Rajasthan Gases Ltd

526873

Summary

Fair Value Assessment
Overvalued (44% Premium)
Fair ValueQ42.82UncertaintyVery High
Close Price62.00Feb 21, 2025
Market Closed
62.00
Price Down by 0.50 | 0.80 %
Previous Close
62.00
Day Range
62.00 – 62.50
Year Range
15.14 – 76.21
Bid / Ask
Market Cap
4.8 Bil
Volume / Average
295.0 / 13.8 k
Beta (5-Year)
0.18
Shares Outstanding
76.87 Mil
Primary Exchange
Bombay Stock Exchange

Business Description
Rajasthan Gases Ltd is an Indian firm that operates in the petrochemical sector. The Company Is engaged in the business line of LPG bottling, distribution, and transportation activities. It is operational in one business segment: natural gases and has only one geographical segment: India.
Contact
16 Street Near 33rd Road 103, Roha Orion, Mumbai, MH 400050
T +91 2226465178
www.rajasthangasesltd.com opens in a new tab
Sector
Utilities
Industry
Utilities - Regulated Gas
Most Recent Earnings
Dec 31, 2024
Fiscal Year End
Mar 31, 2025
Employees

Key Metrics

Income Statement (in Mil, except ratios)
12/31/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Revenue
2.44
Revenue Growth %
Gross Profit
0.01
Gross Profit Margin %
0.25%
Operating Income
63.12 -1.23 -7.42 -3.42 -0.76 -0.75
Operating Margin %
-31.08%
EBIT
-1.09 -1.23 -7.44 -3.42 -0.76 -0.76
EBIT Margin %
-31.09%
EBITDA
-1.09 -1.23 -7.44 -3.42 -0.76 -0.76
EBITDA Margin %
-31.09%
Net Income
63.02 -4.99 -10.33 -4.32 -1.04 -0.90
Net Profit Margin %
-42.65%
Basic EPS
1.62 -0.06 -1.92 -0.80 -0.19 -0.17
Diluted EPS
1.62 -0.06 -1.92 -0.80 -0.19 -0.17
Normalized EPS
Total Dividends per Share
Balance Sheet (in Mil, except ratios)
12/31/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Total Assets
289.11 289.11 127.78 54.44 19.09 18.81
Total Liabilities
0.15 0.14 48.32 42.15 2.49 1.16
Total Debt
48.14 42.00 2.00 1.13
Total Equity
288.97 288.97 79.46 12.29 16.60 17.64
Cash And Cash Equivalents
3.22 3.22 6.88 3.96 3.09 0.37
Working Capital
3.07 3.07 6.70 -38.19 0.60 1.64
Shares Outstanding (Mil)
5.37 5.37 5.37
Book Value Per Share
3.76 3.76 0.36 2.29 3.09 3.28
Total Debt To Equity
0.61 3.42 0.12 0.06
Cash Flow Statement (in Mil, except ratios)
09/30/2024
03/2024
03/2023
03/2022
03/2021
03/2020
Cash From Operating Activities
-4.34 -9.97 -10.30 -4.56 1.79
Cash From Investing Activities
-159.93 -160.05 -70.41 -34.58
Cash From Financing Activities
166.36 166.36 83.64 40.00 0.93
Capital Expenditures
Free Cash Flow
-4.99 -10.33 -4.32 -1.04 -0.90
Change in Cash
2.09 -3.66 2.93 0.86 2.72

Profile

There is no Key Executive Team data available.
Transaction History

Shares in Thousands
0 5 10 15 20 25 30 35 40
>
No Data Available
There is no available information for this investment.
Sep
2023
    • Buy
    • Acquisition
    • Option Exercise
    • Disposition
    • Sell
Transaction Detail
No Data Available
There is no available information for this investment.

Ownership

There is no Ownership data available.

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