LOHIA SECURITIES LTD.
Prices are adjusted according to historical splits.
Vitals
- Today's Low:
- ₹195
- Today's High:
- ₹195
- Open Price:
- ₹195
- 52W Low:
- ₹122.7609
- 52W High:
- ₹408.2
- Prev. Close:
- ₹195
- Volume:
- 0
Company Statistics
- Market Cap.:
- ₹971.68 million
- Book Value:
- Revenue TTM:
- ₹0
- Operating Margin TTM:
- 0%
- Gross Profit TTM:
- ₹236.11 million
- Profit Margin:
- 0%
- Return on Assets TTM:
- 0%
- Return on Equity TTM:
- 0%
Company Profile
LOHIA SECURITIES LTD. had its IPO on under the ticker symbol LOHIASEC.
The company operates in the sector and industry. LOHIA SECURITIES LTD. has a staff strength of 0 employees.
Stock update
Shares of LOHIA SECURITIES LTD. opened at ₹195 at the start of the last trading session i.e. 2023-09-13.
The stocks traded within a range of ₹195 - ₹195, and closed at ₹195.
This is a 0% increase from the previous day's closing price.
A total volume of 0 shares were traded at the close of the day’s session.
In the last one week, shares of LOHIA SECURITIES LTD. have increased by 0%.
LOHIA SECURITIES LTD.'s Key Ratios
LOHIA SECURITIES LTD. has a market cap of ₹971.68 million, indicating a price to book ratio of 1.002 and a price to sales ratio of 0.2869.
In the last 12-months LOHIA SECURITIES LTD.’s revenue was ₹0 with a gross profit of ₹236.11 million and an EBITDA of ₹0. The EBITDA ratio measures LOHIA SECURITIES LTD.'s overall financial performance and is widely used to measure its profitability.
In the trailing 12-month period, LOHIA SECURITIES LTD.’s operating margin was 0% while its return on assets stood at 0% with a return of equity of 0%.
In Q1, LOHIA SECURITIES LTD.’s quarterly earnings growth was a positive 0% while revenue growth was a positive 0%.
LOHIA SECURITIES LTD.’s PE and PEG Ratio
- Forward PE
- 0
- Trailing PE
- 12.2541
- PEG
Its diluted EPS in the last 12-months stands at ₹0 per share while it has a forward price to earnings multiple of 0 and a PEG multiple of . A low price to earnings ratio can mean the stock is attractively valued while a high ratio suggests the stock may be overvalued.
The PEG on the other hand provides a broader view compared to the P/E ratio and gives greater insight into LOHIA SECURITIES LTD.’s profitability.
LOHIA SECURITIES LTD. stock is trading at a EV to sales ratio of 0.2211 and a EV to EBITDA ratio of 1.5142. Its price to sales ratio in the trailing 12-months stood at 0.2869.
LOHIA SECURITIES LTD. stock pays annual dividends of ₹0.2 per share, indicating a yield of 0.1% and a payout ratio of 0.52%.
Balance sheet and cash flow metrics
- Total Assets
- ₹1.34 billion
- Total Liabilities
- ₹3.97 million
- Operating Cash Flow
- ₹0
- Capital Expenditure
- ₹0
- Dividend Payout Ratio
- 0.52%
LOHIA SECURITIES LTD. ended 2024 with ₹1.34 billion in total assets and ₹0 in total liabilities. Its intangible assets were valued at ₹1.34 billion while shareholder equity stood at ₹862.94 million.
LOHIA SECURITIES LTD. ended 2024 with ₹0 in deferred long-term liabilities, ₹3.97 million in other current liabilities, in common stock, ₹0 in retained earnings and ₹0 in goodwill. Its cash balance stood at ₹36.39 million and cash and short-term investments were ₹0. The company’s total short-term debt was ₹0 while long-term debt stood at ₹869000.00.
LOHIA SECURITIES LTD.’s total current assets stands at ₹1.02 billion while long-term investments were ₹0 and short-term investments were ₹379.76 million. Its net receivables were ₹587.45 million compared to accounts payable of ₹3.97 million and inventory worth ₹0.
In 2024, LOHIA SECURITIES LTD.'s operating cash flow was ₹0 while its capital expenditure stood at ₹0.
Comparatively, LOHIA SECURITIES LTD. paid ₹0.01 in dividends in 2024.
Other key metrics
- Current Trading Price
- ₹195
- 52-Week High
- ₹408.2
- 52-Week Low
- ₹122.7609
- Analyst Target Price
- ₹
LOHIA SECURITIES LTD. stock is currently trading at ₹195 per share. It touched a 52-week high of ₹408.2 and a 52-week low of ₹408.2. Analysts tracking the stock have a 12-month average target price of ₹.
Its 50-day moving average was ₹194.91 and 200-day moving average was ₹204.46 The short ratio stood at 0 indicating a short percent outstanding of 0%.
Around 0% of the company’s stock are held by insiders while 0% are held by institutions.