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Aeonian Investments Company Ltd Stock Analysis

Small Cap
Evaluated by 61 users | BSE: 503655 | NSE: |
Finance - Investment
Mumbai-based Aeonian Investments Company, incorporated in the year 1981, is an investment company headed by Amit C Choksey. It invests in shares both quoted and unquoted and in units of mutual funds. The primary segment of the company is investment in the capital market. Since the company...

Analysis of Financial Track Record

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end
Financial track record gives insight into the company's performance on key parameters over the past ten years. MoneyWorks4me’s proprietary colour codes make it easy for retail investors to gauge the company’s past performance.
 Mar'04Mar'05Mar'06Mar'07Mar'08Mar'09Mar'10Mar'11Mar'12Mar'13
Operating Income (Rs. Cr.)8.823.53328.7234.350.50.60.9
Y-o-Y Gr. Rt.-166.4%40.2%-13%-19.6%-81.5%16.7%-89.1%18.5%40.6%
Adjusted EPS (Rs.)
Adjusted Earning per Share is the company’s net profit per share after adjusting for extra-ordinary/exceptional items
1419.8432.2831.4937.565.296.843.077.8123.24
Y-o-Y Gr. Rt.-41.7%62.7%-2.5%19.3%-85.9%29.3%-55.1%154.4%197.6%
Book Value per Share (Rs.)
The total value that a company will fetch upon liquidation (if it is closed down), after settling all obligations is called its Book Value. Book value of a company includes only tangible assets. Book value allocated to each outstanding share is called Book Value per share
92.09106.22129.8153.73182.59184.37186.5184.92188.08211.32
Y-o-Y Gr. Rt.-15.3%22.2%18.4%18.8%1%1.2%-0.9%1.7%12.4%
To view Net Profit/Total Funds (%) Colour Rating Guide click here
Net Profit/Total Funds (%): Colour Rating Guide
  • >12 : Very Good
  • 8-12 : Somewhat Good
  • <8: Not Good
Net Profit/Total Funds (%)14.8218.7524.3920.1321.062.763.591.614.0711.43
Standalone financials take only the parent company into account while consolidated financials take into account financials of the parent company as well as of all its subsidiaries. In most companies consolidated financials should be used for analysis.
Aeonian Investments Company Ltd. should be analysed on a Standalone basis
CAGR
CAGR Colour Code Guide
  9 yrs 5 yrs 3 yrs 1 yr
Operating Income-22.4%-47.7%-43.4%40.6%
Adjusted EPS
Adjusted Earnings per Share is the Company’s net profit per share after adjusting for extra-ordinary/exceptional items.
5.8%-9.2%50.3%197.6%
Book Value per Share
9.7%3%4.3%12.4%
Share Price - - - -
Key Financial Ratios
RATIOS \ YEARSMar'04Mar'05Mar'06Mar'07Mar'08Mar'09Mar'10Mar'11Mar'12Mar'13
Margins
Net Profit Margin (%) 76.1440.5247.0352.7478.2959.6266.06274.52585.011233.11
Performance Ratios
To view Performance Ratios Colour Rating Guide click here
Performance Ratios: Colour Rating Guide
  • >15 : Very Good
  • 12-15 : Somewhat Good
  • <12 : Not Good
Return on Equity (%) 15.982027.3522.2122.332.883.691.654.1911.64
Entity Percentage Holding
Promoters 86.96%
Non-Institutions 13.04%
Pledged *0.000.000.000.000.000.000.000.000.000.00
* Pledged shares as % of Promoter's holding (%)
Data is not available for this company.

Data is not available for this company.

Data is not available for this company

Mumbai-based Aeonian Investments Company, incorporated in the year 1981, is an investment company headed by Amit C Choksey. It invests in shares both quoted and unquoted and in units of mutual funds. The primary segment of the company is investment in the capital market. Since the company handles investment in the capital market, its performance depends on the factors affecting capital markets such as price and volume volatility, interest rates, currency exchange rates, foreign investments,

Mumbai-based Aeonian Investments Company, incorporated in the year 1981, is an investment company headed by Amit C Choksey. It invests in shares both quoted and unquoted and in units of mutual funds. The primary segment of the company is investment in the capital market. Since the company handles investment in the capital market, its performance depends on the factors affecting capital markets such as price and volume volatility, interest rates, currency exchange rates, foreign investments, change in government policy, political economic or other developments, crude oil prices, and economic performance overseas.

The company makes long-term and short-term investments in shares of companies depending on the market value and the status of those companies. It had a wholly-owned subsidiary called Sammelan Investments and Trading, which was disposed off in the year 2005-2006.

Business areas of the company:

The company’s operation is mainly concerned with the capital market and to a lesser extent with the mutual fund industry. Aeonian Investments handles its investments in the capital market mostly through reputed and well organized portfolio managers who operate in the financial services industry in its different segments, and to some extent on its own.

Puchho Befikar
SEBI Registered: Investment Adviser - INA000013323

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