Inox Renewables Ltd. - (Amalgamated) Share Analysis – Quality, Valuation Zone, Price Trend & DeciZen Rating

BSE: 0 | NSE: | Power Generation/Distribution | Small Cap

BSE Share Price
Not Listed

DeciZen - make an informed investing decision on Inox Rene-Amalgamat

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M-Cap below 100cr DeciZen not available

Inox Renewables Ltd. - (Amalgamated) stock performance -

Key Ratios
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P/E Ratio (SA):
0.00
Market Cap:
0 Cr.
52-wk low:
0
52-wk high:
0

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10 Year X-Ray of Inox Rene-Amalgamat:

Analysis of Financial Track Record

Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end
Data adjusted to bonus, split, extra-ordinary income, rights issue and change in financial year end

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.

Value Creation

Value Creation Index Colour Code Guide

Mar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19TTM
ROCE % 0%-0.1%7.1%8.8%7.6%4.1%-11.4%15%0.1%-
Value Creation
Index
NA-1.0-0.5-0.4-0.5-0.7-1.80.1-1.0-

Growth Parameters

Growth Parameters Colour Code Guide

Sales 03.513211613411615618922.623
Sales YoY Gr.-NA3,711.8%-12.5%15.4%-13.2%34.6%21%-88.1%-
Adj EPS -33.5-1.478.645.1-19-63.2-331.640.5-62.70
YoY Gr.-NANA-42.6%-142.1%NANANA-254.8%-
BVPS (₹) -23.58.687.3116.5439.1359.890.6200.1137.60
Adj Net
Profit
-0.2-0.42413.8-6.4-21.3-11213.7-21.10
Cash Flow from Ops. -1.361.78.915062.559.41321557.4-
Debt/CF from Ops. 0880.65.712.616.26.81.532.9-

CAGR

CAGR Colour Code Guide

9 Years 5 Years 3 Years 1 Years
Sales NA-27.9%-42%-88.1%
Adj EPS NA-206.8%NA-254.8%
BVPSNA3.4%-27.4%-31.2%
Share Price - - - -

Key Financial Parameters

Performance Ratio Colour Code Guide

Mar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19TTM
Return on
Equity %
142.6-0.25.73.3-1.4-4.2-36.910.6-15.40
Op. Profit
Mgn %
-753368.5-11.644.388.986.376.284.434.942.8NAN
Net Profit
Mgn %
-462357.2-12.318.111.9-4.8-18.4-71.77.2-93.70
Debt to
Equity
0189.527.1245.37.929.13.45.2-
Working Cap
Days
02,0511822672283601,1558941,0140
Cash Conv.
Cycle
096743-162-8188133281130

Recent Performance Summary

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Latest Financials - Inox Renewables Ltd. - (Amalgamated)

Standalone Consolidated
TTM EPS (₹) 0 -
TTM Sales (₹ Cr.) 22.6 -
BVPS (₹.) 0 -
Reserves (₹ Cr.) 43 -
P/BV 0.00 -
PE 0.00 -
From the Market
52 Week Low / High (₹) - / -
All Time Low / High (₹) - / -
Market Cap (₹ Cr.) 0
Equity (₹ Cr.) 0
Face Value (₹) 10
Industry PE 29.2

Management X-Ray of Inox Rene-Amalgamat:

Shareholding Pattern

No Data To Display

Promoter's Holding & Share Pledging

Valuation of Inox Rene-Amalgamat - Standalone Basis

YTD 1Y 3Y 5Y 10Y Max
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YTD 1Y 3Y 5Y 10Y Max
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YTD 1Y 3Y 5Y 10Y Max
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YTD 1Y 3Y 5Y 10Y Max
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Event Update

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Analyst's Notes

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No data found!

Key Ratios of Inox Rene-Amalgamat

Adj EPS (Rs.)

Sales (Cr.)

ROE (%)

ROCE (%)

Profit And Loss

(All Figures are in Crores.)
PARTICULARSMar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19
Sales03.47132.27115.75133.60115.95156.11188.9522.58
Operating Expenses 0.273.8773.6716.3318.2827.6030.13123.0812.92
Manufacturing Costs00.0164.727.0613.9016.2316.9121.765.03
Material Costs000000000
Employee Cost 0.152.582.912.081.741.302.643.072.83
Other Costs 0.121.286.037.192.6410.0810.5898.255.06
Operating Profit -0.27-0.4058.6099.42115.3188.35125.9865.879.66
Operating Profit Margin (%) -7,53,368.5%-11.6%44.3%85.9%86.3%76.2%80.7%34.9%42.8%
Other Income 0.190.210.5423.345.5330.0933.830.33
Interest 00.0129.4257.4365.7059.97100.5676.6123.51
Depreciation 0.080.0815.1629.4249.8152.7461.127.969.64
Exceptional Items 000000-209.03-1.030
Profit Before Tax -0.17-0.2814.5514.573.14-18.83-214.6414.11-23.15
Tax 00-9.462.898.70-0.3034.391.14-2.03
Profit After Tax -0.17-0.2824.0111.68-5.55-18.53-249.0312.97-21.12
PAT Margin (%) -4,62,357.2%-8.0%18.2%10.1%-4.2%-16.0%-159.0%6.9%-93.5%
Adjusted EPS (₹)-33.5-0.978.738.3-16.5-54.9-737.038.4-62.6
Dividend Payout Ratio (%)0%0%0%0%0%0%0%0%0%

Balance Sheet

(All Figures are in Crores.)
PARTICULARSMar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19

Equity and Liabilities

Shareholders Fund -0.12421.39423.35410.23522.89495.89110.83147.80126.72
Share Capital 0.053.053.053.053.383.383.383.383.38
Reserves -0.17418.34420.30407.18519.51492.51107.45144.43123.35
Minority Interest000000000
Debt0480.02660.08776.58709.39876.88823.48227242
Long Term Debt0480.02559.02717.62549.59489.03416.3100
Short Term Debt00101.0658.96159.80387.85407.17227242
Trade Payables0.140.3524.5239.228.253.251.095.118.67
Others Liabilities 3.60102.27126.85269.87179.31195.50220.84126.74274.10
Total Liabilities 3.621,004.021,234.801,495.911,419.851,571.511,156.24506.65651.49

Fixed Assets

Gross Block0.80438.83975.661,093.381,126.301,290.53206.39244.15243.31
Accumulated Depreciation0.080.1637.3688.83138.6452.7071.4479.4089.03
Net Fixed Assets 0.72438.67938.301,004.55987.671,237.83134.95164.76154.28
CWIP 0.37504.6693.34292.22215.2070.0439.61247.72430.66
Investments 00106.05106.05106.05106.05106.0500
Inventories000000000
Trade Receivables01951.6333.1157.8680.6341.1222.499.27
Cash Equivalents 0.5823.651.9818.7418.7021.1223.8120.6914.56
Others Assets 1.9518.0443.5141.2534.3855.84810.7150.9942.72
Total Assets 3.621,004.021,234.801,495.911,419.851,571.511,156.24506.65651.49

Cash Flow

(All Figures are in Crores.)
PARTICULARSMar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19
Cash Flow From Operating Activity -1.3061.748.94149.8662.4959.39131.64155.387.36
PBT -0.17-0.2814.5514.573.14-18.83-214.6414.11-23.15
Adjustment 0.080.0714.9688.64112.17112.91346.4758.6832.92
Changes in Working Capital -1.2162.3-42.2949.89-49.18-32.381.7790.891.35
Tax Paid 0-0.38-7.70-3.25-3.64-2.31-1.97-3.09-3.77
Cash Flow From Investing Activity -1.17-76.22-197.07-170.69-23.24-184.378.38813.27-27.04
Capex -0.80-0.19-502.52-60.99-0.02-183.72-3.12-265.67-26.21
Net Investments -000-160.7900.621,044.94-1.06
Others -0.37-76.03305.45-93.69-24.01-0.6610.8933.990.22
Cash Flow From Financing Activity 3.0514.12164.9621.59-38.50125.08-136.99-953.1612.50
Net Proceeds from Shares 0.05000125.780000
Net Proceeds from Borrowing 013.76192.13118.92-181.90-57.13-81.6200
Interest Paid 00.36-27.17-55.23-83.21-45.84-74.69-121.96-2.50
Dividend Paid 000000000
Others 300-42.10100.84228.0519.31-831.2015
Net Cash Flow 0.58-0.37-23.180.760.750.103.0215.49-7.19

Finance Ratio

PARTICULARSMar'11Mar'12Mar'13Mar'14Mar'15Mar'16Mar'17Mar'18Mar'19
Ratios
ROE (%)N/A-22.19164.3237.58-6.05-13.75-327.6826.45-37.06
ROCE (%)N/A-0.117.078.817.554.07-11.414.950.12
Asset Turnover Ratio00.010.120.080.090.080.110.230.04
PAT to CFO Conversion(x)N/AN/A0.3712.83N/AN/AN/A11.98N/A
Working Capital Days
Receivable Days01,9999713412421814261257
Inventory Days000000000
Payable Days000000000

Inox Renewables Ltd. - (Amalgamated) Stock News

Inox Renewables Ltd. - (Amalgamated) FAQs

The current trading price of Inox Rene-Amalgamat on 01-Jan-1970 05:30 is ₹0.00.
Market capitalization or market cap is determined by multiplying the current market price of a company's shares with the total number of shares outstanding. As of 31-Dec-1969 the market cap of Inox Rene-Amalgamat stood at ₹0.00.
The latest P/E ratio of Inox Rene-Amalgamat as of 31-Dec-1969 is 0.00.
The latest P/B ratio of Inox Rene-Amalgamat as of 31-Dec-1969 is 0.00.
The 52-week high of Inox Rene-Amalgamat is ₹0.00 and the 52-week low is ₹0.00.
The TTM revenue is Trailing Twelve Months sales. The TTM revenue/sales of Inox Rene-Amalgamat is ₹22.58 ( Cr.) .

About Inox Renewables Ltd. - (Amalgamated)

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