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RELIANCE NIPPON LIFE ASSET MANAGEMENT LTD SCREENER.

IN

Narration Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Mar-15 Mar-16 Mar-17 Trailing Best Case Worst Case
Sales - - - - - - - 951.25 1,310.83 1,434.87 1,616.00 1,616.00 1,638.86
Expenses - - - - - - - 484.39 787.11 836.67 1,072.00 921.52 1,087.17
Operating Profit - - - - - - - 466.86 523.72 598.20 544.00 694.48 551.70
Other Income - - - - - - - 3.87 2.99 1.02 228.00 - -
Depreciation - - - - - - - 6.87 4.31 17.91 35.00 35.00 35.00
Interest - - - - - - - - - - - - -
Profit before tax - - - - - - - 463.86 522.40 581.31 737.00 659.48 516.70
Tax - - - - - - - 109.37 125.96 178.56 211.00 29% 29%
Net profit - - - - - - - 354.46 396.43 402.76 526.00 470.68 368.77
EPS - - - - - - - 307.69 344.12 349.62 8.59 7.69 6.03
Price to earning 29.16 29.16 29.16
Price - - - - - - - - - - 250.60 224.24 175.69

RATIOS:
Dividend Payout 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 96.20% 36.32% 61.50%
OPM 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 49.08% 39.95% 41.69% 33.66%

TRENDS: 10 YEARS 7 YEARS 5 YEARS 3 YEARS RECENT BEST WORST


Sales Growth 12.62% 12.62% 12.62%
OPM 42.98% 42.98% 42.98% 42.98% 33.66% 42.98% 33.66%
Price to Earning 29.16 29.16 29.16 29.16 29.16 29.16 29.16
RELIANCE NIPPON LIFE ASSET MANAGEMENT LTD SCREENER.IN

Narration Dec-99 Dec-99 Dec-99 Dec-16 Mar-17 Jun-17 Sep-17 Dec-17 Mar-18 Jun-18
Sales - - - 328.00 366.00 368.00 384.00 409.00 429.00 394.00
Expenses - - - 200.00 237.00 255.00 251.00 273.00 295.00 253.00
Operating Profit - - - 128.00 129.00 113.00 133.00 136.00 134.00 141.00
Other Income - - - 31.00 40.00 51.00 52.00 61.00 85.00 30.00
Depreciation - - - 6.00 9.00 8.00 8.00 9.00 9.00 9.00
Interest - - - - - 2.00 - - - -
Profit before tax - - - 153.00 160.00 154.00 177.00 188.00 210.00 162.00
Tax - - - 49.00 40.00 45.00 55.00 58.00 48.00 50.00
Net profit - - - 104.00 120.00 109.00 122.00 130.00 162.00 112.00

OPM 39% 35% 31% 35% 33% 31% 36%


RELIANCE NIPPON LIFE ASSET MANAGEMENT LTD SCREENER.IN

Narration Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Mar-15 Mar-16 Mar-17
Equity Share Capital - - - - - - - 11.27 11.52 11.52
Reserves - - - - - - - 1,494.76 1,750.38 1,851.05
Borrowings - - - - - - - - - -
Other Liabilities - - - - - - - 195.62 168.87 188.73
Total - - - - - - - 1,701.65 1,930.77 2,051.30

Net Block - - - - - - - 7.11 11.92 251.14


Capital Work in Progress - - - - - - - - - -
Investments - - - - - - - 834.89 910.75 946.52
Other Assets - - - - - - - 859.65 1,008.10 853.64
Total - - - - - - - 1,701.65 1,930.77 2,051.30

Working Capital - - - - - - - 664.03 839.23 664.91


Debtors - - - - - - - 17.54 59.42 43.16
Inventory - - - - - - - - - -

Debtor Days - - - - - - - 6.73 16.55 10.98


Inventory Turnover - - - - - - - - - -

Return on Equity 24% 23% 22%


Return on Capital Emp 52% 46% 44%
RELIANCE NIPPON LIFE ASSET MANAGEMENT LTD SCREENER.IN

Narration Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Dec-99 Mar-15 Mar-16 Mar-17
Cash from Operating Activity - - - - - - - -42.13 218.11 556.50
Cash from Investing Activity - - - - - - - 441.12 -25.14 -296.01
Cash from Financing Activity - - - - - - - -403.99 -173.69 -300.27
Net Cash Flow - - - - - - - -4.99 19.28 -39.79
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COMPANY NAME RELIANCE NIPPON LIFE ASSET MANAGEMENT LTD
LATEST VERSION 2.10 PLEASE
CURRENT VERSION 2.10

META
Number of shares 61.20
Face Value 10
Current Price 250.6
Market Capitalization 15336.72

PROFIT & LOSS


Report Date
Sales
Raw Material Cost
Change in Inventory
Power and Fuel
Other Mfr. Exp
Employee Cost
Selling and admin
Other Expenses
Other Income
Depreciation
Interest
Profit before tax
Tax
Net profit
Dividend Amount

Quarters
Report Date Dec-16
Sales 328.00
Expenses 200.00
Other Income 31.00
Depreciation 6.00
Interest
Profit before tax 153.00
Tax 49.00
Net profit 104.00
Operating Profit 128

BALANCE SHEET
Report Date
Equity Share Capital
Reserves
Borrowings
Other Liabilities
Total
Net Block
Capital Work in Progress
Investments
Other Assets
Total
Receivables
Inventory
Cash & Bank
No. of Equity Shares
New Bonus Shares
Face value

CASH FLOW:
Report Date
Cash from Operating Activity
Cash from Investing Activity
Cash from Financing Activity
Net Cash Flow

PRICE:

DERIVED:
Adjusted Equity Shares in Cr - - - -
PLEASE DO NOT MAKE ANY CHANGES TO THIS SHEET

Mar-15 Mar-16 Mar-17


951.25 1,310.83 1,434.87

2.77 3.20 4.29


10.81 16.14 15.74
161.27 192.27 195.68
312.20 562.17 615.14
-2.66 13.33 5.82
3.87 2.99 1.02
6.87 4.31 17.91

463.86 522.40 581.31


109.37 125.96 178.56
354.46 396.43 402.76
340.99 144.00 247.68

Mar-17 Jun-17 Sep-17 Dec-17 Mar-18 Jun-18


366.00 368.00 384.00 409.00 429.00 394.00
237.00 255.00 251.00 273.00 295.00 253.00
40.00 51.00 52.00 61.00 85.00 30.00
9.00 8.00 8.00 9.00 9.00 9.00
2.00
160.00 154.00 177.00 188.00 210.00 162.00
40.00 45.00 55.00 58.00 48.00 50.00
120.00 109.00 122.00 130.00 162.00 112.00
129 113 133 136 134 141

Mar-15 Mar-16 Mar-17


11.27 11.52 11.52
1494.76 1750.38 1851.05

195.62 168.87 188.73


1,701.65 1,930.77 2,051.30
7.11 11.92 251.14

834.89 910.75 946.52


859.65 1008.1 853.64
1,701.65 1,930.77 2,051.30
17.54 59.42 43.16

60.23 79.51 39.72


11520000 11520000 11520000

10 10 10

Mar-15 Mar-16 Mar-17


-42.13 218.11 556.50
441.12 -25.14 -296.01
-403.99 -173.69 -300.27
-4.99 19.28 -39.79

- - - 1.15 1.15 1.15