Market
  • Company Info.

    Eros International Media Ltd.

    Balance Sheet - Consolidated



    Market Cap.(`) 150.87 Cr. P/BV 0.15 Book Value (`) 106.36
    52 Week High/Low ( ` ) 29/14 FV/ML 10/1 P/E(X) 0.00
    Book Closure 26/09/2023 EPS (`) 0.00 Div Yield (%) 0.00


    (` in Crs.)
    You can view the Consolidated Balance Sheet for the last 5 years.

    ParticularsMar 23Mar 22Mar 21Mar 20Mar 19
    Months1212121212
    Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
    FaceValue10.0010.0010.0010.0010.00
    No. of Equity Shares (in Lacs)959.14958.85958.65956.29955.08
          
    EQUITIES AND LIABILITIES     
    SHAREHOLDER'S FUNDS     
    Equity Share Capital95.9195.8895.8695.6395.51
    Total Share Capital95.9195.8895.8695.6395.51
          
    Reserves and Surplus924.19961.97935.471138.362476.60
    Total Reserves and Surplus924.19961.97935.471138.362476.60
    Employees Stock Options7.718.268.6212.150.00
    Total Shareholders Funds1027.811066.111039.951246.142572.11
    Minority Interest8.8712.0913.6814.2810.28
          
    NON-CURRENT LIABILITIES     
    Long Term Borrowings0.3946.740.030.6787.24
    Deferred Tax Liabilities [Net]0.000.000.000.00179.58
    Other Long Term Liabilities289.81272.23227.2451.94106.18
    Total Non-Current Liabilities290.20318.97227.2752.61373.00
          
    CURRENT LIABILITIES     
    Short Term Borrowings188.03416.46459.88461.77452.68
    Trade Payables488.65209.71231.63367.63310.70
    Other Current Liabilities256.00384.14441.49354.24486.95
    Total Current Liabilities932.681010.311133.001183.641250.33
          
    Total Capital And Liabilities2259.562407.482413.902496.674205.72
          
    ASSETS     
    NON-CURRENT ASSETS     
    Tangible Assets25.8944.8853.2337.9638.31
    Intangible Assets330.09513.88683.90881.862508.89
    Capital Work-In-Progress0.000.000.070.070.07
    Intangible Assets Under Development43.35171.54177.9388.8790.49
    Fixed Assets399.33730.30915.131008.762637.76
    Goodwill On Consolidation0.000.000.000.0017.35
    Deferred Tax Assets [Net]4.004.0112.407.750.00
    Long Term Loans And Advances1015.22886.78803.37764.32444.84
    Other Non-Current Assets13.46111.44107.7575.2076.97
    Total Non-Current Assets1432.011732.531838.651856.033176.92
          
          
    CURRENT ASSETS     
    Inventories8.598.508.500.043.01
    Trade Receivables648.51638.17478.70552.24793.52
    Cash And Cash Equivalents92.659.4354.1047.16201.05
    Short Term Loans And Advances9.588.6229.0235.8918.27
    OtherCurrentAssets68.2210.234.935.3112.95
    Total Current Assets827.55674.95575.25640.641028.80
          
    Total Assets2259.562407.482413.902496.674205.72
          
    OTHER INFORMATION     
          
    CONTINGENT LIABILITIES, COMMITMENTS     
    Contingent Liabilities2035.691952.322099.222251.612145.21
          
    BONUS DETAILS     
    Bonus Equity Share Capital66.3166.3166.3166.3166.31
  • Eros International Media Ltd.

    Ratio Analysis - Consolidated



    Market Cap.(`) 150.87 Cr. P/BV 0.15 Book Value (`) 106.36
    52 Week High/Low ( ` ) 29/14 FV/ML 10/1 P/E(X) 0.00
    Book Closure 26/09/2023 EPS (`) 0.00 Div Yield (%) 0.00


    You can view the Consolidated Ratio Analysis for the last 5 years.

    ParticularsMar 23Mar 22Mar 21Mar 20Mar 19
    Months1212121212
    Source Of Info (AR = Annual Report, PR = Press Release)ARARARARAR
    FaceValue10.0010.0010.0010.0010.00
          
    PER SHARE RATIOS     
          
    Basic EPS (Rs.)-12.48-0.96-18.90-147.0628.26
    Diluted EPS (Rs.)-12.48-0.96-18.90-147.0628.02
    Cash EPS (Rs.)-11.78-0.19-17.79-145.2228.85
    Book Value[Excl.RevalReserv]/Share (Rs.)108.09112.45109.91131.80270.38
    Book Value[Incl.RevalReserv]/Share (Rs.)108.09112.45109.91131.80270.38
    Revenue From Operations / Share (Rs.)70.9738.9227.3385.08107.98
    PBDIT / Share (Rs.)-4.576.36-3.532.2142.32
    PBIT / Share (Rs.)-5.295.60-4.600.9041.37
    PBT / Share (Rs.)-12.48-0.11-18.05-168.9333.26
    Net Profit / Share (Rs.)-12.49-0.95-18.87-146.5227.90
    NP After MI And SOA / Share (Rs.)-12.15-0.79-18.80-146.9428.17
          
    PROFITABILITY RATIOS     
          
    PBDIT Margin (%)-6.4416.34-12.902.5939.19
    PBIT Margin (%)-7.4414.39-16.841.0538.31
    PBT Margin (%)-17.58-0.30-66.04-198.5530.79
    Net Profit Margin (%)-17.59-2.45-69.03-172.2225.83
    NP After MI And SOA Margin (%)-17.12-2.03-68.80-172.7126.09
    Return on Networth / Equity (%)-11.34-0.71-17.33-112.7610.46
    Return on Capital Employeed (%)-3.823.84-3.440.6513.36
    Return On Assets (%)-5.15-0.31-7.46-56.286.39
    Long Term Debt / Equity (X)0.000.040.000.000.03
    Total Debt / Equity (X)0.180.430.440.370.20
    Asset Turnover Ratio (%)0.290.110.120.230.24
          
    LIQUIDITY RATIOS     
          
    Current Ratio (X)0.880.660.500.540.82
    Quick Ratio (X)0.870.650.500.540.82
          
    COVERAGE RATIOS     
          
    Interest Coverage Ratio (%)-0.631.11-0.310.295.22
    Interest Coverage Ratio (Post Tax) (%)-0.730.83-0.493.164.44
          
    VALUATION RATIOS     
          
    Enterprise Value (Cr.)308.83764.53660.10511.511100.81
    EV / Net Operating Revenue (X)0.452.052.520.621.07
    EV / EBITDA (X)-7.0412.53-19.5224.252.72
    MarketCap / Net Operating Revenue (X)0.300.800.910.100.72
    Price / BV (X)0.190.280.230.060.29
    Price / Net Operating Revenue (X)0.300.800.910.100.72
    EarningsYield-0.57-0.02-0.74-17.150.35
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