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GTL Ltd

Telecom Services | Small Cap

GTL Ltd Health Insights
Health Score : 3.83Health Score : 3.83

GTL Ltd, operating in the Telecommunication Services sector, showcases a mixed financial performance. The company exhibits strong solvency due to its debt management, but struggles with liquidity, efficiency, growth, coverage, financial metrics, and profitability. This suggests that while GTL Ltd manages its long-term obligations well, it faces challenges in short-term financial health and operational effectiveness. The absence of revenue growth and profitability is concerning, indicating potential issues with market positioning or cost management. While the company has strength in debt management, its overall financial health is weak. Future success hinges on addressing these shortcomings and capitalizing on opportunities for growth and efficiency.

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Overview
Ratio
Financial
GTL Ltd Health Insights
Health Score : 3.83Health Score : 3.83

GTL Ltd, operating in the Telecommunication Services sector, showcases a mixed financial performance. The company exhibits strong solvency due to its debt management, but struggles with liquidity, efficiency, growth, coverage, financial metrics, and profitability. This suggests that while GTL Ltd manages its long-term obligations well, it faces challenges in short-term financial health and operational effectiveness. The absence of revenue growth and profitability is concerning, indicating potential issues with market positioning or cost management. While the company has strength in debt management, its overall financial health is weak. Future success hinges on addressing these shortcomings and capitalizing on opportunities for growth and efficiency.

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Highly Undervalued

Overall Valuation Score

Highly Undervalued
Undervalued
Neutral
Overvalued
Highly Overvalued
Highly Undervalued

P/E RATIO (TTM)

0.22

Highly Undervalued

Industry Median

14.78

Highly Undervalued
Highly Undervalued

Small Cap Median

14.78

Highly Undervalued

P/E RATIO

2.82

P/B RATIO

-0.02

Highly Undervalued

Industry Median

2.02

Highly Undervalued
Highly Undervalued

Small Cap Median

2.02

Highly Undervalued

P/S RATIO

0.58

Undervalued

Industry Median

0.81

Undervalued
Undervalued

Small Cap Median

0.81

Undervalued

Others

Highly Undervalued

PEG RATIO

0.19

Highly Undervalued
Undervalued

EV/EBITDA RATIO

4.40

Undervalued

The Calculations Shown Above Are Based on the Last Traded Price (LTP) of ₹8.2 as on Jun 20, 2026.

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Growth Ratio Summary
Growth Ratio SummaryGrowth Score : 2.00

The company's growth prospects are poor, with declines in revenue, operating profit, EPS, and assets. This indicates significant challenges in expanding its business and maintaining profitability. For a company in the telecommunications industry, sustained growth is essential for staying competitive and relevant.

PoorRevenue Growth RatePoor
PoorOperating Profit Growth RatePoor
PoorEarnings Per Share (EPS) GrowthPoor
PoorAsset Growth RatePoor
PoorNet Income Growth RatePoor
Growth RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Revenue Growth Rate-27.45-18.51-77.99-1.832.79
Operating Profit Growth Rate-85.66-19.11225.98-47.1-126.48
Earnings Per Share (EPS) Growth-65.34-54.28-8.65-92.76-252.36
Asset Growth Rate-37.27-68.94-14.52-25.66
Net Income Growth Rate-65.34-54.33-8.59-92.77-253.33
01.

Revenue Growth Rate

02.

Operating Profit Growth Rate

03.

Earnings Per Share (EPS) Growth

04.

Asset Growth Rate

05.

Net Income Growth Rate

Financial Ratio Summary
Financial Ratio SummaryFinancial Score : 4.00

The financial metrics present a mixed picture. Capital expenditures are strong, but the adjusted EPS, book value per share, and dividend per share are low. This suggests the company is investing in its future, but struggling with current profitability and shareholder returns. For a telecommunications company, strategic investments are crucial, but they must be balanced with profitability.

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 2017Mar 2018Mar 2019Mar 2020Mar 2021
Adjusted Earnings Per Share (Adjusted EPS)-63.3117.45-26.43-20.132.93
Cash Earnings Per Share (Cash EPS)-60.32-27.83-26.11-1.593.25
Book Value Per Share-380.25-408.47-471.53-477.58-473.31
Dividend Per Share (DPS)00000
Capital Expenditures (CapEx)4.74.17.20.71.9
01.

Adjusted Earnings Per Share (Adjusted EPS)

02.

Cash Earnings Per Share (Cash EPS)

03.

Book Value Per Share

04.

Dividend Per Share (DPS)

05.

Capital Expenditures (CapEx)

Profitability Ratio Summary
Profitability Ratio SummaryProfitability Score : 2.00

The company's profitability is poor, with low gross profit margins, ROCE, ROE, ROA, operating margins, and net margins. This indicates significant challenges in generating profits from its operations and investments. Improving profitability is essential for long-term sustainability and value creation.

PoorGross Profit MarginPoor
PoorReturn on Capital Employed (ROCE)Poor
PoorReturn on Equity (ROE)Poor
PoorReturn on Assets (ROA)Poor
PoorOperating MarginPoor
PoorNet MarginPoor
Profitability RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Gross Profit Margin-16.71-14.47-191.32-104.1923.98
Return on Capital Employed (ROCE)2.9313.745.490.15-0.93
Return on Equity (ROE)
Return on Assets (ROA)-9.87-12.73-133.55-82.6429.44
Operating Margin-12.86-12.76-189.04-101.8626.24
Net Margin-81.41-45.63-189.5-13.9520.81
01.

Gross Profit Margin

02.

Return on Capital Employed (ROCE)

03.

Return on Equity (ROE)

04.

Return on Assets (ROA)

05.

Operating Margin

06.

Net Margin

Efficiency Ratio Summary
Efficiency Ratio SummaryEfficiency Score : 4.67

The company's efficiency in utilizing its assets is moderate. While certain turnover ratios are low, indicating potential inefficiencies in asset utilization, the receivable and days sales in inventory ratios are strong. This suggests the company manages its inventory and receivables well, but struggles with fixed assets and capital turnover. For a telecommunications company, efficient asset utilization is crucial for maintaining profitability.

PoorFixed Asset Turnover RatioPoor
PoorInventory Turnover RatioPoor
PoorReceivables Turnover RatioPoor
ExcellentDays Sales in Inventory RatioExcellent
ExcellentReceivable DaysExcellent
PoorCapital Turnover RatioPoor
Efficiency RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Fixed Asset Turnover Ratio12.3311.992.772.722.91
Inventory Turnover Ratio237.5379.67N/AN/AN/A
Receivables Turnover Ratio15.8725.51438
Days Sales in Inventory Ratio1.540.96N/AN/AN/A
Receivable Days2314.310.8300
Capital Turnover Ratio-0.21-0.16-0.03-0.03-0.03
01.

Fixed Asset Turnover Ratio

02.

Inventory Turnover Ratio

03.

Receivables Turnover Ratio

04.

Days Sales in Inventory Ratio

05.

Receivable Days

06.

Capital Turnover Ratio

Coverage Ratio Summary
Coverage Ratio SummaryCoverage Score : 2.00

The company's coverage ratios are weak, indicating potential difficulties in meeting its interest and dividend obligations. This can increase financial risk and limit the company's financial flexibility. Improving these ratios is essential for ensuring financial stability.

PoorInterest Coverage RatioPoor
PoorEquity Dividend Coverage RatioPoor
Coverage RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Interest Coverage Ratio-0.31-45.37-23.41-0.583.19
Equity Dividend Coverage Ratio
01.

Interest Coverage Ratio

02.

Equity Dividend Coverage Ratio

Solvency Ratio Summary
Solvency Ratio SummarySolvency Score : 8.00

The company's solvency position is strong, reflecting its ability to manage its debt obligations effectively. This indicates a healthy balance sheet and a lower risk of financial distress. The telecommunications industry often requires significant capital investments, so maintaining solvency is crucial for long-term stability. However, the equity ratio score is poor which offsets this positive.

ExcellentDebt RatioExcellent
ExcellentDebt to Equity RatioExcellent
PoorEquity RatioPoor
ExcellentDebt To Asset RatioExcellent
Solvency RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Debt Ratio-0.02-0.02-0.02-0.02-0.03
Debt to Equity Ratio-0.02-0.02-0.02-0.02-0.03
Equity Ratio1.021.021.021.021.03
Debt To Asset Ratio0.080.140.510.660.98
01.

Debt Ratio

02.

Debt to Equity Ratio

03.

Equity Ratio

04.

Debt To Asset Ratio

Liquidity Ratio Summary
Liquidity Ratio SummaryLiquidity Score : 2.00

The liquidity position is weak. While a higher liquidity ensures the company can meet its short-term obligations, the current ratios suggest otherwise. This indicates potential difficulties in paying off current liabilities with its current assets. The telecommunication industry requires continuous investment in technology, so maintaining liquidity is crucial.

PoorCurrent RatioPoor
PoorQuick RatioPoor
PoorCash RatioPoor
PoorOperating Cash Flow RatioPoor
Liquidity RatiosMar 2017Mar 2018Mar 2019Mar 2020Mar 2021
Current Ratio0.140.010.010.020.01
Quick Ratio0.140.010.010.020.01
Cash Ratio0.01000.010
Operating Cash Flow Ratio0.010.020.010.010.01
01.

Current Ratio

02.

Quick Ratio

03.

Cash Ratio

04.

Operating Cash Flow Ratio

Peer Comparison With 3 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
1Aksh Optifibre Ltd4.38-3.38Highly Undervalued3.00-0.53-9.00
2GTL Ltd3.832.82Highly Undervalued2.0037.03793.00
Management Assessment Summary
OrangeBalanced Management

The management effectiveness of GTL Ltd. shows mixed performance. While recent net profits have improved, negative sales growth and inconsistent profitability raise concerns. The negative ROCE and ROE highlight poor capital efficiency. Furthermore, the low promoter holding and increasing public holding could indicate a lack of alignment with shareholder interests. These factors combined suggest a cautious approach is necessary.

Category Metric Value Assessment
PROS Recent Net Profit Improved Recent quarterly profits show positive momentum.
CONS Sales Growth Negative Indicates challenges in revenue generation.
ROCE & ROE Negative Highlights inefficient use of capital.
Promoter Holding Low (14.29%) Suggests potential misalignment with shareholders.
WeakFinancial Performance & GrowthWeak
PoorCapital Efficiency & ReturnsPoor
WeakFinancial Health & PrudenceWeak
PoorShareholding & Ownership StructurePoor
01.

Financial Performance & Growth

02.

Capital Efficiency & Returns

03.

Financial Health & Prudence

04.

Shareholding & Ownership Structure

Risk Assessment Summary
RedWeak Risk

The risk assessment for GTL Ltd. is rated as Red due to the company's negative book value and inconsistent profitability, highlighting significant financial instability. Segment performance volatility, coupled with fluctuating foreign exchange rates and interest rate exposure, further exacerbates the risk profile. The overall picture indicates substantial financial and operational vulnerabilities.

WeakAccounting quality red flagsWeak
AverageSegment performance volatilityAverage
WeakForeign exchange or interest rate exposureWeak
01.

Accounting quality red flags

02.

Segment performance volatility

03.

Foreign exchange or interest rate exposure

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Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 26 Technical Indicators From The 1 Hour Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 108.21Bullish
  3. SMA 208.21Bullish
  4. SMA 508.36Bearish
  5. EMA 108.21Bullish
  6. EMA 208.24Bearish
  7. EMA 508.28Bearish
  8. DEMA 108.18Bullish
  9. DEMA 208.17Bullish
  10. DEMA 508.33Bearish
  11. TEMA 108.18Bullish
  12. TEMA 208.16Bullish
  13. TEMA 508.20Bullish
  14. MACD-0.05Bullish
  15. ADX19.89Weak Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI46.38Neutral
  3. CCI-29.78Neutral
  4. ROC 9-0.36Bearish
  5. ROC 140.86Bullish
  6. ROC 25-2.61Bearish
  7. Stoch K8.64Oversold
  8. Stoch D8.64Oversold
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper8.31Neutral
  3. BB Middle8.21Neutral
  4. BB Lower8.11Neutral
  5. ATR0.14Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI52.09Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Market Sentiment

Analysis Driven By 26 Technical Indicators From The 2 Hours Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 108.23Bearish
  3. SMA 208.33Bearish
  4. SMA 508.29Bearish
  5. EMA 108.24Bearish
  6. EMA 208.28Bearish
  7. EMA 508.21Bullish
  8. DEMA 108.18Bullish
  9. DEMA 208.24Bearish
  10. DEMA 508.42Bearish
  11. TEMA 108.18Bullish
  12. TEMA 208.15Bullish
  13. TEMA 508.39Bearish
  14. MACD-0.04Bearish
  15. ADX19.90Weak Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI46.59Neutral
  3. CCI-58.47Neutral
  4. ROC 9N/ABearish
  5. ROC 14-2.14Bearish
  6. ROC 25-1.56Bearish
  7. Stoch K55.70Neutral
  8. Stoch D52.65Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper8.64Neutral
  3. BB Middle8.33Neutral
  4. BB Lower8.02Neutral
  5. ATR0.20Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI33.52Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Market Sentiment

Analysis Driven By 26 Technical Indicators From The 4 Hours Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 108.34Bearish
  3. SMA 208.43Bearish
  4. SMA 507.90Bullish
  5. EMA 108.29Bearish
  6. EMA 208.25Bearish
  7. EMA 507.99Bullish
  8. DEMA 108.25Bearish
  9. DEMA 208.40Bearish
  10. DEMA 508.40Bearish
  11. TEMA 108.17Bullish
  12. TEMA 208.33Bearish
  13. TEMA 50N/AN/A
  14. MACD0.09Bearish
  15. ADX39.25Strong Trend
Momentum Indicators (7)
  1. IndicatorValueSignal
  2. RSI50.78Neutral
  3. CCI-87.73Neutral
  4. ROC 9-4.08Bearish
  5. ROC 14-0.96Bearish
  6. ROC 2511.08Bullish
  7. Stoch K34.59Neutral
  8. Stoch D35.19Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper8.84Neutral
  3. BB Middle8.43Neutral
  4. BB Lower8.01Neutral
  5. ATR0.32Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI53.75Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 33 Technical Indicators From The 1 Day Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (22)
  1. IndicatorValueSignal
  2. SMA 108.36Bearish
  3. SMA 207.96Bullish
  4. SMA 507.66Bullish
  5. SMA 1007.30Bullish
  6. SMA 2008.00Bullish
  7. EMA 108.19Bullish
  8. EMA 208.02Bullish
  9. EMA 507.70Bullish
  10. EMA 1007.63Bullish
  11. EMA 2008.02Bullish
  12. DEMA 108.31Bearish
  13. DEMA 208.32Bearish
  14. DEMA 508.01Bullish
  15. DEMA 1007.44Bullish
  16. DEMA 2007.08Bullish
  17. TEMA 108.26Bearish
  18. TEMA 208.37Bearish
  19. TEMA 508.34Bearish
  20. TEMA 1007.84Bullish
  21. TEMA 2007.09Bullish
  22. MACD0.22Bearish
  23. ADX23.35Weak Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI56.27Neutral
  3. CCI37.56Neutral
  4. ROC 1411.11Bullish
  5. ROC 259.19Bullish
  6. Stoch K43.78Neutral
  7. Stoch D44.50Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper8.86Neutral
  3. BB Middle7.96Neutral
  4. BB Lower7.05Neutral
  5. ATR0.45Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI79.14Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Market Sentiment

Analysis Driven By 21 Technical Indicators From The 1 Week Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Strong Bullish

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bearish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (10)
  1. IndicatorValueSignal
  2. SMA 207.28Bullish
  3. SMA 508.29Bullish
  4. EMA 207.61Bullish
  5. EMA 508.20Bullish
  6. DEMA 207.46Bullish
  7. DEMA 507.13Bullish
  8. TEMA 207.83Bullish
  9. TEMA 506.91Bullish
  10. MACD-0.04Bullish
  11. ADX14.85Weak Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI52.74Neutral
  3. CCI17.23Neutral
  4. ROC 1421.88Bullish
  5. ROC 255.26Bullish
  6. Stoch K84.78Overbought
  7. Stoch D83.11Overbought
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper8.62Neutral
  3. BB Middle7.28Neutral
  4. BB Lower5.94Neutral
  5. ATR0.86High Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI70.67Neutral

Overall Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Market Sentiment

Analysis Driven By 25 Technical Indicators From The 1 Month Timeframe

Trend Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Momentum Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Volatility Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Bullish

Volume Score

Strong Bearish

Bearish

Neutral

Bullish

Strong Bullish

Neutral

Trend Indicators (14)
  1. IndicatorValueSignal
  2. SMA 67.01Bullish
  3. SMA 128.21Bearish
  4. SMA 249.83Bearish
  5. EMA 67.28Bullish
  6. EMA 127.94Bearish
  7. EMA 248.75Bearish
  8. DEMA 66.80Bullish
  9. DEMA 126.81Bullish
  10. DEMA 247.83Bearish
  11. TEMA 67.00Bullish
  12. TEMA 126.47Bullish
  13. TEMA 246.89Bullish
  14. MACD-0.51Bearish
  15. ADX26.59Strong Trend
Momentum Indicators (6)
  1. IndicatorValueSignal
  2. RSI47.27Neutral
  3. CCI-53.92Neutral
  4. ROC 25-26.37Bearish
  5. ROC 50-31.73Bearish
  6. Stoch K13.01Oversold
  7. Stoch D27.88Neutral
Volatility Indicators (4)
  1. IndicatorValueSignal
  2. BB Upper13.13Neutral
  3. BB Middle9.06Neutral
  4. BB Lower4.98Neutral
  5. ATR2.29Low Volatility
Volume Indicators (1)
  1. IndicatorValueSignal
  2. MFI68.52Neutral