av/kalyani-group--big.svg

NSE:BFUTILITIE

BF Utilities Limited

  • Stock

INR

Last Close

876.00

06/05 10:00

Market Cap

22.14B

Beta: 1.06

Volume Today

325.63K

Avg: 162.43K

PE Ratio

13.20

PFCF: -

Sep '13
Sep '14
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
asset turnover
0.09
-
0.11
20.98%
0.15
46.19%
0.15
1.52%
0.22
44.75%
0.22
1.50%
0.25
10.07%
0.17
30.46%
0.24
39.10%
0.34
42.30%
cash conversion cycle
-1.05M
-
8.90K
100.85%
14.44K
62.32%
115.24K
697.78%
21.42K
81.41%
86.66K
304.56%
638.41
99.26%
21.91K
3,331.31%
945.11
95.69%
92.47K
9,684.02%
cash per share
18.18
-
9.57
47.36%
13.71
43.29%
12.42
9.42%
20.51
65.17%
60.12
193.08%
69.07
14.88%
75.51
9.33%
56.65
24.97%
62.80
10.85%
company equity multiplier
-9.88
-
-8.02
18.82%
-4.49
44.02%
16.78
473.78%
-6.21
137.04%
-7.56
21.65%
-9.81
29.72%
-9.66
1.47%
-12.57
30.09%
-24.39
94.04%
days of inventory outstanding
-1.09M
-
9.60K
100.88%
16.42K
71.01%
125.56K
664.68%
25.18K
79.94%
127.44K
406.10%
817.45
99.36%
27.57K
3,272.95%
1.16K
95.79%
112.09K
9,549.59%
days of payables outstanding
-47.07K
-
911.07
101.94%
1.87K
105.71%
10.48K
459.01%
3.76K
64.11%
40.78K
984.48%
179.04
99.56%
5.71K
3,089.51%
240.59
95.79%
19.63K
8,059.11%
days of sales outstanding
257.63
-
208.29
19.15%
-100.73
148.36%
156.09
254.95%
44.10
-
24.13
45.30%
12.56
47.93%
dividend yield
0.01
-
0.03
288.47%
ebit per revenue
-0.53
-
-0.46
13.39%
0.02
104.45%
0.00
81.58%
0.60
15,719.14%
0.64
7.31%
0.46
28.04%
0.46
0.51%
0.52
13.48%
0.60
15.82%
ebt per ebit
1
-
1
0%
1
0%
1
0%
0.17
82.85%
0.28
61.77%
0.14
50.48%
-0.12
186.17%
0.39
426.56%
0.60
55.06%
effective tax rate
-0.04
-
-0.01
72.15%
0.48
4,266.03%
5.05
948.27%
0.13
97.44%
0.09
26.55%
0.19
102.52%
-0.13
169.93%
0.10
171.95%
0.06
34.76%
enterprise value multiple
22.46
-
27.25
21.36%
20.61
24.38%
16.33
20.77%
10.48
35.79%
7.43
29.10%
7.44
0.14%
11.58
55.51%
8.65
25.24%
4.96
42.72%
fixed asset turnover
0.72
-
1.10
53.34%
0.62
43.55%
3.44
454.14%
1.11
67.83%
0.92
16.96%
1.10
19.90%
0.78
29.61%
1.08
39.76%
13.60
1,154.35%
free cash flow per share
-42.58
-
32.08
175.34%
56.87
77.28%
66.87
17.58%
73.25
9.54%
106.14
44.90%
54.21
48.92%
49.73
8.27%
65.40
31.51%
85.84
31.26%
gross profit margin
1.00
-
0.97
3.17%
0.99
1.93%
1.00
1.13%
0.99
0.47%
1.00
0.51%
0.81
18.54%
0.99
21.91%
0.86
13.08%
1.00
15.86%
interest coverage
0.03
-
0.01
79.39%
1.22
17,736.70%
1.48
21.45%
1.22
17.64%
0.82
32.93%
1.53
87.36%
2.50
62.71%
inventory turnover
-0.00
-
0.04
11,495.85%
0.02
41.52%
0.00
86.92%
0.01
398.62%
0.00
80.24%
0.45
15,489.79%
0.01
97.04%
0.31
2,273.69%
0.00
98.96%
long term debt to capitalization
1.14
-
1.18
3.49%
1.27
7.68%
0.93
26.70%
1.23
31.90%
1.19
3.05%
1.16
2.67%
1.16
0.32%
1.13
2.97%
1.07
4.77%
net income per ebt
0.46
-
0.48
2.95%
0.50
4.82%
6.43
1,191.44%
0.59
90.88%
0.48
17.67%
0.81
67.39%
1.13
40.33%
0.90
20.34%
0.94
3.71%
net profit margin
-0.25
-
-0.22
10.83%
0.01
104.66%
0.02
137.88%
0.06
147.39%
0.09
42.91%
0.05
40.36%
-0.06
220.31%
0.18
395.20%
0.34
86.26%
operating cash flow per share
-18.06
-
45.27
350.59%
59.24
30.87%
68.26
15.23%
74.68
9.40%
107.47
43.91%
82.47
23.26%
50.61
38.63%
86.49
70.87%
115.80
33.89%
operating cycle
-1.09M
-
9.81K
100.90%
16.32K
66.35%
125.71K
670.36%
25.18K
79.97%
127.44K
406.10%
817.45
99.36%
27.62K
3,278.35%
1.19K
95.71%
112.10K
9,354.31%
operating profit margin
-0.53
-
-0.46
13.39%
0.02
104.45%
0.00
81.58%
0.60
15,719.14%
0.64
7.31%
0.46
28.04%
0.46
0.51%
0.52
13.48%
0.60
15.82%
payables turnover
-0.01
-
0.40
5,266.46%
0.19
51.39%
0.03
82.11%
0.10
178.59%
0.01
90.78%
2.04
22,678.28%
0.06
96.86%
1.52
2,273.58%
0.02
98.77%
pretax profit margin
-0.53
-
-0.46
13.39%
0.02
104.45%
0.00
81.58%
0.10
2,613.23%
0.18
73.59%
0.06
64.37%
-0.05
185.73%
0.20
470.56%
0.36
79.59%
price fair value
-2.19
-
-7.45
241.07%
-4.89
34.36%
12.71
359.81%
-5.05
139.76%
-2.84
43.83%
-2.45
13.55%
-4.15
69.12%
-6.79
63.51%
-12.20
79.85%
receivables turnover
1.42
-
1.75
23.69%
-3.62
306.77%
2.34
164.54%
8.28
-
15.13
82.81%
29.06
92.07%
return on assets
-0.02
-
-0.02
7.88%
0.00
106.81%
0.00
134.26%
0.01
258.09%
0.02
45.05%
0.01
34.35%
-0.01
183.66%
0.04
510.62%
0.11
165.04%
return on capital employed
-0.05
-
-0.06
11.66%
0.00
106.10%
0.00
81.33%
0.14
22,263.85%
0.16
12.00%
0.13
16.73%
0.09
30.21%
0.15
55.95%
0.25
68.66%
return on equity
0.21
-
0.19
12.42%
-0.01
103.81%
0.06
975.60%
-0.08
232.62%
-0.15
76.46%
-0.12
14.84%
0.10
182.43%
-0.54
634.18%
-2.80
414.29%
total debt to capitalization
1.14
-
1.18
3.41%
1.26
7.21%
0.93
26.13%
1.22
30.48%
1.18
3.21%
1.15
2.47%
1.15
0.11%
1.12
2.82%
1.07
4.59%

All numbers in INR (except ratios and percentages)