BSE: OPTIEMUS - Optiemus Infracom Limited

Altı ay boyunca karlılık: -47.46%
Temettü getirisi: 0.00%
Sektör: Technology

Raporlama Optiemus Infracom Limited

Büyük harf kullanımı

2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 yıllık ortalama CAGR 5
Капитализация, млрд ₹
19.02
Выручка, млрд ₹
15.61 7.22 11.96 3.37 1.82 4.72 11.74 14.77 15.28 7.28 34.38
Чистая прибыль, млрд ₹
0.0674 0.1386 -0.594 -0.8486 0.9458 -0.0092 0.4188 0.5676 0.5676 0.2149 -192.27
EV, млрд ₹
12.95 4.93 8.47 27.33 26.34 28.54 28.54 19.12 42.08
EBIT, млрд ₹
0.3357 0.4082 -0.5894 -0.7732 -0.9842 -0.2465 0.1248 -0.4937 -173.31
EBITDA, млрд ₹
0.0588 -0.5917 0.0663 0.1229 0.7191 0.7191 0.7191 0.2071 -203.98
Баланс стоимость, млрд ₹
2.93 3.11 3.21 2.36 3.31 3.3 3.82 4.26 4.26 3.41 12.54
FCF, млрд ₹
0.667 0.4217 -0.5711 -0.718 -0.9932 -0.2146 -0.2146 -0.4150 -187.36
Операционный денежный поток, млрд ₹
0.9051 -0.2642 0.7331 0.4356 -0.5564 0.2768 0.0116 0.4034 0.4034 0.1142 -1.52
Операционная прибыль, млрд ₹
0.2738 0.4082 -0.5898 -0.8349 -0.9844 -0.2466 0.1198 1.02 0.6105 -0.1852 -204.09
Операционные расходы, млрд ₹
12.18 4.06 1.76 4.46 11.62 13.75 14.67 7.13 27.63
CAPEX, млрд ₹
0.2141 0.0504 0.0661 0.0139 0.0147 0.4242 0.3654 0.618 0.618 0.2872 113.60


Bilanço

2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 yıllık ortalama CAGR 5
Наличность, млрд ₹
0.2185 0.0093 0.1707 0.067 0.379 0.2523 0.1423 0.2912 0.2924 0.2264 34.16
Short Term Investments ₹
0.1196 0.3093 0.0882 0.1548 0.0061 0.0251 0.004 0.0018 0.4874 0.0384 -58.97
Total Receivables ₹
5.26 3.68 4.34 1.92 1.5 2.56 3.73 4.85 4.85 2.91 20.36
Total Current Assets ₹
7.94 6.93 5.71 3.26 3.64 3.66 6.25 10.2 10.2 5.40 25.63
Чистые активы, млрд ₹
1.8 0.5736 0.3577 0.3075 0.1939 0.562 1.54 6.25 1.54 1.77 82.64
Активы, млрд ₹
10.55 10.06 8.55 5.75 4.93 5.66 9.11 13.48 13.48 7.79 18.58
Short Term Debt ₹
1.14 1.4 0.4883 0.4677 0.9848 0.2345 0.4266 0.8898 0.8898 0.6007 13.73
Long Term Debt ₹
2.19 2.43 2 1.8 0.0386 0.1975 0.6718 0.1973 0.1973 0.5810 -35.74
Задолженность, млрд ₹
7.62 6.96 5.34 3.4 1.62 2.36 5.29 9.21 9.21 4.38 22.06
Чистый долг, млрд ₹
2.46 2.32 0.6442 0.1797 0.4046 0.7959 0.7947 0.8689 -19.26
Долг, млрд ₹
3.34 3.83 2.49 2.27 1.02 0.432 1.1 1.09 1.09 1.18 -13.65
Interest income ₹
0.1724 0.1418 0.0367 0.1753 0.1103 0.063 0.1825 0.1136 37.82
Расходы на обслуживание долга ₹
0.2775 0.1911 0.0082 0.0129 0.058 0.0125 0.0796 0.0565 -42.04
Чист. проц. доходы, млрд ₹
-0.3075 -0.2366 -0.0387 0.0394 -0.058 -0.0796 0.1272 -0.0747 -19.58
Goodwill ₹
0.4182 0.0047 0.0047 0.0047 0.5753 0.5753 0.5753 0.3471 161.55
Себестоимость, млрд ₹
14.27 5.45 10.79 3.17 1.69 4.51 10.47 13.09 12.98 6.59 32.79
Товарно материальные запасы ₹
1.25 1.57 0.6118 0.0817 0.0665 0.066 1.15 3.37 3.37 0.9468 110.42


Terfi

2008 2009 2010 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 yıllık ortalama CAGR 5
EPS -0.0126 -0.1944 -0.4716 -6.92 -2.69 -5.97 11.56 4.88 6.61 6.61 2.88 -219.70
Цена акции ао 161.85 123.8 27.4 91.2 316.35 307.15 310.85 699.35 409.75 409.75 408.69 5.31
Число акций ао, млн 85.81 85.81 85.81 85.81 85.86 85.86 85.86 85.83 0.01
FCF/акцию 7.77 4.91 -6.66 -8.37 -11.57 -2.5 -2.5 -4.8380 -187.37


Yeterlik

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
ROE, % 2.3 4.46 -18.49 -36 28.58 -0.2792 11.75 14.03 13.31 18.62 3.62 -182.82
ROA, % 0.6388 1.38 -6.95 -14.75 19.18 -0.1628 5.67 5.03 4.21 11.58 2.99 -180.64
ROIC, % 11.12 23.12 11.12 0.00
ROS, % 1.92 -4.97 -25.18 52.11 -0.1954 3.57 3.84 3.72 3.72 3.72 11.72 2.93 -280.27
ROCE, % 11.47 13.14 -18.35 -32.81 -29.74 -7.47 2.77 0 0 5.33 -17.1200 -168.51
Ebit margin, % -22.94 -54.23 -5.23 1.06 0 0 -20.3350 -146.36
Рентаб EBITDA, % 0.4917 -17.56 3.65 2.61 6.13 6.13 4.71 4.71 16.33 4.65 5.23
Чистая рентаб, % 0.4317 1.92 -4.97 -25.18 52.11 -0.1954 3.57 3.84 3.72 11.72 6.83 -168.65
Operation Margin, % 5.65 -4.93 -24.77 -54.24 -5.23 1.02 6.89 4 4 4 12.77 2.14 -194.78


Oranlar

2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
P/E
8.28 61.93 48.87 48.87 40.52 39.69 80.72
P/BV
3.26 1.11 2.37 8.22 6.78 6.51 6.51 43.80 5.00 42.45
P/S
0.8768 0.774 4.31 5.76 2.21 1.88 1.82 3.44 2.99 19.42
P/FCF
-19.15 -88.62 -88.62 -88.62 26.35 -65.4633 66.64
E/P
0.022 0.0298 0.0298 0.0298 0.05 0.0272 10.64
EV/EBIT
-6.37 -8.61 -110.86 211.05 0 0 0 21.30 -339.92
EV/EBITDA
220.2 -8.33 127.82 222.34 36.63 36.61 18.78 119.73 -30.14
EV/S
1.46 4.67 5.79 2.24 1.93 1.87 1.87 1.87 2.65 2.74 -20.23
EV/FCF
11.68 -14.84 -38.06 -26.52 -132.97 -132.96 -132.96 -132.96 27.19 -92.6940 28.43
Debt/EBITDA
42.29 -3.83 15.44 3.51 1.53 1.64 1.51 1.51 1.51 0.56 1.94 -15.52
Netdebt/Ebitda
41.86 -3.92 9.72 1.46 0.5627 0.5626 1.11 1.11 1.11 1.33 0.9611 -5.33
Debt/Ratio
0.3807 0.2908 0.3939 0.2075 0.0763 0.1205 0.0807 0.0807 0.0807 0.0807 0.07 0.0878 1.13
Debt/Equity
1.23 0.7742 0.9614 0.3093 0.1309 0.2872 0.2549 0.7059 0.7059 0.7059 1.08 0.4170 40.08
Debt/Net Income
27.64 -4.19 -2.67 1.08 -46.86 2.62 1.92 1.92 1.92 1.92 1.03 -7.6960 -152.78
Бета
3.57 0.0702 4.78 4.78 1.77 2.81 10.22
Индекс Альтмана
6.16 3.9 3.9 3.9 37.75 4.65 -14.13


Temettüler

2022 2023 LTM Sektör ortalaması 5 yıllık ortalama CAGR 5
Див.выплата, млрд
0.1288 0.1288 0.1288 0.00
Дивиденд
1.5 0 1.50 0.00
Див доход, ао, %
0.5742 0 2.27 0.5742 0.00
Дивиденды / прибыль, %
30.75 22.69 22.69 25.62 26.72 -14.10


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Dinlenmek

2023 2024 CAGR 5
Персонал, чел
47 47 0.00