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Current Ratios

Years Current Asset Current Liablities Ratios


2016 58,574,151 7,903,952 7.41
2017 69,765,346 31,884,616 7.41
2018 72,021,081 31,884,616 4.48
2019 91,328,208 47,117,199 1.94
2020 91,328,208 30,266,661 3.82

Quick Ratios
Years Quick Assets Current Liabilities Ratio
2016 58,574,151 7,903,952 7.41
2017 52,470,336 31,884,616 1.65
2018 69,883,268 16,065,620 4.35
2019 89,433,596 47,117,199 1.9
2020 115,431,868 30,266,661 3.81

Year Absolute Liquid Assets Current Liabilities Ratio


2016 31,004,027 7,903,952 3.92
2017 10,859,778 31,884,616 0.34
2018 39,466,542 16,065,620 2.46
2019 53,850,852 47,117,199 1.14
2020 35,649,070 30,266,661 1.18

Total Assets Ratio

2003 67,679,219 78,572,171 0.86


2004 53,301,834 88,438,107 0.6
2005 70,231,061 89,158,391 0.79
2006 56,473,652 106,385,201 0.53
2007 97,060,013 129,805,102 0.75

Year Share Holders Funds Total Assets Ratio


2016 67,679,219 78,572,171 0.86
2017 53,301,834 88,438,107 0.6
2018 70,231,061 89,158,391 0.79
2019 56,473,652 106,385,201 0.53
2020 97,060,013 129,805,102 0.75
WORKING CAP
Year Income From Services Working Capital Ratio 1.6
2016 36,309,834 50,670,199 0.72 1.4
2017 53,899,084 37,880,730 1.42
1.2
2018 72,728,759 55,355,460 1.31
1

0.8

0.6
1.6

1.4

1.2

2019 55,550,649 44,211,009 1.26 1


2020 96,654,902 85,375,407 1.13 0.8

0.6

Year Income From Services Net Fixed Assets Ratio 0.4


2016 36,309,834 28,834,317 1.26 0.2
2017 53,899,084 29,568,279 1.82
2018 72,728,759 17,137,310 4.24 0 2016 2017
2019 55,550,649 15,056,993 3.69
2020 96,654,902 14,163,034 6.82
FIXED ASSET
8
Year Income From Services Capital Employed Ratio
2016 36,309,834 37,175,892 0.98 7
2017 53,899,084 53,301,834 1.01
6
2018 72,728,759 70,231,061 1.04
2019 55,550,649 56,473,652 0.98 5
2020 96,654,902 97,060,013 1 4

Year Current Assets Fixed Assets Ratio 2


2016 58,524,151 19,998,020 2.93 1
2017 69,765,346 18,672,761 3.74
0 2016 2017
2018 72,021,081 17,137,310 4.2
2019 91,328,208 15,056,993 6.07
2020 115,642,068 14,163,034 8.17

CAPITAL T
Year Net Profit After Tax Income from Services Ratio
2016 21,123,474 36,039,834 0.59
1.05
2017 16,125,942 53,899,084 0.3
1.04
2018 16,929,227 72,728,759 0.23
1.03
2019 18,259,580 55,550,649 0.33
1.02
2020 40,586,359 96,654,902 0.42
1.01
1
Year Operating Profit Income From Services Ratio 0.99
Year Operating Profit Income From Services Ratio 0.98
2016 36,094,877 36,309,834 0.99 0.97
2017 27,576,814 53,899,084 0.51 0.96
2018 29,540,599 72,728,759 0.41 0.95
2016 2017
2019 31,586,718 55,550,649 0.57
2020 67,192,677 96,654,902 0.7

CURRENT ASSET
Year Net Profit After Tax Total Assets Ratio
9
2016 21,123,474 78,572,171 0.27
2017 16,125,942 88,438,107 0.18 8
2018 16,929,227 89,158,391 0.19 7
2019 18,259,580 106,385,201 0.17 6
2020 40,586,359 129,805,102 0.31
5
4
3
2
8
7
6
5
4

Year Reserves & Surplus Capital Ratio 3


Year Reserves & Surplus Capital Ratio 2
2016 65,599,299 2,079,920 31.54
1
2017 34,582,554 18,719,280 1.85
2018 51,511,781 18,719,280 2.75 0 2016 2017
2019 37,754,372 18,719,280 2.02
2020 78,340,733 18,719,280 4.19
RETURN O
0.35
Year Net Profit After Tax No of Equity Shares Ratio
Year Net Profit After Tax No of Equity Shares Ratio 0.3
2016 21,123,474 207,992 101.56 0.25
2017 16,125,942 1,871,928 8.61
2018 16,929,227 1,871,928 9.04 0.2
2019 18,259,580 1,871,928 9.75
0.15
2020 40,586,359 1,871,928 21.68
0.1
Year Market Price Per Share Earnings Per Share Ratio
Year Market Price Per Share Earnings Per Share Ratio 0.05
2016 32.54 101.56 0.32
0 2017
2017 28.47 8.61 3.3 2016
2018 37.52 9.04 4.15
2019 30.17 9.75 3.09
2020 51.85 21.68 2.39 RESERVES & SU
35
Year Net Profit After Tax Share Holders Fund Ratio
Year Net Profit After Tax Share Holders Fund Ratio 30
2016 21,123,474 67,679,219 0.31
25
2017 16,125,942 53,301,834 0.3
2018 16,929,227 70,231,061 0.24 20
2019 18,259,580 56,473,652 0.32
2020 40,586,359 97,060,013 0.42 15

10

PRICE EARNINGS (P/E) RATIO 5

4.5 0 2016 2017


4

3.5
3 RETU
2.5 0.45

2 0.4

1.5 0.35

1 0.3

0.5 0.25

0 2019 0.2
2016 2017 2018 2020
0.15

0.1

0.05

0 2016
1 0.3

0.5 0.25

0 2019 0.2
2016 2017 2018 2020
0.15

0.1

0.05

0 2016 2017
Current Ratios
8

0
201 2017 2018 2019 2020
6

ABOSULTE LIQUIDITY RATIO

4.5
4
3.5
3
2.5
2
1.5
1
0.5
0 2016 2017 2018 2019 2020

WORKING CAPITAL TURNOVER RATIO


1.6

1.4

1.2

0.8

0.6
1.6

1.4

1.2

0.8

0.6

0.4

0.2

0 2016 2017 2018 2019 2020

FIXED ASSETS TURNOVER RATIO


8

0 2016 2017 2018 2019 2020

CAPITAL TURNOVER RATIO

1.05
1.04
1.03
1.02
1.01
1
0.99
0.98
0.97 NET PROFIT R
0.96
0.7
0.95 2018 2019 2020
2016 2017
0.6

0.5
CURRENT ASSETS TO FIXED ASSETS RATIO 0.4
9
0.3
8
0.2
7
6 0.1

5 0
2016 2017 2018
4
3
2
8
0.2
7
6 0.1

5 0
2016 2017 2018
4
3
2 OPERATING PRO
1
1.2
0 2016 2017 2018 2019 2020
1

RETURN ON TOTAL ASSETS RATIO 0.8

0.35 0.6

0.3
0.4
0.25
0.2
0.2
0 2017
2016 2018
0.15

0.1

0.05 EARNINGS PER SHA


0 120
2016 2017 2018 2019 2020
100

RESERVES & SURPLUS TO CAPITAL RATIO 80

35
60
30
40
25
20
20

0 2016 2017 2018


15

10

0 2016 2017 2018 2019 2020

RETURN ON INVESTMENT
0.45

0.4

0.35

0.3

0.25

0.2

0.15

0.1

0.05

0 2016 2020
0.3

0.25

0.2

0.15

0.1

0.05

0 2016 2018 2019 2020


2017
NET PROFIT RATIO

2017 2018 2019 2020


2017 2018 2019 2020

OPERATING PROFIT

2017 2018 2019 2020

EARNINGS PER SHARE

2017 2018 2019 2020

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