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Agarwal Float Glass India Ltd

Commercial Services & Supplies | Small Cap

Agarwal Float Glass India Ltd Health Insights
Health Score : 5.49Health Score : 5.49

Agarwal Float Glass India Ltd, operating in the General Industrials (Capital Goods) sector, exhibits a mixed financial performance. The company demonstrates strong solvency and growth, driven by substantial increases in operating profit and earnings per share. Profitability is also a notable strength, supported by high returns on capital employed and assets. However, the company's liquidity position is weak, indicating potential challenges in meeting short-term obligations. Efficiency ratios are also low, suggesting difficulties in utilizing assets effectively. While coverage ratios are reasonable, they are affected by a low equity dividend coverage. Overall, the company shows promise in growth and profitability but needs to address its liquidity and efficiency to ensure long-term financial stability. The weighted average calculation method emphasizes recent performance, highlighting the impact of recent operational changes.

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Overview
Ratio
Financial
Agarwal Float Glass India Ltd Health Insights
Health Score : 5.49Health Score : 5.49

Agarwal Float Glass India Ltd, operating in the General Industrials (Capital Goods) sector, exhibits a mixed financial performance. The company demonstrates strong solvency and growth, driven by substantial increases in operating profit and earnings per share. Profitability is also a notable strength, supported by high returns on capital employed and assets. However, the company's liquidity position is weak, indicating potential challenges in meeting short-term obligations. Efficiency ratios are also low, suggesting difficulties in utilizing assets effectively. While coverage ratios are reasonable, they are affected by a low equity dividend coverage. Overall, the company shows promise in growth and profitability but needs to address its liquidity and efficiency to ensure long-term financial stability. The weighted average calculation method emphasizes recent performance, highlighting the impact of recent operational changes.

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Highly Undervalued

Overall Valuation Score

Highly Undervalued
Undervalued
Neutral
Overvalued
Highly Overvalued
Highly Undervalued

P/E RATIO (TTM)

10.68

Undervalued

Industry Median

15.73

Undervalued
Undervalued

Small Cap Median

15.73

Undervalued

P/E RATIO

8.67

P/B RATIO

1.33

Neutral

Industry Median

1.01

Neutral
Neutral

Small Cap Median

1.01

Neutral

P/S RATIO

0.37

Highly Undervalued

Industry Median

0.77

Highly Undervalued
Highly Undervalued

Small Cap Median

0.77

Highly Undervalued

Others

Highly Undervalued

PEG RATIO

0.10

Highly Undervalued
Undervalued

EV/EBITDA RATIO

4.71

Undervalued

The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹36.75 as on Jun 15, 2026.

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Growth Ratio Summary
Growth Ratio SummaryGrowth Score : 5.00

The company demonstrates strong growth, driven by significant increases in operating profit, earnings per share, and asset growth. While revenue and net income growth are lagging, the high growth in key areas suggests a positive trajectory. These growth metrics indicate a strong potential for future profitability and market expansion.

PoorRevenue Growth RatePoor
ExcellentOperating Profit Growth RateExcellent
ExcellentEarnings Per Share (EPS) GrowthExcellent
ExcellentAsset Growth RateExcellent
PoorNet Income Growth RatePoor
Growth RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue Growth Rate33.0714.4963.75-8.68-9.71
Operating Profit Growth Rate82.8195.73-80.13521.98-34.1
Earnings Per Share (EPS) Growth307.26-31.88-92.441530.77-52.12
Asset Growth Rate-2.753.5511.928.568.71
Net Income Growth Rate308144.12-92.371515.79-52.12
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Financial Ratio Summary
Financial Ratio SummaryFinancial Score : 2.00

The company's financial ratios present a mixed picture. While capital expenditures are well-managed, low adjusted EPS, cash EPS, book value per share, and dividend per share indicate areas needing improvement. Enhancing earnings and shareholder value will be critical for improving overall financial health.

PoorAdjusted Earnings Per Share (Adjusted EPS)Poor
WeakCash Earnings Per Share (Cash EPS)Weak
PoorBook Value Per SharePoor
PoorDividend Per Share (DPS)Poor
ExcellentCapital Expenditures (CapEx)Excellent
Financial RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Adjusted Earnings Per Share (Adjusted EPS)5.13.460.264.262.04
Cash Earnings Per Share (Cash EPS)5.43.560.424.352.18
Book Value Per Share16.421.1721.4425.7127.75
Dividend Per Share (DPS)00000
Capital Expenditures (CapEx)000.14.60.1
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Profitability Ratio Summary
Profitability Ratio SummaryProfitability Score : 4.80

The company demonstrates strong profitability, particularly in terms of return on capital employed and return on assets. However, low gross profit, operating, and net margins suggest challenges in converting revenue into profit. Enhancing margin management could significantly boost overall profitability.

PoorGross Profit MarginPoor
ExcellentReturn on Capital Employed (ROCE)Excellent
PoorReturn on Equity (ROE)Poor
ExcellentReturn on Assets (ROA)Excellent
PoorOperating MarginPoor
PoorNet MarginPoor
Profitability RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Gross Profit Margin5.429.361.017.775.58
Return on Capital Employed (ROCE)16.3724.315.4817.610.06
Return on Equity (ROE)31.116.341.2316.597.36
Return on Assets (ROA)13.2716.92314.548.81
Operating Margin5.569.51.157.855.73
Net Margin2.425.170.244.262.26
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Efficiency Ratio Summary
Efficiency Ratio SummaryEfficiency Score : 1.33

The company's efficiency ratios are generally weak, indicating a poor utilization of assets. The low inventory turnover and extended days sales in inventory suggest challenges in managing inventory effectively. While high receivable days are positive, the low turnover ratios across fixed assets and capital indicate underutilization, potentially impacting profitability. Improving asset management could significantly enhance the company's financial performance.

PoorFixed Asset Turnover RatioPoor
PoorInventory Turnover RatioPoor
PoorReceivables Turnover RatioPoor
PoorDays Sales in Inventory RatioPoor
ExcellentReceivable DaysExcellent
PoorCapital Turnover RatioPoor
Efficiency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Fixed Asset Turnover Ratio145.14185.35281.82167.58175.84
Inventory Turnover Ratio5.414.376.164.933.97
Receivables Turnover Ratio4.644.96.697.819.38
Days Sales in Inventory Ratio67.4783.5259.2574.0491.94
Receivable Days78.6674.4954.5646.7338.91
Capital Turnover Ratio7.322.834.773.693.23
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Coverage Ratio Summary
Coverage Ratio SummaryCoverage Score : 4.60

The company's coverage ratios are reasonable, with a moderate interest coverage ratio offset by a low equity dividend coverage ratio. The ability to cover interest expenses is adequate, but the lack of dividend coverage might concern investors seeking income. Improving dividend coverage could enhance investor confidence and attract a broader shareholder base.

GoodInterest Coverage RatioGood
PoorEquity Dividend Coverage RatioPoor
Coverage RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Interest Coverage Ratio2.54.031.183.92.48
Equity Dividend Coverage Ratio
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Solvency Ratio Summary
Solvency Ratio SummarySolvency Score : 5.00

The company exhibits strong solvency, suggesting a solid long-term financial position. A high equity ratio and low debt ratios indicate a conservative capital structure, which reduces financial risk. The company has a strong base of equity relative to its debt, providing a buffer against financial distress. This positions the company favorably for future growth and stability.

ExcellentDebt RatioExcellent
ExcellentDebt to Equity RatioExcellent
ExcellentEquity RatioExcellent
ExcellentDebt To Asset RatioExcellent
Solvency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debt Ratio0.430.10.070.050.01
Debt to Equity Ratio0.750.110.080.050.01
Equity Ratio0.570.90.930.950.99
Debt To Asset Ratio0.140.070.040.030
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Liquidity Ratio Summary
Liquidity Ratio SummaryLiquidity Score : 2.00

The company's liquidity position is weak, indicating potential difficulties in meeting its short-term obligations. While a low liquidity score may be a concern, it is important to consider the capital-intensive nature of the General Industrials sector where investments in fixed assets may tie up cash. The company needs to improve its current and quick ratios to ensure it can comfortably cover its short-term liabilities. Poor liquidity can restrict the company's operational flexibility.

PoorCurrent RatioPoor
PoorQuick RatioPoor
PoorCash RatioPoor
PoorOperating Cash Flow RatioPoor
Liquidity RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Current Ratio1.462.672.191.751.69
Quick Ratio0.821.441.241.040.93
Cash Ratio0.060.070.050.030.01
Operating Cash Flow Ratio0.17-0.5-0.060.080.14
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Peer Comparison With 8 Companies

Peer Comparison empowers investors to evaluate a company against its industry peers using key financial metrics like P/E ratio, EPS, and profit margins. It helps identify whether a company is overvalued, undervalued, or performing in line with competitors. Investors can use this data to spot opportunities, assess risks, and make informed decisions. This contextual view adds depth beyond standalone company analysis.

NO Company Name Health Score P/E Ratio Valuation OPM EPS Latest Profit & Loss
1Phoenix Overseas Ltd7.559.94Neutral6.001.653.00
2Ashoka Metcast Ltd7.333.52Neutral6.000.2011.00
3Rajdarshan Industries Ltd7.09-63.86Neutral-0.33-0.56-0.18
4Gajanand International Ltd7.07407.50Neutral0.870.020.04
5AKG Exim Ltd6.4798.55Neutral0.230.100.36
6Agarwal Float Glass India Ltd5.498.67Highly Undervalued3.732.031.47
7A B M International Ltd4.27-33.18Undervalued-2.50-2.27-2.15
Management Assessment Summary
OrangeBalanced Management

Agarwal Float Glass India Ltd's management effectiveness presents a mixed view. The company exhibits significant profit growth and increasing ROCE, as positive signs. OPM volatility, rising debt, and a decrease in promoter holding raise questions. Revenue growth is also inconsistent. Though the company displays strengths, weaknesses need attention for sustained performance. This calls for a careful assessment of the company's strategic and operational decisions.

Category Metric Value Assessment
PROS Profit Growth 1516% (TTM) Strong profit growth
ROCE 17.60% (Mar 2025) Improving returns on capital employed
CONS OPM Volatile Inconsistent operating profit margin
Promoter Holding 57.55% (Mar 2025) Declining promoter confidence
AverageFinancial Performance & GrowthAverage
AverageCapital Efficiency & ReturnsAverage
WeakFinancial Health & PrudenceWeak
WeakShareholding & Ownership StructureWeak
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Risk Assessment Summary
OrangeBalanced Risk

The risk assessment for Agarwal Float Glass India Ltd. is rated as Orange due to several factors including segment performance volatility, increasing trend in borrowings, and the decrease in promoter holding. The identified financial and ownership risks suggest a moderate level of overall risk, requiring careful monitoring.

AverageSegment performance volatilityAverage
AverageForeign exchange or interest rate exposureAverage
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Analysis Driven By 1 Technical Indicators From The 1 Hour Timeframe

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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 1 Month Timeframe