Maharashtra Seamless Limited (MAHSEAMLES)
ISIN: - Industry: Steel Sector: Basic Materials Website
391.95
1.75(0.45%)

Maharashtra Seamless Limited manufactures and sells seamless steel pipes and tubes in India. It operates through three segments: Steel Pipes & Tubes, Power – Electricity, and RIG. The company offers mild steel and galvanized pipes; API line pipes; oil country tubular goods (OCTG) pipes, such as casing tubing, drill pipes, coupling stocks, etc.; and hot finished pipes and tubes, and cold drawn and boiler tubes. It also provides coated pipes, including 3 layer polyethylene coated pipes, fusion bonded epoxy coated pipes, 3 layer polypropylene coated pipes, and internal epoxy coating pipes, as well as connections and pipe fittings. In addition, the company is involved in renewable power generation and rig operations. Further, the company operates 33 MW solar power plant in Rajasthan and 7 MW wind power project in Maharashtra. The company's products are used in the oil and gas, hydrocarbon process, bearing industry, automotive, boiler, heat exchanger, plumbing and firefighting, structural, general engineering, railways, sewage and water well, and hydraulic cylinder sectors. Maharashtra Seamless Limited was incorporated in 1988 and is headquartered in New Delhi, India.

Pricing Updates

TODAY'S HIGH

395

TODAY'S LOW

383.75

52 WEEK HIGH

455

52 WEEK LOW

225

Major Holders

% of Shares Held by
All Insider

148.96%

% of Shares Held by
Institutions

10.38%

% of Float Held by
Institutions

-21.20%

Number of Institutions
Holding Shares

13

Company Overview

MARKET CAP

5252.79 Cr.

ETERPRISE VALUE

5275.77 Cr.

NO. OF SHARES

13.39 Cr.

BOOK VALUE

298.702

DIV. YIELD

2.5%

DEBT

637.46 Cr.

GROSS PROFIT

1303.26 Cr.

CASH

559.26 Cr.

REVENUE

5306.96 Cr.

REVENUE/SHARE

396.053

OHLC Chart 1y 2y 5y 10y

Price Chart

1d 1w 1m 3m 6m 1Yr 2Yr 5Yr

Volumes Chart

1d 1w 1m 3m 6m 1Yr 2Yr 5Yr

Cashflows

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Investments-59.78 Cr.-268.23 Cr.-1.32 Cr.-67.11 Cr.
Change To Liabilities-241.94 Cr.194.88 Cr.295.87 Cr.166.23 Cr.
Total cashflows from Investing Activities489.45 Cr.-178.35 Cr.-743.83 Cr.-155.59 Cr.
Net Borrowings-140.95 Cr.-205.72 Cr.128 Cr.470.11 Cr.
Total Cash from Financing Activities-219.71 Cr.-284.79 Cr.7.34 Cr.387.45 Cr.
Other Liabilities0000
Total Assets0000
Net Income380.21 Cr.98.03 Cr.83.87 Cr.234.20 Cr.
Change in Cash-15.63 Cr.-20.82 Cr.25.20 Cr.43.90 Cr.
Effect of Exchange Rate-2.43 Cr.-5.06 Cr.7.56 Cr.-5.25 Cr.
Total Cash from Operating Activities-282.94 Cr.447.41 Cr.747.95 Cr.-182.69 Cr.
Depreciation137.86 Cr.121.46 Cr.87.91 Cr.79.61 Cr.
Other Cashflows from Investing Activities41.57 Cr.44.31 Cr.24.73 Cr.40.77 Cr.
Dividends Paid-23.65 Cr.-16.99 Cr.-40.37 Cr.-40.23 Cr.
Change to Inventory-462.38 Cr.-212.86 Cr.54.80 Cr.-261.76 Cr.
Change to Account Receivables-255.87 Cr.-20.67 Cr.-23.59 Cr.-597.84 Cr.
Other Cashflows from Financing Activities-55.11 Cr.-62.07 Cr.-80.27 Cr.-42.42 Cr.
Change to Net Income159.18 Cr.266.56 Cr.249.07 Cr.196.85 Cr.
Capital Expenditures-8.26 Cr.-19.98 Cr.-845.67 Cr.-26.52 Cr.

Financials

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax505.23 Cr.172.57 Cr.160.76 Cr.433.02 Cr.
Minority InterestNoneNoneNoneNone
Net Income474.34 Cr.348.31 Cr.455.02 Cr.590.66 Cr.
Selling General Administrative81.80 Cr.74.90 Cr.80.95 Cr.76.05 Cr.
Gross Profit1333.85 Cr.887.49 Cr.1000.76 Cr.1142.96 Cr.
Ebit474.34 Cr.348.31 Cr.455.02 Cr.590.66 Cr.
Operating Income474.34 Cr.348.31 Cr.455.02 Cr.590.66 Cr.
Other Operating Expenses639.85 Cr.342.81 Cr.376.86 Cr.396.62 Cr.
Interest Expense-50.70 Cr.-51.11 Cr.-61.53 Cr.-30.78 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense101.19 Cr.51.13 Cr.46.06 Cr.231.08 Cr.
Total Revenue4200.29 Cr.2308.34 Cr.2644.82 Cr.3051.79 Cr.
Total Operating Expenses3725.95 Cr.1960.03 Cr.2189.79 Cr.2461.12 Cr.
Cost of Revenue2866.44 Cr.1420.85 Cr.1644.06 Cr.1908.83 Cr.
Total Other Income Expense Net30.89 Cr.-175.73 Cr.-294.26 Cr.-157.64 Cr.
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.404.04 Cr.121.44 Cr.114.69 Cr.201.93 Cr.
Net Income Applicable to Common Shares380.21 Cr.98.03 Cr.83.87 Cr.234.20 Cr.

Balance Sheet

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Intangible Assets13 Lakhs12.55 Lakhs12.55 Lakhs12.86 Lakhs
Capital Surplus0258.27 Cr.258.27 Cr.258.27 Cr.
Total Liabilities1691.30 Cr.2056.82 Cr.2034.69 Cr.1724.74 Cr.
Stock Holder Equity3696.61 Cr.3298.79 Cr.3204.68 Cr.3070.12 Cr.
Minority Interest0000
Other Liabilities134.54 Cr.50.67 Cr.25.41 Cr.80.83 Cr.
Total Assets5387.91 Cr.5355.61 Cr.5239.37 Cr.4794.86 Cr.
Common Stock33.50 Cr.33.49 Cr.33.49 Cr.33.49 Cr.
Retained Earnings13 Lakhs2494.20 Cr.2881.01 Cr.2813.59 Cr.
Other Liabilities335.56 Cr.313.30 Cr.261.51 Cr.289.46 Cr.
Good Will1.25 Cr.1.24 Cr.1.24 Cr.1.24 Cr.
Treasury Stock3662.98 Cr.512.81 Cr.31.89 Cr.-35.24 Cr.
Other Assets18.91 Cr.22.51 Cr.23.65 Cr.22.23 Cr.
Cash49.47 Cr.63.11 Cr.83.93 Cr.58.73 Cr.
Current Liabilities840.85 Cr.1049.40 Cr.964.41 Cr.602.04 Cr.
Long Term Asset Charges0000
Short Long Term Debt193.75 Cr.227.44 Cr.336.67 Cr.225.48 Cr.
Other Stockholder Equity3662.98 Cr.512.81 Cr.31.89 Cr.-35.24 Cr.
Property Plant Equipment2147.40 Cr.2275.78 Cr.2391.46 Cr.1194.99 Cr.
Total Cur. Assets2647.35 Cr.2136.51 Cr.1820.35 Cr.2388.44 Cr.
Long Term Investments572.87 Cr.919.42 Cr.1002.53 Cr.1187.81 Cr.
Net Tangible Assets3695.23 Cr.3297.42 Cr.3203.31 Cr.3068.74 Cr.
Short Term Investments250.05 Cr.106.21 Cr.160.93 Cr.8.98 Cr.
Net Receivables701.07 Cr.750.58 Cr.681.26 Cr.870.81 Cr.
Long Term Debt514.89 Cr.694.10 Cr.808.76 Cr.833.22 Cr.
Inventory1434.62 Cr.973.15 Cr.761.76 Cr.771.35 Cr.
Accounts Payable487.17 Cr.741.84 Cr.571.61 Cr.274.07 Cr.

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