1. Is Manor Estates & Industries Ltd a good quality company?
Data is not available for this company.
2. Is Manor Estates & Industries Ltd undervalued or overvalued?
The key valuation ratios of Manor Estates & Industries Ltd's currently when compared to its past seem to suggest it is in the Overvalued zone.
3. Is Manor Estates & Industries Ltd a good buy now?
The Price Trend analysis by MoneyWorks4Me indicates it is Weak which suggest that the price of Manor Estates & Industries 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 % ⓘ||-7.4%||-55.3%||-26%||-1.3%||-1.8%||3.3%||-4.8%||-14.3%||-27.5%||654.5%||-|
|Value Creation Index ⓘ||-1.5||-5.0||-2.9||-1.1||-1.1||-0.8||-1.4||-2.0||-3.0||NA||-|
Growth Parameters ⓘ
Growth Parameters Colour Code Guide ⓘ
|YoY Gr. Rt. %||-||-87.4%||-100%||NA||NA||-100%||NA||NA||NA||NA||-|
|Adj EPS ⓘ||-0.6||-2.9||-0.8||-0||-0||0.1||-0.1||-0.3||-0.5||-1||-2.5|
|YoY Gr. Rt. %||-||NA||NA||NA||NA||NA||-257.1%||NA||NA||NA||-|
|BVPS (₹) ⓘ||5||2.1||1.3||1.3||1.2||1.4||1.1||0.6||0.1||-2||-2.4|
|Adj Net Profit ⓘ||-0.5||-2.4||-0.7||0||0||0.1||-0.1||-0.3||-0.4||-0.8||-2|
|Cash Flow from Ops. ⓘ||-0.2||-0.1||-0.1||0||0.6||-0.9||-0.1||-0.1||0||-0.1||-|
|Debt/CF from Ops. ⓘ||-8.1||-16.2||-16.8||-52.2||1.2||-0.9||-17.6||-11||-15||-11.3||-|
CAGR Colour Code Guide ⓘ
|9 Years||5 Years||3 Years||1 Years|
|Adj EPS ⓘ||NA||NA||NA||NA|
Key Financial Parameters ⓘ
Performance Ratio Colour Code Guide ⓘ
|Return on Equity % ⓘ||-11.4||-80.8||-49.1||-2.9||-3.6||5.8||-8.9||-38.5||-134.3||101.7||111.1|
|Op. Profit Mgn % ⓘ||-20.6||-1689.5||0||0||-524.2||-5313.7||-2948.3||0||0||0||0|
|Net Profit Mgn % ⓘ||-52.9||-2047.6||0||0||-521.2||7101||-7061.9||0||0||0||0|
|Debt to Equity ⓘ||0.3||0.7||1.2||1.3||0.7||0.8||0.9||3.2||7.2||-0.4||-|
|Working Cap Days ⓘ||1,236||6,356||0||0||23,877||1,93,194||76,957||0||0||0||0|
|Cash Conv. Cycle ⓘ||1,100||5,566||0||0||16,918||1,34,985||58,234||0||0||0||0|
Return on Equity has increased versus last 3 years average to 111.10%
Sales growth has been subdued in last 3 years 0.00%
Sales growth is not so good in last 4 quarters at 0.00%
|TTM EPS (₹)||-2.5||-|
|TTM Sales (₹ Cr.)||0||-|
|BVPS (₹.) ⓘ||-2.4||-|
|Reserves (₹ Cr.) ⓘ||-10||-|
|From the Market|
|52 Week Low / High (₹)||2.40 / 5.49|
|All Time Low / High (₹)||0.75 / 30.00|
|Market Cap (₹ Cr.)||3|
|Equity (₹ Cr.)||8.2|
|Face Value (₹)||10|
|Industry PE ⓘ||25.8|
Karan Woo-Sin was incorporated in the year 1992 and is a 100% export-oriented unit engaged in the business of manufacturing and export of socks. The company is located in the Medak district of Andhra Pradesh and the manufacturing facility is gearing up to increase capacity. The company has established itself as a dependable supplier of high-end articles. Karan Woo-Sin is making all efforts to increase its capacity by 100% and is working on a comprehensive plan to increase its footprint in Europe. It has developed new markets and established itself more firmly in its niche market, especially in Europe.
Business areas of the company:
The company is a 100% export-oriented unit and is engaged in the business of manufacturing and export of socks.
The focus is now to increase production and to enlarge the market for high-value products.