SKM Egg Products Export Ltd (SKMEGGPROD)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 338.80
% Change: 0.46% (Prev Close: 337.25)

Volume: 65,927
% Change: -39.40% (Prev Volume: 1,08,785)

Delivery: 0
Delivery % : 0.00
% Change: 0.00% (Prev Delivery: 0)

Turnover: 218 Lacs
% Change: -40.96% (Prev Turnover: 370)

πŸ’Ή EOD Valuation

P/E Ratio: 22.99
P/B Ratio: 2.94
Market Cap: 891 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: SKMEGGPROD
Market Cap: 978 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 390.00
52 Week Low: 151.00

All-Time High: 560.40 Rs.
All-Time Low: 5.15 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
16.16% | 62.69% | 105.22% | 35.46% | 51.32%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 56.25%

Change (3Y | 1Y): 0.81% | 0.85%

Pledged %: 0.00%

FII Holding

FII Holding: 0.29%

Change (3Y | 1Y): 0.29% | 0.22%

DII Holding

DII Holding: 0.00%

Change (3Y | 1Y): 0.00% | 0.00%

Public Holding: 43.47%


🏦 Financial Strength

Debt to Equity: 0.49
Debt: 149.23 Rs. Cr.

Book Value: 115.14 Rs.
Current Ratio: 2.46
Interest Coverage: 5.63
Free Cash Flow: 32.18 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: -8.71%

Sales Growth Qtr (YOY | QoQ):
49.10% | 49.61%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
9.72% | 18.07% | -8.71%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -37.68%

Profit Growth Qtr (YOY | QoQ):
34.66% | 155.57%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
48.82% | 70.57% | -37.68%


EPS Rs.

EPS (TTM): 14.74 Rs.

EPS Qtr (Last Year | Latest):
4.59 Rs. | 6.18 Rs.

EPS Annual (Last Annual | Annual March):
32.44 Rs. | 13.14 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
48.82% | 70.57%


Net Profit Rs. Cr.

Net Profit (TTM): 38.79 Rs. Cr.

Net Profit (Annual - March): 34.59 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
12.07| 6.37 | 16.28


EBITDA Rs. Cr.

EBITDA (Quarter): 29.07 Rs. Cr.
EBITDA (Previous Yr Ql): 20.10 Rs. Cr.

EBITDA (Annual - March): 91.76 Rs. Cr.
EBITDA (Previous Annual): 163.05 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
26.95% | 34.56%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 11.72%

OPM Qtr (Previous | Current):
10.52% | 14.10%

OPM Annual (5 Yrs | Last Yr | March):
17.91% | 21.51% | 15.71%


Return on Equity %

ROE: 11.80%

ROE (5 Yrs | 3 Yrs | Last Yr):
24.02% | 28.52% | 35.92%


Return on Capital Employed %

ROCE: 13.07%

ROCE (5 Yrs | 3 Yrs | Last Yr):
23.24% | 31.48% | 34.94%


Return on Assets %

ROA (TTM): 7.11%

ROA (5 Yrs | 3 Yrs | Last Yr):
13.13% | 18.21% | 20.96%



PEG Ratio: 0.36
Dividend Yield: 0.40%

PE 3 Yrs: 10.79
PE 5 Yrs: 13.06

Dividend Yield: 0.40%


πŸ‘₯ Company

SKM Egg Products Export Ltd

SKMEGGPROD

Promoter Holding: %

SKY GOLD AND DIAMONDS Ltd (SKYGOLD)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 274.75
% Change: -2.76% (Prev Close: 282.55)

Volume: 6,21,195
% Change: 103.73% (Prev Volume: 3,04,908)

Delivery: 4,11,007
Delivery % : 66.16
% Change: 194.67% (Prev Delivery: 1,39,480)

Turnover: 1,719 Lacs
% Change: 99.18% (Prev Turnover: 863)

πŸ’Ή EOD Valuation

P/E Ratio: 25.65
P/B Ratio: 5.89
Market Cap: 4088 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: SKYGOLD
Market Cap: 4283 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 488.95
52 Week Low: 241.51

All-Time High: 488.95 Rs.
All-Time Low: 9.00 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
12.52% | -22.84% | -22.59% | 2.12% | 160.89%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 51.74%

Change (3Y | 1Y): -21.81% | -6.44%

Pledged %: 0.00%

FII Holding

FII Holding: 0.66%

Change (3Y | 1Y): 0.66% | 0.27%

DII Holding

DII Holding: 8.62%

Change (3Y | 1Y): 8.62% | 1.49%

Public Holding: 38.98%


🏦 Financial Strength

Debt to Equity: 0.92
Debt: 630.31 Rs. Cr.

Book Value: 46.61 Rs.
Current Ratio: 1.66
Interest Coverage: 5.12
Free Cash Flow: -288.39 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 89.04%

Sales Growth Qtr (YOY | QoQ):
56.46% | 6.91%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
0.00% | 65.30% | 89.04%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 203.70%

Profit Growth Qtr (YOY | QoQ):
105.32% | 14.20%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
0.00% | 144.83% | 203.70%


EPS Rs.

EPS (TTM): 10.71 Rs.

EPS Qtr (Last Year | Latest):
1.60 Rs. | 2.93 Rs.

EPS Annual (Last Annual | Annual March):
3.06 Rs. | 9.04 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
0.00% | 120.66%


Net Profit Rs. Cr.

Net Profit (TTM): 155.01 Rs. Cr.

Net Profit (Annual - March): 132.66 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
21.23| 38.17 | 43.59


EBITDA Rs. Cr.

EBITDA (Quarter): 75.71 Rs. Cr.
EBITDA (Previous Yr Ql): 38.51 Rs. Cr.

EBITDA (Annual - March): 229.33 Rs. Cr.
EBITDA (Previous Annual): 80.52 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
0.00% | 122.96%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 5.83%

OPM Qtr (Previous | Current):
5.96% | 6.31%

OPM Annual (5 Yrs | Last Yr | March):
0.00% | 4.45% | 5.53%


Return on Equity %

ROE: 28.59%

ROE (5 Yrs | 3 Yrs | Last Yr):
0.00% | 26.44% | 23.25%


Return on Capital Employed %

ROCE: 23.40%

ROCE (5 Yrs | 3 Yrs | Last Yr):
19.82% | 19.82% | 18.57%


Return on Assets %

ROA (TTM): 13.66%

ROA (5 Yrs | 3 Yrs | Last Yr):
0.00% | 10.62% | 9.50%



PEG Ratio: 0.19
Dividend Yield: 0.00%

PE 3 Yrs: 37.68
PE 5 Yrs: 37.68

Dividend Yield: 0.00%


πŸ‘₯ Company

SKY GOLD AND DIAMONDS Ltd

SKYGOLD

Promoter Holding: %

Smartlink Holdings Ltd (SMARTLINK)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 145.25
% Change: -1.86% (Prev Close: 148.00)

Volume: 3,977
% Change: 1.53% (Prev Volume: 3,917)

Delivery: 2,739
Delivery % : 68.87
% Change: -5.03% (Prev Delivery: 2,884)

Turnover: 6 Lacs
% Change: 1.21% (Prev Turnover: 6)

πŸ’Ή EOD Valuation

P/E Ratio: 15.70
P/B Ratio: 0.74
Market Cap: 145 Rs. Cr.


Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: SMARTLINK
Market Cap: 147 Rs. Cr.
Face Value: 2.00 Rs.

52 Week High: 355.75
52 Week Low: 119.40

All-Time High: 355.75 Rs.
All-Time Low: 21.84 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
3.98% | -11.58% | 6.90% | -47.80% | 1.76%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 72.85%

Change (3Y | 1Y): 2.96% | 0.01%

Pledged %: 0.00%

FII Holding

FII Holding: 0.00%

Change (3Y | 1Y): 0.00% | -0.29%

DII Holding

DII Holding: 0.00%

Change (3Y | 1Y): 0.00% | 0.00%

Public Holding: 27.16%


🏦 Financial Strength

Debt to Equity: 0.02
Debt: 3.87 Rs. Cr.

Book Value: 196.81 Rs.
Current Ratio: 2.26
Interest Coverage: 8.08
Free Cash Flow: -9.47 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 2.93%

Sales Growth Qtr (YOY | QoQ):
-7.63% | -43.42%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
23.34% | 39.22% | 2.93%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: 17.43%

Profit Growth Qtr (YOY | QoQ):
595.45% | -43.23%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
21.43% | -13.97% | 17.43%


EPS Rs.

EPS (TTM): 9.25 Rs.

EPS Qtr (Last Year | Latest):
-0.44 Rs. | 2.19 Rs.

EPS Annual (Last Annual | Annual March):
7.08 Rs. | 6.63 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
23.33% | -13.97%


Net Profit Rs. Cr.

Net Profit (TTM): 9.23 Rs. Cr.

Net Profit (Annual - March): 6.61 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
-0.44| 3.84 | 2.18


EBITDA Rs. Cr.

EBITDA (Quarter): 3.89 Rs. Cr.
EBITDA (Previous Yr Ql): 1.19 Rs. Cr.

EBITDA (Annual - March): 10.79 Rs. Cr.
EBITDA (Previous Annual): 14.53 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
32.98% | 0.63%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 0.39%

OPM Qtr (Previous | Current):
0.89% | 1.57%

OPM Annual (5 Yrs | Last Yr | March):
3.80% | 1.41% | -0.52%


Return on Equity %

ROE: 3.42%

ROE (5 Yrs | 3 Yrs | Last Yr):
3.90% | 2.75% | 3.76%


Return on Capital Employed %

ROCE: 3.35%

ROCE (5 Yrs | 3 Yrs | Last Yr):
3.78% | 3.32% | 5.04%


Return on Assets %

ROA (TTM): 2.58%

ROA (5 Yrs | 3 Yrs | Last Yr):
3.01% | 1.97% | 2.66%



PEG Ratio: -1.14
Dividend Yield: 0.00%

PE 3 Yrs: 28.47
PE 5 Yrs: 24.20

Dividend Yield: 0.00%


πŸ‘₯ Company

Smartlink Holdings Ltd

SMARTLINK

Promoter Holding: %

Southern Petrochemicals Industries Corporation Ltd (SPIC)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 113.34
% Change: -1.64% (Prev Close: 115.23)

Volume: 11,76,429
% Change: -60.03% (Prev Volume: 29,43,275)

Delivery: 4,53,273
Delivery % : 38.53
% Change: -56.31% (Prev Delivery: 10,37,530)

Turnover: 1,334 Lacs
% Change: -61.62% (Prev Turnover: 3,475)

πŸ’Ή EOD Valuation

P/E Ratio: 14.44
P/B Ratio: 1.93
Market Cap: 2308 Rs. Cr.



Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: SPIC
Market Cap: 2198 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 128.20
52 Week Low: 66.22

All-Time High: 128.20 Rs.
All-Time Low: 5.10 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
33.54% | 42.43% | 50.18% | 36.61% | 24.18%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 53.38%

Change (3Y | 1Y): 0.10% | 0.00%

Pledged %: 0.00%

FII Holding

FII Holding: 6.53%

Change (3Y | 1Y): 6.53% | 1.66%

DII Holding

DII Holding: 0.29%

Change (3Y | 1Y): -2.71% | -0.01%

Public Holding: 39.80%


🏦 Financial Strength

Debt to Equity: 0.60
Debt: 721.74 Rs. Cr.

Book Value: 58.87 Rs.
Current Ratio: 1.00
Interest Coverage: 5.46
Free Cash Flow: -290.60 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: 46.18%

Sales Growth Qtr (YOY | QoQ):
3.49% | 3.48%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
8.22% | 18.07% | 46.18%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -7.30%

Profit Growth Qtr (YOY | QoQ):
6.65% | 242.63%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
18.21% | -1.71% | -7.30%


EPS Rs.

EPS (TTM): 7.85 Rs.

EPS Qtr (Last Year | Latest):
3.07 Rs. | 3.28 Rs.

EPS Annual (Last Annual | Annual March):
5.55 Rs. | 7.64 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
18.21% | -1.71%


Net Profit Rs. Cr.

Net Profit (TTM): 159.85 Rs. Cr.

Net Profit (Annual - March): 155.62 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
62.55| 19.47 | 66.71


EBITDA Rs. Cr.

EBITDA (Quarter): 122.57 Rs. Cr.
EBITDA (Previous Yr Ql): 112.38 Rs. Cr.

EBITDA (Annual - March): 327.74 Rs. Cr.
EBITDA (Previous Annual): 299.24 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
19.17% | 12.07%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 8.88%

OPM Qtr (Previous | Current):
4.88% | 11.95%

OPM Annual (5 Yrs | Last Yr | March):
10.10% | 13.06% | 9.12%


Return on Equity %

ROE: 13.68%

ROE (5 Yrs | 3 Yrs | Last Yr):
20.64% | 20.12% | 14.39%


Return on Capital Employed %

ROCE: 16.74%

ROCE (5 Yrs | 3 Yrs | Last Yr):
19.99% | 21.37% | 17.80%


Return on Assets %

ROA (TTM): 7.69%

ROA (5 Yrs | 3 Yrs | Last Yr):
8.83% | 10.21% | 7.48%



PEG Ratio: -8.04
Dividend Yield: 1.85%

PE 3 Yrs: 9.05
PE 5 Yrs: 8.63

Dividend Yield: 1.85%


πŸ‘₯ Company

Southern Petrochemicals Industries Corporation Ltd

SPIC

Promoter Holding: %

SPL Industries Ltd (SPLIL)

πŸ“Š End of Day Bhavcopy

Date: 2025-09-09

Price: 40.70
% Change: 3.04% (Prev Close: 39.50)

Volume: 34,215
% Change: -59.01% (Prev Volume: 83,465)

Delivery: 17,715
Delivery % : 51.78
% Change: -40.18% (Prev Delivery: 29,615)

Turnover: 14 Lacs
% Change: -57.56% (Prev Turnover: 33)

πŸ’Ή EOD Valuation

P/E Ratio: 14.54
P/B Ratio: 0.56
Market Cap: 118 Rs. Cr.


Fundamental Data

Date: 05-09-2025

🏷️ Company Basics

Symbol: SPLIL
Market Cap: 117 Rs. Cr.
Face Value: 10.00 Rs.

52 Week High: 73.00
52 Week Low: 30.40

All-Time High: 118.90 Rs.
All-Time Low: 2.02 Rs.


Stock Price Increase (% Return) %

% Return (1 mth |3 mth | 6 mth | 1 Yr | 3 Yrs | 5 Yrs):
-3.11% | 4.78% | -3.73% | -34.43% | -14.94%


πŸ‘₯ Shareholding Pattern

Promoter Holding

Promoter Holding: 74.97%

Change (3Y | 1Y): 6.04% | 6.04%

Pledged %: 0.00%

FII Holding

FII Holding: 0.13%

Change (3Y | 1Y): -0.15% | 0.00%

DII Holding

DII Holding: 0.00%

Change (3Y | 1Y): -0.02% | 0.00%

Public Holding: 24.58%


🏦 Financial Strength

Debt to Equity: 0.00
Debt: 0.00 Rs. Cr.

Book Value: 72.05 Rs.
Current Ratio: 10.22
Interest Coverage: 9.02
Free Cash Flow: 20.16 Rs. Cr.


πŸ“ˆ Growth & Sales

Sales Growth: -38.31%

Sales Growth Qtr (YOY | QoQ):
-60.82% | -45.83%

Sales Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
-4.66% | -11.01% | -38.31%


πŸ’° Profit & Earnings

Profit Growth %

Profit Growth: -26.18%

Profit Growth Qtr (YOY | QoQ):
-64.73% | -69.05%

Profit Growth Yrs. (5 Yrs | 3 Yrs | 1 Yr):
-20.75% | -22.80% | -26.18%


EPS Rs.

EPS (TTM): 2.80 Rs.

EPS Qtr (Last Year | Latest):
0.89 Rs. | 0.31 Rs.

EPS Annual (Last Annual | Annual March):
4.05 Rs. | 3.38 Rs.

EPS Growth Variation % (5 Yrs | 3 Yrs):
-20.75% | -22.80%


Net Profit Rs. Cr.

Net Profit (TTM): 8.12 Rs. Cr.

Net Profit (Annual - March): 9.79 Rs. Cr.

Net Profit Qtr (Last Year Q | Previous Q | Latest Q):
2.58| 2.94 | 0.91


EBITDA Rs. Cr.

EBITDA (Quarter): 2.08 Rs. Cr.
EBITDA (Previous Yr Ql): 5.05 Rs. Cr.

EBITDA (Annual - March): 17.65 Rs. Cr.
EBITDA (Previous Annual): 17.70 Rs. Cr.

EBITDA (5 Yrs | 3 Yrs) %:
-12.69% | -18.06%


πŸ“Š Profitability Ratios

Operating Margin (OPM)

OPM (TTM): 0.27%

OPM Qtr (Previous | Current):
1.99% | -9.86%

OPM Annual (5 Yrs | Last Yr | March):
8.16% | 5.00% | 2.78%


Return on Equity %

ROE: 4.80%

ROE (5 Yrs | 3 Yrs | Last Yr):
9.00% | 7.42% | 4.59%


Return on Capital Employed %

ROCE: 7.16%

ROCE (5 Yrs | 3 Yrs | Last Yr):
13.10% | 11.05% | 7.33%


Return on Assets %

ROA (TTM): 4.55%

ROA (5 Yrs | 3 Yrs | Last Yr):
8.25% | 6.73% | 4.26%



PEG Ratio: -0.63
Dividend Yield: 0.00%

PE 3 Yrs: 11.31
PE 5 Yrs: 9.33

Dividend Yield: 0.00%


πŸ‘₯ Company

SPL Industries Ltd

SPLIL

Promoter Holding: %