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AXISCADES Technologies Ltd

Software & Services | Small Cap

AXISCADES Technologies Ltd Health Insights
Health Score : 6.87Health Score : 6.87

AXISCADES Technologies Ltd, operating within the General Industrials sector, demonstrates a mixed financial performance. The company exhibits excellent solvency and profitability, indicating a strong ability to manage debt and generate profits. Liquidity is reasonably managed, ensuring the company can meet its short-term obligations. However, efficiency and growth metrics reveal areas needing attention. While revenue and asset growth are positive, earnings per share and net income growth face challenges. The company's coverage ratios also present concerns, particularly regarding dividend coverage. Overall, AXISCADES shows financial stability with potential for improvement in operational efficiency and earnings growth, which could enhance its long-term sustainability and investor confidence.

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Overview
Ratio
Financial
AXISCADES Technologies Ltd Health Insights
Health Score : 6.87Health Score : 6.87

AXISCADES Technologies Ltd, operating within the General Industrials sector, demonstrates a mixed financial performance. The company exhibits excellent solvency and profitability, indicating a strong ability to manage debt and generate profits. Liquidity is reasonably managed, ensuring the company can meet its short-term obligations. However, efficiency and growth metrics reveal areas needing attention. While revenue and asset growth are positive, earnings per share and net income growth face challenges. The company's coverage ratios also present concerns, particularly regarding dividend coverage. Overall, AXISCADES shows financial stability with potential for improvement in operational efficiency and earnings growth, which could enhance its long-term sustainability and investor confidence.

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Highly Overvalued

Overall Valuation Score

Highly Undervalued
Undervalued
Neutral
Overvalued
Highly Overvalued
Highly Overvalued

P/E RATIO (TTM)

68.19

Highly Overvalued

Industry Median

16.66

Highly Overvalued
Highly Overvalued

Small Cap Median

16.08

Highly Overvalued

P/E RATIO

81.34

P/B RATIO

8.80

Highly Overvalued

Industry Median

1.91

Highly Overvalued
Highly Overvalued

Small Cap Median

1.90

Highly Overvalued

P/S RATIO

5.91

Highly Overvalued

Industry Median

2.36

Highly Overvalued
Highly Overvalued

Small Cap Median

2.26

Highly Overvalued

Others

Overvalued

PEG RATIO

3.82

Overvalued
Overvalued

EV/EBITDA RATIO

37.62

Overvalued

The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹1434 as on Jun 15, 2026.

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Growth Ratio Summary
Growth Ratio SummaryGrowth Score : 6.00

The company's growth ratios present a mixed picture. While revenue and asset growth rates are positive, indicating expansion, the negative earnings per share and net income growth rates are concerning. This suggests that while the company is growing its top line, profitability is lagging behind. The weighted average calculation method was used for these ratios.

ExcellentRevenue Growth RateExcellent
ExcellentOperating Profit Growth RateExcellent
PoorEarnings Per Share (EPS) GrowthPoor
ExcellentAsset Growth RateExcellent
PoorNet Income Growth RatePoor
Growth RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Revenue Growth Rate16.4134.7516.187.9612.42
Operating Profit Growth Rate10.77102.78-11.6411.6322.92
Earnings Per Share (EPS) Growth-202.09-123.38-670.8125.45-4.03
Asset Growth Rate7.2813.5725.55-1.0630.54
Net Income Growth Rate-209.52-121.74-760127.27-4
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Revenue Growth Rate

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Earnings Per Share (EPS) Growth

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Net Income Growth Rate

Financial Ratio Summary
Financial Ratio SummaryFinancial Score : 3.20

The financial ratios indicate a mixed performance. While the adjusted and cash earnings per share are low, the book value per share is reasonable. The company does not pay dividends, and capital expenditures are high. This suggests that the company is reinvesting heavily in its business, but earnings performance needs improvement. The weighted average calculation method was used for these ratios.

WeakAdjusted Earnings Per Share (Adjusted EPS)Weak
WeakCash Earnings Per Share (Cash EPS)Weak
WeakBook Value Per ShareWeak
PoorDividend Per Share (DPS)Poor
PoorCapital Expenditures (CapEx)Poor
Financial RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Adjusted Earnings Per Share (Adjusted EPS)6.32-8.428.118.5718.81
Cash Earnings Per Share (Cash EPS)12.635.7915.9527.3827.62
Book Value Per Share87.1188.95139.29154.52173.1
Dividend Per Share (DPS)00000
Capital Expenditures (CapEx)14112027133
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Adjusted Earnings Per Share (Adjusted EPS)

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Profitability Ratio Summary
Profitability Ratio SummaryProfitability Score : 10.00

The company's profitability ratios are robust, reflecting efficient operations and strong earnings generation. High gross profit margins, return on capital employed, return on equity, return on assets, operating margin, and net margin all indicate that the company is performing well in managing costs and generating profits. The weighted average calculation method was used for these ratios.

ExcellentGross Profit MarginExcellent
ExcellentReturn on Capital Employed (ROCE)Excellent
ExcellentReturn on Equity (ROE)Excellent
ExcellentReturn on Assets (ROA)Excellent
ExcellentOperating MarginExcellent
ExcellentNet MarginExcellent
Profitability RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Gross Profit Margin7.714.489.9510.0911.48
Return on Capital Employed (ROCE)1423141415
Return on Equity (ROE)6.95-1.485.6411.569.9
Return on Assets (ROA)9.0516.1511.3712.8212.07
Operating Margin11.817.7613.5113.9715.27
Net Margin3.77-0.613.467.276.21
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Efficiency Ratio Summary
Efficiency Ratio SummaryEfficiency Score : 5.00

The efficiency ratios present a mixed view of the company's operational effectiveness. While inventory management is strong, as indicated by the inventory turnover ratio and days sales in inventory, the fixed asset and capital turnover ratios are low, suggesting inefficient use of assets. Additionally, the receivables turnover ratio and receivable days indicate potential issues in collecting payments promptly. The weighted average calculation method was used for these ratios.

PoorFixed Asset Turnover RatioPoor
ExcellentInventory Turnover RatioExcellent
WeakReceivables Turnover RatioWeak
ExcellentDays Sales in Inventory RatioExcellent
PoorReceivable DaysPoor
PoorCapital Turnover RatioPoor
Efficiency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Fixed Asset Turnover Ratio2.132.632.312.592.48
Inventory Turnover Ratio14.8411.812.7414.2514.66
Receivables Turnover Ratio4.475.074.623.853.25
Days Sales in Inventory Ratio24.630.9328.6525.6124.9
Receivable Days81.6671.997994.81112.31
Capital Turnover Ratio1.721.521.241.251.27
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Coverage Ratio Summary
Coverage Ratio SummaryCoverage Score : 4.40

The coverage ratios indicate a mixed ability to meet interest and dividend obligations. While the interest coverage ratio shows an adequate capacity to cover interest expenses, the equity dividend coverage ratio is poor, reflecting that the company is not currently covering its dividend obligations. The weighted average calculation method was used for these ratios.

AverageInterest Coverage RatioAverage
PoorEquity Dividend Coverage RatioPoor
Coverage RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Interest Coverage Ratio3.181.571.913.594.68
Equity Dividend Coverage Ratio
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Equity Dividend Coverage Ratio

Solvency Ratio Summary
Solvency Ratio SummarySolvency Score : 10.00

The company's solvency position is strong, indicating a low level of debt and a high proportion of equity. This suggests that the company is financially stable and has a good ability to meet its long-term obligations. The company's capital structure is also healthy, with a good balance between debt and equity. The weighted average calculation method was used for these ratios.

ExcellentDebt RatioExcellent
ExcellentDebt to Equity RatioExcellent
ExcellentEquity RatioExcellent
ExcellentDebt To Asset RatioExcellent
Solvency RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debt Ratio0.060.380.240.210.2
Debt to Equity Ratio0.060.610.320.270.25
Equity Ratio0.940.620.760.790.8
Debt To Asset Ratio0.030.220.160.160.13
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Liquidity Ratio Summary
Liquidity Ratio SummaryLiquidity Score : 6.96

The company's liquidity position shows a mixed performance. The quick ratio indicates a very good ability to meet short-term obligations with its most liquid assets. However, the current ratio is average, suggesting that the company's current assets are just adequate to cover its current liabilities. The cash ratio is average, reflecting a moderate level of cash holdings relative to current liabilities. The operating cash flow ratio is weak, indicating that the company's operating cash flows may not be sufficient to cover its short-term liabilities. The weighted average calculation method was used for these ratios.

AverageCurrent RatioAverage
ExcellentQuick RatioExcellent
AverageCash RatioAverage
WeakOperating Cash Flow RatioWeak
Liquidity RatiosMar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Current Ratio1.121.541.882.221.7
Quick Ratio11.361.692.021.55
Cash Ratio0.240.280.420.30.08
Operating Cash Flow Ratio0.070.20.220.30
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Peer Comparison With 2 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
1Quess Corp Ltd7.7716.84Undervalued312.0012.66222.00
2AXISCADES Technologies Ltd6.8781.34Highly Overvalued177.002.6372.00
Management Assessment Summary
OrangeBalanced Management

The management of AXISCADES Technologies demonstrates a mixed performance profile. Revenue growth is evident, but this growth has not translated into consistent profit expansion. The company shows improvement in operational efficiency, but profitability metrics are inconsistent. While strategic initiatives are in place, their effectiveness in enhancing shareholder returns remains uncertain. The shareholding structure indicates fluctuating confidence from promoters and institutional investors. Overall, the management's effectiveness is rated as mixed, reflecting both strengths and areas needing improvement to ensure sustainable growth and profitability.

Category Metric Value Assessment
PROS Sales Growth (2020-2025) CAGR: 17.32% Demonstrates consistent revenue expansion.
Cash Conversion Cycle (Mar'21) -12 Days Efficient working capital management in some years.
CONS ROE (Mar'25) -1.62% Indicates poor return generation on equity.
OPM Volatility (2022-2025) Fluctuating between 13% to 21% Inconsistent operational profitability, impacting stability.
AverageFinancial Performance & GrowthAverage
WeakCapital Efficiency & ReturnsWeak
AverageFinancial Health & PrudenceAverage
GoodStrategic & Operational IndicatorsGood
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Risk Assessment Summary
OrangeBalanced Risk

The risk assessment for AXISCADES Technologies highlights several areas of concern. Segment performance volatility is evident, with fluctuations in quarterly sales and profit growth. The increase in working capital days increases the risk of short-term liquidity challenges. Promoter holding has decreased, potentially signaling a shift in confidence or strategic direction. These factors collectively suggest a moderate risk profile, warranting careful monitoring of financial stability and operational efficiency.

AverageSegment performance volatilityAverage
WeakWorking Capital ManagementWeak
AveragePromoter HoldingAverage
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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 1 Hour Timeframe

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Strong Bearish

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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 2 Hours Timeframe

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Strong Bearish

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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 4 Hours Timeframe

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Strong Bearish

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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 1 Day Timeframe

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Strong Bearish

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Market Sentiment

Analysis Driven By 1 Technical Indicators From The 1 Week Timeframe

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Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Market Sentiment

Analysis Driven By 1 Technical Indicators From The 1 Month Timeframe