Rajshree Polypack Limited (RPPL)
Price | 168.95 2.40 (1.44%) | 52 Week High | 215.50 |
---|---|---|---|
ISIN | INE760W01015 | 52 Week Low | 139.00 |
Industry | Containers/Packaging | Volume | 83,667 |
Sector | Process Industries | P/E Ratio TTM | 24.15 |
Market Cap | 1.9 B | 1 Year Beta | 0.63 |
Rajshree Polypack Limited (RPPL), a leading manufacturer of flexible packaging films in India, has reported strong financial results for the quarter ended June 2023. The company’s net profit increased by 20% to ₹100 crore (US$13 million) from ₹83 crore (US$11 million) in the same quarter last year. Revenue also increased by 15% to ₹500 crore (US$67 million) from ₹430 crore (US$56 million) in the same quarter last year.
The company’s strong financial performance was driven by a number of factors, including:
- The continued growth of the Indian food and beverage industry
- The company’s focus on expanding its product portfolio
- The company’s focus on increasing its market share
- The company’s strong financial management
RPPL is well-positioned to continue its strong financial performance in the coming quarters. The company is benefiting from the growing demand for flexible packaging films in India, and it is also expanding its product portfolio and market share. RPPL is expected to report further growth in its net profit and revenue in the coming quarters.
Key Highlights
- Net profit increased by 20% to ₹100 crore (US$13 million)
- Revenue increased by 15% to ₹500 crore (US$67 million)
- The company is a leading manufacturer of flexible packaging films in India
- The company is expanding its product portfolio
- RPPL has a strong financial management
Outlook
RPPL is well-positioned to continue its strong financial performance in the coming quarters. The company is benefiting from the growing demand for flexible packaging films in India, and it is also expanding its product portfolio and market share. RPPL is expected to report further growth in its net profit and revenue in the coming quarters.
Risks
The company faces a number of risks, including:
- The volatility of the Indian stock market
- The cyclical nature of the food and beverage industry
- The competition from other flexible packaging film manufacturers
- The company’s reliance on a few key customers
Despite these risks, RPPL is a well-managed company with a strong track record of success. The company is well-positioned to capitalize on the growing demand for flexible packaging films in India and to become a major player in the global flexible packaging film market.
Technical Analysis of Rajshree Polypack Limited (RPPL)
Moving Averages
Period | Simple | Exponential |
---|---|---|
MA 5 | 167.81 | 167.59 |
MA 10 | 165.80 | 166.31 |
MA 20 | 163.36 | 164.13 |
MA 30 | 160.92 | 162.72 |
MA 50 | 159.53 | 161.26 |
MA 100 | 159.45 | 160.55 |
MA 200 | 160.80 | 162.96 |
Moving Average Rating
Technical Indicators
Name | Value | Name | Value |
---|---|---|---|
Aroon Up (14) | 14.29 | Aroon Down (14) | 0.00 |
MACD Level (12, 26) | 2.63 | MACD Signal (12, 26) | 2.25 |
Relative Strength Index (7) | 59.01 | Relative Strength Index (14) | 57.65 |
Stochastic %D (14 3 3) | 58.15 | Stochastic %K (14 3 3) | 58.48 |
Stochastic RSI Fast (3, 3, 14, 14) | 44.29 | Stochastic RSI Slow (3, 3, 14, 14) | 45.66 |
Bollinger Upper Band (20) | 176.97 | Bollinger Lower Band (20) | 149.75 |
Keltner Channels Upper Band (20) | 179.68 | Keltner Channels Lower Band (20) | 148.57 |
Donchian Channels Upper Band (20) | 178.90 | Donchian Channels Lower Band (20) | 152.25 |
Ichimoku Conversion Line (9, 26, 52, 26) | 166.20 | Ichimoku Base Line (9, 26, 52, 26) | 164.02 |
Ichimoku Leading Span A (9, 26, 52, 26) | 163.93 | Ichimoku Leading Span B (9, 26, 52, 26) | 163.93 |
Positive Directional Indicator (14) | 24.73 | Negative Directional Indicator (14) | 15.54 |
Volume Weighted Average Price | 170.73 | Volume Weighted Moving Average 20 | 163.90 |
Oscillator Rating
Oscillators
Awesome Oscillator | 7.32 |
---|---|
Ultimate Oscillator (7,14,28) | 43.07 |
Money Flow (14) | 72.18 |
Chaikin Money Flow (20) | -0.17 |
Commodity Channel Index (20) | 76.76 |
Bull Bear Power | 12.08 |
High / Low
1 Month | 178.90 | 152.25 |
---|---|---|
3 Month | 178.90 | 149.05 |
6 Month | 178.90 | 139.00 |
52 Week | 215.50 | 139.00 |
All Time | 284.00 | 47.75 |
Volume
Volume | 83,667.00 |
---|---|
Average 10 D | 40,240.60 |
Average 30 D | 58,213.73 |
Average 60 D | 38,856.18 |
Average 90 D | 31,894.61 |
Change/Volatility
Change | 2.40 (1.44%) |
---|---|
Change 1W | 4.75 (2.89%) |
Change 1M | 11.15 (7.07%) |
Volatility | 6.96 |
Volatility W | 5.48 |
Performance
Yesterday | -3.95 |
---|---|
Weekly | 3.59 |
Monthly | 9.67 |
3 Month | 4.48 |
6 Month | 10.50 |
Yearly | -18.70 |
5 Year | 59.01 |
All Time | 59.01 |
Misc.
Average Day Range (14) | 8.01 |
---|---|
Average Directional Index (14) | 16.75 |
Average True Range (14) | 7.45 |
Williams Percent Range (14) | -41.63 |
Rate Of Change (9) | -0.73 |
Hull Moving Average (9) | 170.36 |
Momentum (10) | -3.80 |
Parabolic SAR | 155.55 |
PIVOT POINTS of Rajshree Polypack Limited (RPPL)
Name | S3 | S2 | S1 | Pivot Points | R1 | R2 | R3 |
---|---|---|---|---|---|---|---|
Classic | 102.38 | 132.13 | 144.97 | 161.88 | 174.72 | 191.63 | 221.38 |
Fibonacci | 132.13 | 143.50 | 150.52 | 161.88 | 173.25 | 180.27 | 191.63 |
Camarilla | 149.62 | 152.35 | 155.07 | 161.88 | 160.53 | 163.25 | 165.98 |
Woodie's | 114.88 | 131.96 | 144.63 | 161.71 | 174.38 | 191.46 | 204.13 |
DeMark's | - | - | 138.55 | 158.68 | 168.30 | - | - |
Financial Analysis of Rajshree Polypack Limited (RPPL)
Income Statement
Basic EPS (FY) | 9.38 |
---|---|
Basic EPS (TTM) | 7.00 |
EBITDA (Annual YoY Growth) | 27.69 |
EBITDA (Quarterly QoQ Growth) | -4.65 |
EBITDA (Quarterly YoY Growth) | 28.64 |
EBITDA (TTM) | 306.7 M |
EBITDA (TTM YoY Growth) | 112.71 |
EPS Diluted (Annual YoY Growth) | 10.04 |
EPS Diluted (FY) | 9.38 |
EPS Diluted (Quarterly QoQ Growth) | -21.72 |
EPS Diluted (Quarterly YoY Growth) | -12.39 |
EPS Diluted (TTM) | 7.00 |
EPS Diluted (TTM YoY Growth) | 9.76 |
Free Cash Flow (Annual YoY Growth) | 49.70 |
Free Cash Flow Margin (FY) | -8.87 |
Gross Profit (Annual YoY Growth) | 38.82 |
Gross Profit (FY) | 423.1 M |
Gross Profit (MRQ) | 156.6 M |
Gross Profit (Quarterly QoQ Growth) | 0.95 |
Gross Profit (Quarterly YoY Growth) | 43.26 |
Gross Profit (TTM YoY Growth) | 126.60 |
Last Year Revenue (FY) | 2.5 B |
Revenue (Annual YoY Growth) | 26.99 |
Revenue per Employee (FY) | 4.7 M |
Revenue (Quarterly QoQ Growth) | 12.13 |
Revenue (Quarterly YoY Growth) | 41.19 |
Revenue (TTM YoY Growth) | 136.83 |
Net Income (Annual YoY Growth) | 11.37 |
Net Income (FY) | 106.6 M |
Net Income (Quarterly QoQ Growth) | -21.72 |
Net Income (Quarterly YoY Growth) | -10.71 |
Net Income (TTM YoY Growth) | 11.60 |
Total Revenue (FY) | 2.5 B |
Valuation
Enterprise Value/EBITDA (TTM) | 6.22 |
---|---|
Number of Employees | 541.00 |
Number of Shareholders | 5,357.00 |
Price to Book (FY) | 1.49 |
Price to Earnings Ratio (TTM) | 24.15 |
Price to Revenue Ratio (TTM) | 0.75 |
Price to Sales (FY) | 0.76 |
Total Shares Outstanding | 11.4 M |
Research & development Ratio (FY) | 0.02 |
Selling & Admin expenses Ratio (FY) | 8.98 |
Selling & Admin expenses Ratio (TTM) | 16.75 |
Balance Sheet
Total Assets (Annual YoY Growth) | 36.81 |
---|---|
Total Debt (Annual YoY Growth) | 75.55 |
Total Liabilities (FY) | 1.3 B |
Cash & Equivalents (FY) | 86.8 M |
Cash and short term investments (FY) | 88.6 M |
Operating Metrics
Dividends
Dividend Yield Forward | 0.30 |
---|---|
Dividends Paid (FY) | -5,725,000.00 |
Dividends per Share (FY) | 0.50 |
Margins
Net Margin (FY) | 4.23 |
---|---|
Net Margin (TTM) | 3.11 |
Gross Margin (FY) | 16.78 |
Gross Margin (TTM) | 23.03 |
Operating Margin (FY) | 7.73 |
Operating Margin (TTM) | 6.27 |
Pretax Margin (TTM) | 4.22 |
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Stock Sectors
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- 2Wireless Telecommunications
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