1. Is SRF Ltd a good quality company?
Past 10 year's financial track record analysis by Moneyworks4me indicates that SRF Ltd is a good quality company.
2. Is SRF Ltd undervalued or overvalued?
The key valuation ratios of SRF Ltd's currently when compared to its past seem to suggest it is in the Somewhat overvalued zone.
3. Is SRF Ltd a good buy now?
The Price Trend analysis by MoneyWorks4Me indicates it is Weak which suggest that the price of SRF Ltd is likely to Fall in the short term. However, please check the rating on Quality and Valuation before investing.
Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end.
Value Creation ⓘ
Value Creation Index Colour Code Guide ⓘ
|ROCE % ⓘ||9.2%||6.1%||8.2%||10.5%||10.3%||8.4%||10.3%||12.5%||13.4%||17.2%||-|
|Value Creation Index ⓘ||-0.3||-0.6||-0.4||-0.2||-0.2||-0.4||-0.2||0.1||0.2||0.5||-|
Growth Parameters ⓘ
Growth Parameters Colour Code Guide ⓘ
|YoY Gr. Rt. %||-||6.2%||13%||1.2%||5%||15.9%||27%||1.6%||16.5%||48%||-|
|Adj EPS ⓘ||8.4||6||9.5||15.2||16.9||14.9||21.2||31.6||40.2||61.9||74.4|
|YoY Gr. Rt. %||-||-27.8%||57.6%||59.1%||11.8%||-11.8%||41.7%||49.5%||26.9%||54.2%||-|
|BVPS (₹) ⓘ||67.5||70.9||78.9||96.2||110.8||124.1||143.6||171.6||231.4||288.8||328.4|
|Adj Net Profit ⓘ||240||173||273||435||486||429||608||909||1,190||1,836||2,205|
|Cash Flow from Ops. ⓘ||423||347||542||1,090||645||678||896||1,304||1,772||2,106||-|
|Debt/CF from Ops. ⓘ||4||6.3||4.5||2.3||3.7||4.6||4.2||3.1||1.9||1.7||-|
CAGR Colour Code Guide ⓘ
|9 Years||5 Years||3 Years||1 Years|
|Adj EPS ⓘ||24.9%||29.6%||43%||54.2%|
Key Financial Parameters ⓘ
Performance Ratio Colour Code Guide ⓘ
|Return on Equity % ⓘ||12.6||8.6||12.5||17.2||16.4||12.7||15.8||20.1||20.2||23.8||24.1|
|Op. Profit Mgn % ⓘ||16.5||13||16||21.2||20.1||16.2||18.6||20.2||25.4||25||25.1|
|Net Profit Mgn % ⓘ||6.4||4.3||6||9.5||10.1||7.7||8.6||12.6||14.2||14.8||15.3|
|Debt to Equity ⓘ||0.9||1.1||1.1||0.9||0.8||0.9||0.9||0.8||0.5||0.4||-|
|Working Cap Days ⓘ||113||127||125||123||130||144||146||150||136||124||0|
|Cash Conv. Cycle ⓘ||64||77||77||61||39||31||30||40||35||39||0|
Return on Equity has increased versus last 3 years average to 24.10%
Sales growth is growing at healthy rate in last 3 years 20.54%
Net Profit is growing at healthy rate in last 3 years 43.03%
Debt to equity has declined versus last 3 years average to 0.41
Sales growth is good in last 4 quarters at 27.63%
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|TTM EPS (₹)||65.6||74.4|
|TTM Sales (₹ Cr.)||11,475||14,378|
|BVPS (₹.) ⓘ||295.1||328.4|
|Reserves (₹ Cr.) ⓘ||8,450||9,438|
|From the Market|
|52 Week Low / High (₹)||2002.50 / 2864.35|
|All Time Low / High (₹)||1.40 / 2864.35|
|Market Cap (₹ Cr.)||65,357|
|Equity (₹ Cr.)||296.4|
|Face Value (₹)||10|
|Industry PE ⓘ||31.6|
SRF began as Shri Ram Fibres in 1970 when its parent company DCM decided to set up a separate entity to manufacture nylon tyre cord fibres. Its formation was a result of the foresight that nylon was the future material for tyre cord fibres. The company established its first plant in Manali near Chennai in 1973. Over the years, the company not only expanded its product range under the Technical Textiles but also diversified into many adjacent businesses. Besides Technical Textiles, the company’s business profile constitutes Fluorochemicals, Specialty Chemicals and Packaging Films. Equipped with state-of-the-art R&D facilities, the company boasts of its Chemical Technology Group that is actively involved in process innovations and product development.
Business area of the company
The Company is a chemical based multi-business entity engaged in the manufacturing of industrial and specialty intermediates. The company classifies its businesses as Technical Textiles, Chemicals, Packaging Films and Other Businesses.
The company’s product portfolio broadly categorized into - Technical Textiles, Chemicals and Packaging Films.