Rain Ind. - Rain Industries Share Price

  • 169.752.29 (1.37%)
  • Volume: 17,53,261
  • Closed
  • Last Updated On: 30 Aug, 2024, 03:59 PM IST
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Rain Ind. - Rain Indust...

  • 169.752.29 (1.37%)
  • Volume: 17,53,261
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Rain Ind. share price insights

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  • Company has posted a loss of Rs 77.88 cr for the 4th consecutive quarter. (Source: Consolidated Financials)

  • Stock gave a 3 year return of -19.51% as compared to Nifty Smallcap 100 which gave a return of 91.39%. (as of last trading session)

  • Sales de-grew by 13.24%. Company witnessed revenue contraction for the first time in last 3 years. (Source: Consolidated Financials)

  • Company has spent 4.52% of its operating revenues towards interest expenses and 7.31% towards employee cost in the year ending Dec 31, 2023. (Source: Consolidated Financials)

  • Rain Industries Ltd. share price moved up by 1.37% from its previous close of Rs 167.46. Rain Industries Ltd. stock last traded price is 169.75

    Share PriceValue
    Today/Current/Last169.75
    Previous Day167.46167.55

InsightsRain Ind.

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    Key Metrics

    PE Ratio
    (x)
    -3.99
    EPS - TTM
    (₹)
    -42.60
    MCap
    (₹ Cr.)
    5,709.47
    Sectoral MCap Rank
    26
    PB Ratio
    (x)
    0.73
    Div Yield
    (%)
    0.59
    Face Value
    (₹)
    2.00
    Beta

    Beta

    1 Month2.28
    3 Months1.90
    6 Months2.17
    1 Year1.57
    3 Years1.81

    2.28
    VWAP
    (₹)
    170.11
    52W H/L
    (₹)
    219.60 / 130.05

    Rain Ind. Share Price Returns

    1 Day1.37%
    1 Week3.12%
    1 Month-1.74%
    3 Months0.98%
    1 Year5.08%
    3 Years-22.12%
    5 Years109.83%

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    Rain Ind. Share Analysis

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    Rain Ind. Share Recommendations

    No Recommendations details available for this stock.
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    Rain Ind. Financials

    • Income (P&L)

    • Balance Sheet

    • Cash Flow

    • Ratios

    • Insights

      • PAT: Troublesome Times

        Company has posted a loss of Rs 77.88 cr for the 4th consecutive quarter. (Source: Consolidated Financials)
      • Topline Contraction

        Sales de-grew by 13.24%. Company witnessed revenue contraction for the first time in last 3 years. (Source: Consolidated Financials)
      Quarterly | AnnualJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
      Total Income4,152.863,723.904,172.494,208.924,660.47
      Total Income Growth (%)11.52-10.75-0.87-9.69-11.71
      Total Expenses3,910.403,522.784,907.703,986.784,177.65
      Total Expenses Growth (%)11.00-28.2223.10-4.57-14.96
      EBIT242.46201.12-735.21222.14482.82
      EBIT Growth (%)20.56--430.96-53.9931.99
      Profit after Tax (PAT)-77.88-145.87-1,118.75-90.17165.65
      PAT Growth (%)----154.4457.20
      EBIT Margin (%)5.845.40-17.625.2810.36
      Net Profit Margin (%)-1.88-3.92-26.81-2.143.55
      Basic EPS (₹)-2.31-4.34-33.26-2.684.93
      Quarterly | AnnualJun 2024Mar 2024Dec 2023Sep 2023Jun 2023
      Total Income31.7529.6537.1277.4071.17
      Total Income Growth (%)7.10-20.14-52.048.76303.19
      Total Expenses30.2028.0536.7648.8027.30
      Total Expenses Growth (%)7.64-23.69-24.6878.7584.48
      EBIT1.561.590.3628.6043.86
      EBIT Growth (%)-2.26339.50-98.73-34.801,438.55
      Profit after Tax (PAT)-3.33-3.40-4.5523.3835.22
      PAT Growth (%)---119.47-33.63-
      EBIT Margin (%)4.905.370.9836.9561.64
      Net Profit Margin (%)-10.48-11.47-12.2630.2049.49
      Basic EPS (₹)-0.10-0.10-0.140.691.05
      Quarterly | Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Total Revenue18,320.1621,116.1314,719.9010,919.9910,919.99
      Total Revenue Growth (%)-13.2443.4534.800.00-12.76
      Total Expenses18,803.7418,789.1513,442.9310,069.5510,069.55
      Total Expenses Growth (%)0.0839.7733.500.00-15.57
      Profit after Tax (PAT)-937.911,438.65580.16558.17661.64
      PAT Growth (%)-165.19147.973.94-15.6469.05
      Operating Profit Margin (%)1.8413.5612.0812.8012.80
      Net Profit Margin (%)-5.166.843.995.336.32
      Basic EPS (₹)-27.8942.7717.2516.6016.60
      Quarterly | Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Total Revenue203.34104.37103.6997.6197.61
      Total Revenue Growth (%)94.830.666.220.00-21.79
      Total Expenses143.6371.9964.6162.9762.97
      Total Expenses Growth (%)99.5211.422.600.00-26.86
      Profit after Tax (PAT)53.0627.7531.1627.3027.30
      PAT Growth (%)91.22-10.9614.150.00-22.96
      Operating Profit Margin (%)60.9574.7188.1098.2298.22
      Net Profit Margin (%)42.7351.3158.1957.3258.69
      Basic EPS (₹)1.580.820.930.810.81

      All figures in Rs Cr, unless mentioned otherwise

    • Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Total Assets20,008.8922,173.4118,651.5618,281.1618,281.16
      Total Assets Growth (%)-9.7618.882.030.0012.65
      Total Liabilities12,243.4513,390.4912,286.2312,576.1612,576.16
      Total Liabilities Growth (%)-8.578.99-2.310.0013.58
      Total Equity7,765.448,782.926,365.335,705.005,705.00
      Total Equity Growth (%)-11.5837.9811.570.0010.66
      Current Ratio (x)2.442.362.191.941.94
      Total Debt to Equity (x)1.111.091.361.541.54
      Contingent Liabilities473.58563.00303.79303.17303.17
      Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Total Assets1,160.131,083.441,132.841,200.031,200.03
      Total Assets Growth (%)7.08-4.36-5.600.00-5.98
      Total Liabilities237.56180.11223.62288.52288.52
      Total Liabilities Growth (%)31.90-19.46-22.490.00-19.56
      Total Equity922.57903.33909.22911.51911.51
      Total Equity Growth (%)2.13-0.65-0.250.00-0.67
      Current Ratio (x)8.380.671.271.081.08
      Total Debt to Equity (x)0.240.180.160.060.06
      Contingent Liabilities0.273.8117.0717.0717.07

      All figures in Rs Cr, unless mentioned otherwise

    • Insights

      • Increase in Cash from Investing

        Company has used Rs 695.96 cr for investing activities which is an YoY increase of 4.97%. (Source: Consolidated Financials)
      Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Net Cash flow from Operating Activities3,063.491,035.85833.591,822.551,822.55
      Net Cash used in Investing Activities-695.96-662.97-526.80-771.52-771.52
      Net Cash flow from Financing Activities-2,114.66-395.69-740.05-599.90-599.90
      Net Cash Flow237.4664.57-416.71424.67424.67
      Closing Cash & Cash Equivalent1,405.151,167.691,103.121,519.831,519.83
      Closing Cash & Cash Equivalent Growth (%)20.345.85-27.420.0038.78
      Total Debt/ CFO (x)2.678.919.994.674.67
      Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Net Cash flow from Operating Activities-12.97-2.14-13.43-2.36-2.36
      Net Cash used in Investing Activities-3.0094.70128.36119.68119.68
      Net Cash flow from Financing Activities4.58-96.31-117.19-116.81-116.81
      Net Cash Flow-11.39-3.74-2.260.520.52
      Closing Cash & Cash Equivalent3.3914.7818.5220.7820.78
      Closing Cash & Cash Equivalent Growth (%)-77.08-20.21-10.850.002.52
      Total Debt/ CFO (x)-16.96-77.30-11.07-22.13-22.13

      All figures in Rs Cr, unless mentioned otherwise

    • Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Return on Equity (%)-12.7717.079.4910.0811.95
      Return on Capital Employed (%)2.0015.6111.188.538.53
      Return on Assets (%)-4.686.483.113.053.61
      Interest Coverage Ratio (x)1.366.955.334.352.74
      Asset Turnover Ratio (x)0.860.010.010.0157.24
      Price to Earnings (x)-5.533.9913.917.632.84
      Price to Book (x)0.710.681.320.770.34
      EV/EBITDA (x)10.593.755.985.234.11
      EBITDA Margin (%)6.1217.3217.5820.3720.37
      Annual FY 2023 FY 2022 FY 2021 FY 2020 FY 2020
      Return on Equity (%)5.753.073.422.993.06
      Return on Capital Employed (%)6.614.464.454.854.85
      Return on Assets (%)4.572.562.752.272.32
      Interest Coverage Ratio (x)4.785.125.903.913.85
      Asset Turnover Ratio (x)0.110.050.050.043.96
      Price to Earnings (x)98.04208.33263.16156.2567.57
      Price to Book (x)5.626.368.874.672.06
      EV/EBITDA (x)69.47143.36171.4290.3040.23
      EBITDA Margin (%)61.4375.9689.2699.5899.58

    Financial InsightsRain Ind.

    • Income (P&L)
    • Cash Flow
      • PAT: Troublesome Times

        Company has posted a loss of Rs 77.88 cr for the 4th consecutive quarter. (Source: Consolidated Financials)

      • Topline Contraction

        Sales de-grew by 13.24%. Company witnessed revenue contraction for the first time in last 3 years. (Source: Consolidated Financials)

      • Increase in Cash from Investing

        Company has used Rs 695.96 cr for investing activities which is an YoY increase of 4.97%. (Source: Consolidated Financials)

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    Rain Ind. Peer Comparison

    • Rain Ind. Stock Performance

    • Ratio Performance

    Peers InsightsRain Ind.

    • Stock Returns vs Nifty Smallcap 100

      Stock gave a 3 year return of -19.51% as compared to Nifty Smallcap 100 which gave a return of 91.39%. (as of last trading session)

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    Rain Ind. Shareholding Pattern

    • QOQ Change

    • Total Shareholdings

    • Loading...
      Showing Rain Ind. Shareholding as on 30 Jun 2024
      Category30 Jun 202431 Mar 202431 Dec 202330 Sep 2023
      Promoters41.1441.1441.1441.14
      Pledge0.000.000.000.00
      FII8.408.7612.0916.32
      DII2.601.760.320.25
      Mutual Funds2.371.520.180.10
      Others47.8648.3446.4442.29
    • Showing Shareholding as on 30 Jun 2024
      CategoryNo. of SharesPercentage% Change QoQ
      Promoters13,83,78,85441.14 %0.00
      Pledge00.00 %0.00
      FII2,82,37,8358.40 %-0.35
      DII87,56,0932.60 %0.84
      MF79,87,0932.37 %0.85
      Others16,09,72,89747.86 %-0.48

    MF Ownership

    MF Ownership as on 31 July 2024

    Corporate Actions

    • Rain Ind. Board Meeting/AGM

    • Rain Ind. Dividends

    • Others
    • Meeting DateAnnounced onPurposeDetails
      Aug 06, 2024Jun 28, 2024Board MeetingQuarterly Results & Interim Dividend
      May 09, 2024Mar 28, 2024Board MeetingQuarterly Results
      Feb 23, 2024Dec 29, 2023Board MeetingAudited Results
      Nov 07, 2023Oct 03, 2023Board MeetingQuarterly Results
      Aug 04, 2023Jun 30, 2023Board MeetingQuarterly Results
    • TypeDividendDividend per ShareEx-Dividend DateAnnounced on
      Interim50%1.0Aug 20, 2024Aug 06, 2024
      Interim50%1.0May 19, 2023May 09, 2023
      Interim50%1.0Aug 11, 2022Jul 29, 2022
      Interim50%1.0Nov 11, 2021Nov 01, 2021
      Interim50%1.0Nov 10, 2020Oct 30, 2020
    • All TypesEx-DateRecord DateAnnounced onDetails
      SplitsJun 15, 2011Jun 16, 2011Feb 25, 2011Split: Old FV10.0| New FV:2.0

    About Rain Ind.

    Rain Industries Ltd., incorporated in the year 1974, is a Mid Cap company (having a market cap of Rs 5,709.47 Crore) operating in Chemicals sector. Rain Industries Ltd. key Products/Revenue Segments include Carbon Materials and Sale of services for the year ending 31-Dec-2023. Show More

    • Executives

    • Auditors

    • BJ

      Brian Jude McNamara

      Chairman & Ind.Director
      BJ

      Brian Jude McNamara

      Chairman & Ind.Director
      JM

      Jagan Mohan Reddy Nellore

      Vice Chairman & Non Exe.Dire
      JM

      Jagan Mohan Reddy Nellore

      Vice Chairman & Non Exe.Dire
      Show More
    • S R Batliboi & Associates LLP
      B S R & Associates LLP

    DATA SOURCES: TickerPlant (for live BSE/NSE quotes service) and Dion Global Solutions Ltd. (for corporate data, historical price & volume, F&O data). Sensex & BSE Quotes and Nifty & NSE Quotes are real-time and licensed from BSE and NSE respectively. All timestamps are reflected in IST (Indian Standard Time).

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