asset of TRF Ltd?
TRF Ltd Return on Asset is 8.67%, which is in line with its 5 year historical median of 8.67%, indicating stable asset utilization efficiency.
Q.6
Return on Equity (ROE) of TRF Ltd?
TRF Ltd Return on equity is 0% for FY-2025 , which is in line with its historical median of 0%, indicating the business is making similar use of its shareholders capital.
Q.7
Return on capital employed (ROCE) of TRF Ltd?
TRF Ltd Return on capital employed is 23.5% for FY-2025 , which is above its estimated weighted average cost of capital(WACC) 14%, indicating value creation.
Q.8
Cash conversion cycle of TRF Ltd?
TRF Ltd Cash conversion cycle is 28 days, above its historical median of 28 days, indicating deteriorated working capital management. However, you need to compare this with its peers in the industry.
|
Current Level |
Historic Median |
|
Asset Turnover |
0.38 |
0.38 |
|
ROE |
- |
- |
|
ROCE |
23.5 |
46.45 |
|
Cash Conversion Cycle |
28 days |
28 days |
Q.9
Debt to Equity ratio of TRF Ltd?
TRF Ltd Debt-to-Equity ratio is 1.40 , which is above with the industry average of 0.17 , indicating higher debt levels in the industry.
Q.10
Debt to cash flow from operations of TRF Ltd?
TRF Ltd Debt to cash flow from operations is 1.22 , which is at a healthy level.