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Hind Rectifiers Limited develops, designs, manufactures, and markets semi-conductor devices, power electronic equipment, and railway transportation equipment in India and internationally. It offers power supplies for electrostatic precipitators; DC power systems for electrochemical plants; chargers and regenerative dischargers for the battery industry; water cooled rectifier systems; and cathodic protection transformer rectifier units. The company also provides various rectifiers for rolling stock application; transformers for locomotives and electrical multiple units; and converters and inverters, as well as semiconductor, such as power diodes, thyristors, power modules, and special products comprising high voltage disk stacks, auto diode stacks, and water cooled assemblies. In addition, it offers pre-installation, supervision of erection/commissioning, post commissioning and maintenance services, and service support to railways. Hind Rectifiers Limited was incorporated in 1958 and is based in Mumbai, India.
TODAY'S HIGH
194.45
TODAY'S LOW
182
52 WEEK HIGH
288
52 WEEK LOW
133.45
% of Shares Held by
All Insider
69.45%
% of Shares Held by
Institutions
0.00%
% of Float Held by
Institutions
0.00%
Number of Institutions
Holding Shares
0
MARKET CAP
305.43 Cr.
ETERPRISE VALUE
386.03 Cr.
NO. OF SHARES
1.65 Cr.
BOOK VALUE
62.881
DIV. YIELD
0.4%
DEBT
62.52 Cr.
GROSS PROFIT
69.43 Cr.
CASH
1.77 Cr.
REVENUE
345.32 Cr.
REVENUE/SHARE
208.502
Particulars | Mar 2021 | Mar 2020 | Mar 2019 | Mar 2018 |
---|---|---|---|---|
Investments | 6 Cr. | -6 Cr. | -6 Cr. | -4.74 Lakhs |
Change To Liabilities | 2.25 Cr. | 14.11 Cr. | 9.66 Cr. | 18.17 Cr. |
Total cashflows from Investing Activities | -7.05 Cr. | -20.81 Cr. | -10.42 Cr. | -10.31 Cr. |
Net Borrowings | -7.42 Cr. | 25.82 Cr. | 10.51 Cr. | 8.20 Cr. |
Total Cash from Financing Activities | -17.47 Cr. | 17.70 Cr. | 3.39 Cr. | 14.71 Cr. |
Other Liabilities | 0 | 0 | 0 | 0 |
Total Assets | 0 | 0 | 0 | 12.04 Cr. |
Net Income | 5.33 Cr. | 18.47 Cr. | 11.79 Cr. | 1.31 Cr. |
Change in Cash | -1.40 Cr. | 1.32 Cr. | -55.88 Lakhs | 77.05 Lakhs |
Effect of Exchange Rate | 0 | 0 | 0 | 0 |
Total Cash from Operating Activities | 23.12 Cr. | 4.43 Cr. | 6.46 Cr. | -3.62 Cr. |
Depreciation | 3.82 Cr. | 2.59 Cr. | 2.10 Cr. | 1.87 Cr. |
Other Cashflows from Investing Activities | 22.17 Lakhs | 21.89 Lakhs | 21.61 Lakhs | 27.36 Lakhs |
Dividends Paid | -1.32 Cr. | -79.86 Lakhs | -79.86 Lakhs | -79.86 Lakhs |
Change to Inventory | 73.01 Lakhs | -15.12 Cr. | -19.73 Cr. | -7.27 Cr. |
Change to Account Receivables | 2.29 Cr. | -27.87 Cr. | -7.96 Cr. | -24.06 Cr. |
Other Cashflows from Financing Activities | -8.71 Cr. | -7.31 Cr. | -7.12 Cr. | -5.53 Cr. |
Change to Net Income | 8.68 Cr. | 10.76 Cr. | 10 Cr. | 5.91 Cr. |
Capital Expenditures | -13.28 Cr. | -15.06 Cr. | -11.61 Cr. | -10.58 Cr. |
Particulars | Mar 2021 | Mar 2020 | Mar 2019 | Mar 2018 |
---|---|---|---|---|
Research Development | None | None | None | None |
Effect of Accounting Charges | None | None | None | None |
Income Before Tax | 7.36 Cr. | 26.24 Cr. | 16.64 Cr. | 2.01 Cr. |
Minority Interest | None | None | None | None |
Net Income | 15.72 Cr. | 34.57 Cr. | 22.73 Cr. | 7 Cr. |
Selling General Administrative | 32.74 Cr. | 30.12 Cr. | 22.73 Cr. | 18.44 Cr. |
Gross Profit | 69.43 Cr. | 89.60 Cr. | 68.45 Cr. | 37.38 Cr. |
Ebit | 15.72 Cr. | 34.57 Cr. | 22.73 Cr. | 7 Cr. |
Operating Income | 15.72 Cr. | 34.57 Cr. | 22.73 Cr. | 7 Cr. |
Other Operating Expenses | 17.14 Cr. | 20.83 Cr. | 20.27 Cr. | 9.62 Cr. |
Interest Expense | -8.71 Cr. | -7.31 Cr. | -7 Cr. | -5.29 Cr. |
Extraordinary Items | None | None | None | None |
Non Recurring | None | None | None | None |
Other Items | None | None | None | None |
Income Tax Expense | 2.03 Cr. | 7.76 Cr. | 4.85 Cr. | 70.31 Lakhs |
Total Revenue | 305.09 Cr. | 299.62 Cr. | 255.14 Cr. | 127.05 Cr. |
Total Operating Expenses | 289.37 Cr. | 265.04 Cr. | 232.41 Cr. | 120.04 Cr. |
Cost of Revenue | 235.66 Cr. | 210.01 Cr. | 186.68 Cr. | 89.66 Cr. |
Total Other Income Expense Net | -8.37 Cr. | -8.33 Cr. | -6.08 Cr. | -4.99 Cr. |
Discontinued Operations | None | None | None | None |
Net Income from Continuous Ops. | 5.33 Cr. | 18.47 Cr. | 11.79 Cr. | 1.31 Cr. |
Net Income Applicable to Common Shares | 5.33 Cr. | 18.47 Cr. | 11.79 Cr. | 1.31 Cr. |
Particulars | Mar 2021 | Mar 2020 | Mar 2019 | Mar 2018 |
---|---|---|---|---|
Intangible Assets | 16.15 Cr. | 13.49 Cr. | 12.27 Cr. | 9.19 Cr. |
Capital Surplus | 11.52 Cr. | 11.52 Cr. | 11.52 Cr. | 11.52 Cr. |
Total Liabilities | 141.22 Cr. | 146.89 Cr. | 106.38 Cr. | 86.40 Cr. |
Stock Holder Equity | 99.77 Cr. | 95.63 Cr. | 78.13 Cr. | 66.28 Cr. |
Minority Interest | 0 | 0 | 0 | 0 |
Other Liabilities | 16.78 Cr. | 11.66 Cr. | 6.29 Cr. | 3.15 Cr. |
Total Assets | 240.99 Cr. | 242.52 Cr. | 184.52 Cr. | 152.69 Cr. |
Common Stock | 3.31 Cr. | 3.31 Cr. | 3.31 Cr. | 3.31 Cr. |
Retained Earnings | 84.93 Cr. | 80.80 Cr. | 63.30 Cr. | 51.45 Cr. |
Other Liabilities | 5.50 Cr. | 4.36 Cr. | 2.23 Cr. | 1.86 Cr. |
Good Will | 0 | 0 | 0 | 0 |
Treasury Stock | 96.45 Cr. | 0 | 0 | 0 |
Other Assets | 5.76 Cr. | 8.42 Cr. | 13.53 Cr. | 16.26 Cr. |
Cash | 1.62 Cr. | 1.48 Cr. | 25.19 Lakhs | 20.81 Lakhs |
Current Liabilities | 124.47 Cr. | 127.42 Cr. | 87.40 Cr. | 74.50 Cr. |
Long Term Asset Charges | 3.87 Cr. | 4.68 Cr. | 6.85 Cr. | 10.58 Cr. |
Short Long Term Debt | 6.70 Cr. | 5.29 Cr. | 4.99 Cr. | 2.79 Cr. |
Other Stockholder Equity | 96.45 Cr. | 0 | 0 | 0 |
Property Plant Equipment | 44.30 Cr. | 37.51 Cr. | 27.77 Cr. | 22.36 Cr. |
Total Cur. Assets | 174.66 Cr. | 176.99 Cr. | 130.83 Cr. | 104.76 Cr. |
Long Term Investments | 10.25 Lakhs | 6.10 Cr. | 10 Lakhs | 10 Lakhs |
Net Tangible Assets | 83.61 Cr. | 82.13 Cr. | 65.86 Cr. | 57.09 Cr. |
Short Term Investments | 8.14 Cr. | 0 | 0 | 0 |
Net Receivables | 87.75 Cr. | 84.84 Cr. | 66.53 Cr. | 60.59 Cr. |
Long Term Debt | 11.25 Cr. | 15.09 Cr. | 16.74 Cr. | 10.03 Cr. |
Inventory | 68.53 Cr. | 69.26 Cr. | 54.14 Cr. | 34.41 Cr. |
Accounts Payable | 41.89 Cr. | 39.46 Cr. | 32.86 Cr. | 27.80 Cr. |