Jash Engineering Limited (JASH)
ISIN: - Industry: Specialty Industrial Machinery Sector: Industrials Website
771.7
4.9(0.64%)

Jash Engineering Limited manufactures, trades in, and sells various engineering products for general engineering, water and wastewater, power plant, and bulk solids handling industries in India. It offers water control gates, such as slide/penstock, open channel, weir, and flap gates, as well as stop logs; screens, including manual bars, trash rack, J-type trash rack, suspended trash rake, multi-rake, step, pre-scalators, travelling band, drum, and static screens; and screening conveying equipment comprising flat belt and screw conveyors. The company also provides knife gate valves; water hammer control valves; hydro power equipment; screw pumps; bulk solid handling valves; and treatment process equipment consisting of agitators, clarifiers, clarifloculators, detritors, clariflocculators, and thickeners filters. In addition, it offers fabfricated gates, such as bulkhead, rollers, crest, butterfly, radial/tainter, bonneted, tilting weir, swing, and mitre gates; disc filters; and bulk solids handling valves. Its equipment are used in water intake systems, water and waste water pumping stations and treatment plants, storm water pumping stations, and water transmission lines, as well as power, steel, cement, paper and pulp, petrochemical, chemical, fertilizer, and other process plants. It also exports its products. The company was founded in 1948 and is headquartered in Indore, India. Jash Engineering Limited is a subsidiary of Jash Group.

Pricing Updates

TODAY'S HIGH

786.95

TODAY'S LOW

751.6

52 WEEK HIGH

799

52 WEEK LOW

422.2

Major Holders

% of Shares Held by
All Insider

0.00%

% of Shares Held by
Institutions

3.03%

% of Float Held by
Institutions

3.03%

Number of Institutions
Holding Shares

1

Company Overview

MARKET CAP

913.43 Cr.

ETERPRISE VALUE

970.41 Cr.

NO. OF SHARES

1.18 Cr.

BOOK VALUE

156.917

DIV. YIELD

3.2%

DEBT

81.97 Cr.

GROSS PROFIT

189.79 Cr.

CASH

26.72 Cr.

REVENUE

369 Cr.

REVENUE/SHARE

310.296

OHLC Chart 1y 2y 5y 10y

Price Chart

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Volumes Chart

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Cashflows

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Investments-4.91 Cr.-3.79 Cr.-4.39 Cr.-1.28 Cr.
Change To Liabilities13.18 Cr.7.19 Cr.-23.11 Cr.10.65 Cr.
Total cashflows from Investing Activities-16.37 Cr.-12.10 Cr.-8.18 Cr.-14.53 Cr.
Net Borrowings11.03 Cr.-11.46 Cr.4.88 Cr.5.50 Cr.
Total Cash from Financing Activities1.70 Cr.-22.48 Cr.-9.18 Cr.-4.23 Cr.
Other Liabilities2.62 Lakhs6.50 Cr.9.54 Cr.11.26 Cr.
Total Assets1.24 Cr.1.24 Cr.1.24 Cr.1.24 Cr.
Net Income32.17 Cr.30.51 Cr.20.09 Cr.7.69 Cr.
Change in Cash-9.66 Lakhs76.62 Lakhs1.28 Cr.-1.06 Cr.
Effect of Exchange Rate9.25 Lakhs-6.75 Lakhs18.97 Lakhs14.54 Lakhs
Total Cash from Operating Activities14.47 Cr.35.42 Cr.18.47 Cr.17.56 Cr.
Depreciation9.69 Cr.8.13 Cr.7.56 Cr.6.95 Cr.
Other Cashflows from Investing Activities1.49 Cr.1.10 Cr.1.11 Cr.37.70 Lakhs
Dividends Paid-3.79 Cr.-1.06 Cr.-3.55 Cr.-1.18 Cr.
Change to Inventory-4.44 Cr.-10.64 Cr.89.91 Lakhs-10.65 Cr.
Change to Account Receivables-34.78 Cr.-11.79 Cr.-8.59 Cr.-20.54 Cr.
Other Cashflows from Financing Activities-6.77 Cr.-9.95 Cr.-10.52 Cr.-8.55 Cr.
Change to Net Income-1.37 Cr.5.09 Cr.11.82 Cr.11.95 Cr.
Capital Expenditures-12.95 Cr.-9.46 Cr.-4.92 Cr.-16.15 Cr.

Financials

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax34.57 Cr.36.16 Cr.27.74 Cr.13.80 Cr.
Minority InterestNoneNoneNoneNone
Net Income37.13 Cr.43.45 Cr.30.50 Cr.15.61 Cr.
Selling General Administrative64.45 Cr.56.08 Cr.50.03 Cr.41.77 Cr.
Gross Profit189.79 Cr.169.53 Cr.152.21 Cr.129.22 Cr.
Ebit37.13 Cr.43.45 Cr.30.50 Cr.15.61 Cr.
Operating Income37.13 Cr.43.45 Cr.30.50 Cr.15.61 Cr.
Other Operating Expenses78.51 Cr.61.43 Cr.63.85 Cr.64.59 Cr.
Interest Expense-8.60 Cr.-7.56 Cr.-8.33 Cr.-6.82 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense2.40 Cr.5.64 Cr.7.64 Cr.6.11 Cr.
Total Revenue367.56 Cr.299.42 Cr.277.73 Cr.247.73 Cr.
Total Operating Expenses330.43 Cr.255.97 Cr.247.23 Cr.232.12 Cr.
Cost of Revenue177.76 Cr.129.89 Cr.125.52 Cr.118.50 Cr.
Total Other Income Expense Net-2.55 Cr.-7.28 Cr.-2.75 Cr.-1.80 Cr.
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.32.17 Cr.30.51 Cr.20.09 Cr.7.69 Cr.
Net Income Applicable to Common Shares32.17 Cr.30.51 Cr.20.09 Cr.7.69 Cr.

Balance Sheet

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Intangible Assets9.58 Cr.9.93 Cr.8.99 Cr.9.90 Cr.
Capital Surplus045.14 Cr.45.14 Cr.45.14 Cr.
Total Liabilities182.48 Cr.160.07 Cr.159.20 Cr.158.66 Cr.
Stock Holder Equity186.66 Cr.156.33 Cr.125.47 Cr.110 Cr.
Minority Interest0000
Other Liabilities35.69 Cr.27.69 Cr.19.23 Cr.14.86 Cr.
Total Assets369.15 Cr.316.41 Cr.284.67 Cr.268.66 Cr.
Common Stock11.94 Cr.11.83 Cr.11.83 Cr.11.83 Cr.
Retained Earnings097.84 Cr.68.78 Cr.53.45 Cr.
Other Liabilities5.75 Cr.6.12 Cr.6.09 Cr.4.63 Cr.
Good Will20.74 Cr.21.02 Cr.20.43 Cr.19.40 Cr.
Treasury Stock174.72 Cr.1.50 Cr.-29.37 Lakhs-43.58 Lakhs
Other Assets6.86 Cr.2.84 Cr.2.21 Cr.1.46 Cr.
Cash26.71 Cr.3.85 Cr.3.09 Cr.2.05 Cr.
Current Liabilities159.89 Cr.129.63 Cr.136.19 Cr.142.79 Cr.
Long Term Asset Charges2.94 Cr.15.87 Lakhs10.96 Lakhs4.90 Lakhs
Short Long Term Debt63.90 Cr.3.96 Cr.9.49 Cr.12.75 Cr.
Other Stockholder Equity174.72 Cr.1.50 Cr.-29.37 Lakhs-43.58 Lakhs
Property Plant Equipment82.15 Cr.78.43 Cr.77.75 Cr.73.08 Cr.
Total Cur. Assets249.79 Cr.204.16 Cr.175.27 Cr.164.79 Cr.
Long Term Investments00091 k
Net Tangible Assets156.33 Cr.125.37 Cr.96.03 Cr.80.69 Cr.
Short Term Investments90 k1.55 Cr.4.80 Cr.2.53 Cr.
Net Receivables134.89 Cr.98.06 Cr.87.15 Cr.78.23 Cr.
Long Term Debt11.69 Cr.18.43 Cr.10.65 Cr.7.22 Cr.
Inventory76.44 Cr.71.40 Cr.61.09 Cr.61.31 Cr.
Accounts Payable59.04 Cr.45.42 Cr.40.19 Cr.58.64 Cr.

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