Readymix Construction Machinery Share Price

  • 88.304.21 (5.00%)
  • Volume: 22,000
NSE
  • Closed
  • Last Updated On:
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Readymix Construction Machinery Share Price
  • 88.304.21 (5.00%)
  • Volume: 22,000
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Readymix Construct share price insights

  • Company has spent 1.23% of its operating revenues towards interest expenses and 8.59% towards employee cost in the year ending Mar 31, 2024. (Source: Standalone Financials)

  • Company has used Rs 2.02 cr for investing activities which is an YoY decrease of 5.86%. (Source: Standalone Financials)

  • Readymix Construction Machinery Ltd. share price moved up by 5.00% from its previous close of Rs 84.10. Readymix Construction Machinery Ltd. stock last traded price is 88.30

    Share PriceValue
    Today/Current/Last88.30
    Previous Day84.10-

InsightsReadymix Construct

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    Key Metrics

    PE Ratio
    (x)
    0.00
    EPS - TTM
    (₹)
    0.00
    MCap
    (₹ Cr.)
    87.78
    Sectoral MCap Rank
    425
    PB Ratio
    (x)
    4.68
    Div Yield
    (%)
    0.00
    Face Value
    (₹)
    10.00
    Beta

    Beta

    1 Month-
    3 Months-
    6 Months-
    1 Year-
    3 Years-

    -
    VWAP
    (₹)
    88.24
    52W H/L
    (₹)
    123.00 / 55.20

    Readymix Construct Share Price Returns

    1 Day5.0%
    1 Week9.21%
    1 MonthN.A.
    3 Months-20.45%
    1 YearN.A.
    3 YearsN.A.
    5 YearsN.A.

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    Readymix Construct Share Analysis

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    Readymix Construct Share Recommendations

    No Recommendations details available for this stock.
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    Readymix Construct Financials

    • Insights

      • Employee & Interest Expense

        Company has spent 1.23% of its operating revenues towards interest expenses and 8.59% towards employee cost in the year ending Mar 31, 2024. (Source: Standalone Financials)
      Annual FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
      Total Revenue69.8455.0147.8326.7325.38
      Total Revenue Growth (%)26.9715.0078.955.33-37.64
      Total Expenses57.5251.2946.0025.7425.03
      Total Expenses Growth (%)12.1511.4978.712.82-35.62
      Profit after Tax (PAT)9.282.781.330.740.38
      PAT Growth (%)234.05109.3580.1194.22-70.54
      Operating Profit Margin (%)18.888.594.954.612.24
      Net Profit Margin (%)13.305.052.772.761.49
      Basic EPS (₹)11.763.521.6815.878.17

      All figures in Rs Cr, unless mentioned otherwise

      No reported Profit & Loss Statement are available.

    • Annual FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
      Total Assets38.9732.1630.1618.9813.82
      Total Assets Growth (%)21.186.6358.9037.34-6.62
      Total Liabilities20.2122.7323.5213.489.06
      Total Liabilities Growth (%)-11.09-3.3674.4848.79-13.05
      Total Equity18.759.436.635.504.76
      Total Equity Growth (%)98.8342.2320.5515.558.68
      Current Ratio (x)1.751.341.331.391.51
      Total Debt to Equity (x)0.420.810.710.410.26
      Contingent Liabilities1.241.810.03--

      All figures in Rs Cr, unless mentioned otherwise

      No reported Balance Sheet are available.

    • Insights

      • Cash from Operations vs PAT

        Operating cash flow of Rs 2.84 cr is 0.31 times compared to the reported net profit of Rs 9.28 cr. (Source: Standalone Financials)
      • Decrease in Cash from Investing

        Company has used Rs 2.02 cr for investing activities which is an YoY decrease of 5.86%. (Source: Standalone Financials)
      Annual FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
      Net Cash flow from Operating Activities2.840.57-2.59-0.850.37
      Net Cash used in Investing Activities-2.02-2.14-0.11-0.150.00
      Net Cash flow from Financing Activities-0.561.911.620.83-0.52
      Net Cash Flow0.260.34-1.08-0.17-0.15
      Closing Cash & Cash Equivalent0.790.530.190.370.54
      Closing Cash & Cash Equivalent Growth (%)48.41175.26-47.65-31.44-21.48
      Total Debt/ CFO (x)2.7813.30-1.80-2.653.35

      All figures in Rs Cr, unless mentioned otherwise

      No reported Cash Flow Statement are available.

    • Annual FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
      Return on Equity (%)49.5129.4920.0113.407.97
      Return on Capital Employed (%)69.0746.5329.0620.8711.03
      Return on Assets (%)23.828.644.403.882.74
      Interest Coverage Ratio (x)16.154.924.715.723.52
      Asset Turnover Ratio (x)1.961.77-1.631.77
      Price to Earnings (x)-----
      Price to Book (x)-----
      EV/EBITDA (x)-----
      EBITDA Margin (%)19.838.985.285.183.12

      No reported Financial Ratios are available.

    Financial InsightsReadymix Construct

    • Income (P&L)
    • Cash Flow
      • Employee & Interest Expense

        Company has spent 1.23% of its operating revenues towards interest expenses and 8.59% towards employee cost in the year ending Mar 31, 2024. (Source: Standalone Financials)

      • Cash from Operations vs PAT

        Operating cash flow of Rs 2.84 cr is 0.31 times compared to the reported net profit of Rs 9.28 cr. (Source: Standalone Financials)

      • Decrease in Cash from Investing

        Company has used Rs 2.02 cr for investing activities which is an YoY decrease of 5.86%. (Source: Standalone Financials)

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    Readymix Construct Technicals

    • Stock doesn't have any Buy/Sell Signals.

    • Price Analysis Data details are not available.

    • Pivot Levels

      R1R2R3PIVOTS1S2S3
      Classic-------

      Average True Range

      5 DAYS14 DAYS28 DAYS
      ATR---

    Readymix Construct Peer Comparison

      • There’s no suggested peer for this stock.
      • 1D
      • 1W
      • 1M
      • 3M
      • 6M
      • 1Y
      • 5Y
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    • Ratio Performance

      NAMEP/E (x)P/B (x)ROE %ROCE %ROA %Rev CAGR [3Yr]OPMNPMBasic EPSCurrent RatioTotal Debt/ Equity (x)Total Debt/ CFO (x)
      Readymix Construction Machinery Ltd.0.004.6849.5169.0723.8237.2918.8813.3011.761.750.422.78
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      Annual Ratios (%)

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        Peers InsightsReadymix Construct

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          Readymix Construct Shareholding Pattern

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            Showing Readymix Construct Shareholding as on Mar 2025
            CategoryMar 2025
            Promoters72.06
            Pledge0.00
            FII5.82
            DII6.35
            Mutual Funds0.00
            Others15.77
          • Showing Shareholding as on Mar 2025
            CategoryNo. of SharesPercentage% Change QoQ
            Promoters78,96,50072.06 %-
            Pledge00.00 %-
            FII6,38,0005.82 %-
            DII6,96,0006.35 %-
            Others17,28,00015.77 %-

          Readymix Construct MF Ownership

          MF Ownership details are not available.

          Readymix Construct Corporate Actions

          • Board Meeting/AGM details are not available.

          • Dividend announcements are not available.

          • No other corporate actions details are available.

          About Readymix Construct

          • Executives

          • Auditors

          • AS

            Anand Suresh Watve

            Chairman & Managing Director
            AJ

            Atul Jagannath Kulkarni

            Whole Time Director
            PB

            Prashant Balasaheb Kanikdale

            Whole Time Director
            GM

            Gaurav Maheshwari

            Independent Director
            Show More
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