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Analysis Kapil Raj Finance Limited (KAPILRAJ)

5/27/2024

Analysis Kapil Raj Finance Limited (KAPILRAJ)

Analysis of Kapil Raj Finance Limited (KAPILRAJ)

Kapil Raj Finance Limited has shown some interesting price movements recently. The stock closed at 20.00 on the most recent trading day, with an RSI indicator of 39.06, indicating a slightly oversold condition. The MACD indicator is positive at 0.47, but the MACD line is below the signal line, suggesting a potential bearish signal.

Looking at historical data, we can see that the stock has been on an upward trend, reaching a high of 29.00 recently. The RSI indicator on that day was 94.91, indicating a highly overbought condition. The MACD indicator was positive at 1.96, with the MACD line above the signal line, showing a bullish signal.

Overall, Kapil Raj Finance Limited seems to be experiencing some volatility in its price movements, with potential signals of both bullish and bearish trends. Traders and investors may want to closely monitor the RSI and MACD indicators for potential entry or exit points.

Earnings

The company's results for the most recent quarter, ending on April 30, 2025, have not been provided at this time. The previous quarter's results, ending on February 27, 2025, were handled by the Transfer Agent. The quarter before that, ending on January 31, 2025, had results released after hours. The results for the quarter ending on October 31, 2024, were not provided at the time. However, for the quarter ending on August 1, 2024, the company reported an earnings per share (EPS) estimate of 1.33.

Main Statystic 🧠

The company's financials show a strong cash flow, with operating cash flow at $110.56 billion and levered free cash flow at $84.73 billion. The balance sheet indicates a total cash of $67.15 billion and total debt of $104.59 billion, resulting in a current ratio of 1.037. The company has a book value per share of $4.837 and total cash per share of $4.379, with a total debt to equity ratio of 140.968.

In terms of profitability, the company has a profit margin of 26.31% and an operating margin of 30.74%. The return on assets is 22.07% and the return on equity is 147.25%. The fiscal year ends on September 30, 2023, with the most recent quarter ending on March 31, 2024.

The income statement shows an EBITDA of $131.39 billion, revenue of $381.62 billion, and net income to common of $100.39 billion. The diluted EPS is $6.44, with a revenue per share of $24.54. The company experienced a quarterly revenue growth of -4.3% and a quarterly earnings growth year-over-year of -2.2%.

In terms of stock statistics, the company has a short ratio of 1.66 and a short percent of shares outstanding of 0.62%. The float shares are 15.31 billion, with 94.31 million shares shorted. The company has a market capitalization of $2.91 trillion.

The valuation metrics show a PEG ratio of 26.21, a forward PE of 26.21, and a trailing PE of 29.43. The enterprise value is $2.95 trillion, with a price to book ratio of 39.18 and a price to sales ratio of 7.62. The enterprise to EBITDA ratio is 22.75 and the enterprise to revenue ratio is 7.73.

In terms of stock price summary, the company has a beta of 1.264 and a 52-week low of $164.08 and a high of $199.62. The 50-day moving average is $173.69 and the 200-day moving average is $180.79.

Regarding dividends and splits, the company has a payout ratio of 14.93% and a forward annual dividend rate of $1. The 5-year average dividend yield is 0.73% and the trailing annual dividend yield is 0.51%. The dividend date is May 16, 2024, with an ex-dividend date of May 10, 2024. The last split date was on August 31, 2020, with a 4-for-1 split.

Income statement 💸

Here are the revenue figures for the company over the past four fiscal years:

- 2020: $274,515,000,000
- 2021: $365,817,000,000
- 2022: $394,328,000,000
- 2023: $383,285,000,000

From the data, we can observe the following trends:
1. There was a significant increase in revenue from 2020 to 2021, followed by a slight decrease in 2023 compared to 2022.
2. Despite the slight decrease in 2023, the revenue figures have generally been increasing over the years, indicating a growth trend.
3. The company's revenue is subject to fluctuations, as seen in the slight decrease from 2022 to 2023.

These insights can help in understanding the company's financial performance and making informed decisions regarding future strategies.

Balance Sheet

These are balance sheets. Here are the conclusions:

1. The total assets have been increasing over the years, reaching $365,725,000,000 in 2018.
2. Current assets fluctuate, with the highest value in 2019 at $162,819,000,000.
3. Non-current assets have been increasing steadily, with the highest value in 2019 at $175,697,000,000.
4. Total liabilities have also been increasing, reaching $255,355,000,000 in 2018.
5. Shareholders' equity has been fluctuating, with the highest value in 2018 at $107,147,000,000.

Cash Flow 💶

This is the cash flow statement. Here are some conclusions we can draw from the data:

1. The company's free cash flow has been fluctuating over the years, with the highest value recorded in 2022 and the lowest in 2020.
2. Operating cash flow has generally been increasing year over year, indicating improved operational efficiency.
3. The company has been consistently paying interest and income taxes, with varying amounts each year.
4. The end cash position has also been fluctuating, reaching its highest value in 2020.
5. Financing activities show a pattern of common stock repurchase, issuance of long-term debt, and payment of dividends.
6. Investing activities include the sale and purchase of investments, as well as capital expenditures.
7. Overall, the company seems to be managing its cash flow effectively, with a focus on operational efficiency and strategic investments.

Earnings estimate

The analysts' estimates for future quarterly and annual earnings per share are as follows:

1. Current Quarter (as of June 30, 2024):
- Average Estimate: $1.33
- Low Estimate: $1.27
- High Estimate: $1.36
- Year Ago EPS: $1.26
- Number of Analysts: 26

2. Next Quarter (as of September 30, 2024):
- Average Estimate: $1.53
- Low Estimate: $1.44
- High Estimate: $1.63
- Year Ago EPS: $1.46
- Number of Analysts: 25

3. Current Year (as of September 30, 2024):
- Average Estimate: $6.59
- Low Estimate: $6.43
- High Estimate: $6.92
- Year Ago EPS: $6.13
- Number of Analysts: 39

4. Next Year (as of September 30, 2025):
- Average Estimate: $7.23
- Low Estimate: $6.40
- High Estimate: $7.90
- Year Ago EPS: $6.59
- Number of Analysts: 39

Based on these estimates, we can see a generally positive trend in expected earnings per share for both the upcoming quarters and the next two years. It indicates growth in earnings compared to the previous year's performance.

Revenue estimate

Based on analysts' estimates for the future quarterly and annual sales of the company, we can draw the following conclusions:

1. For the current quarter ending on June 30, 2024, the average sales estimate is $83,776,900,000, with a sales growth of 2% compared to the same quarter last year. The number of analysts providing estimates is 24.

2. For the next quarter ending on September 30, 2024, the average sales estimate is $92,375,300,000, with a sales growth of 3% compared to the same quarter last year. The number of analysts providing estimates is 24.

3. For the current fiscal year ending on September 30, 2024, the average sales estimate is $386,681,000,000, with a sales growth of 1% compared to the previous fiscal year. The number of analysts providing estimates is 37.

4. For the next fiscal year ending on September 30, 2025, the average sales estimate is $411,555,000,000, with a sales growth of 6% compared to the current fiscal year. The number of analysts providing estimates is 37.

These estimates suggest a moderate growth trend in both quarterly and annual sales for the company, with slightly higher growth expected in the next fiscal year compared to the current one.

Growth estimates

Based on the consensus estimates provided, we can draw the following conclusions regarding the growth rate of the company for different periods:

1. Current Quarter: The estimated growth rate for the current quarter is 5.6%.
2. Next Quarter: The estimated growth rate for the next quarter is 4.8%.
3. Current Year: The estimated growth rate for the current year is 7.5%.
4. Next Year: The estimated growth rate for the next year is 9.7%.
5. Past 5 Years (per annum): The average annual growth rate for the past 5 years is 20.1%.
6. Next 5 Years (per annum): The estimated average annual growth rate for the next 5 years is 11%.

These estimates suggest a positive growth trend for the company, with a slightly lower growth rate expected in the future compared to the past performance. It indicates a healthy growth trajectory for the company in the near term and over the long run, albeit at a slightly moderated pace compared to the past 5 years.

Price target

The analysts' forecast for the future price of the security paper is as follows:
- Low: $164
- High: $250
- Median: $200
- Average: $202.26
- Current price: $191.57
- Currency: USD

Based on these forecasts, it seems that the analysts are generally optimistic about the future price of the security paper, with a median price of $200 and an average price of $202.26. However, it's worth noting that there is a wide range between the low and high price forecasts, indicating some uncertainty in the predictions.

MACD of KAPILRAJ

This is not investment advice. Remember to verify the information provided here.

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Contacts

Telephone number

+48 32 700 81 66

Email address

[email protected]

Company information

Honey Payment Group S.A. at Al. Aleje Jerozolimskie 65 / 79, 00-697 Warsaw, Poland, Register number KRS 0000335507, NIP 5252859204, REGON 388760204. Honey Payment Group is listed on the Warsaw Stock Exchange (WSE) under the ticker symbol HPG. Link