Key Financial Ratios

Rhetan TMT Ltd
BSE Code 543590 ISIN Demat INE0KKN01029 Book Value (₹) 1.15 NSE Symbol N.A Div & Yield % 0 Market Cap ( Cr.) 1,360.27 P/E * 243.86 EPS * 0.07 Face Value (₹) 1
* Profit to Earning Ratio
* Earning Per Share
YearsMar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Debt-Equity Ratio0.200.411.676.0679.81
Long Term Debt-Equity Ratio0.030.160.773.2551.40
Current Ratio4.083.261.761.301.27
Fixed Assets4.639.307.575.972.32
Inventory1.963.073.755.202.36
Debtors2.583.503.724.882.73
Interest Cover Ratio4.436.503.261.181.37
PBIDTM (%)11.5810.596.883.133.25
PBITM (%)10.479.826.182.232.05
PBDTM (%)9.229.084.981.251.75
CPM (%)7.097.074.191.15-1.70
APATM (%)5.976.303.490.25-2.90
ROCE (%)6.5311.029.433.790.00
RONW (%)4.479.9413.032.210.00