BKM Industries Limited

NSEI:BKMINDST Stock Report

Market Cap: ₹119.3m

BKM Industries Balance Sheet Health

Financial Health criteria checks 1/6

BKM Industries has a total shareholder equity of ₹-13.7M and total debt of ₹0.0, which brings its debt-to-equity ratio to 0%. Its total assets and total liabilities are ₹323.0M and ₹336.8M respectively.

Key information

0%

Debt to equity ratio

₹0

Debt

Interest coverage ration/a
Cash₹457.00k
Equity-₹13.74m
Total liabilities₹336.76m
Total assets₹323.02m

Recent financial health updates

No updates

Recent updates

Calculating The Fair Value Of BKM Industries Limited (NSE:BKMINDST)

Mar 29
Calculating The Fair Value Of BKM Industries Limited (NSE:BKMINDST)

Estimating The Intrinsic Value Of BKM Industries Limited (NSE:BKMINDST)

Dec 13
Estimating The Intrinsic Value Of BKM Industries Limited (NSE:BKMINDST)

Calculating The Fair Value Of BKM Industries Limited (NSE:BKMINDST)

Dec 13
Calculating The Fair Value Of BKM Industries Limited (NSE:BKMINDST)

A Look At The Intrinsic Value Of BKM Industries Limited (NSE:BKMINDST)

Nov 30
A Look At The Intrinsic Value Of BKM Industries Limited (NSE:BKMINDST)

Financial Position Analysis

Short Term Liabilities: BKMINDST has negative shareholder equity, which is a more serious situation than short term assets not covering short term liabilities.

Long Term Liabilities: BKMINDST has negative shareholder equity, which is a more serious situation than short term assets not covering long term liabilities.


Debt to Equity History and Analysis

Debt Level: BKMINDST is debt free.

Reducing Debt: BKMINDST's has negative shareholder equity, so we do not need to check if its debt has reduced over time.


Balance Sheet


Cash Runway Analysis

For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.

Stable Cash Runway: BKMINDST has less than a year of cash runway based on its current free cash flow.

Forecast Cash Runway: BKMINDST has less than a year of cash runway if free cash flow continues to grow at historical rates of 29.1% each year.


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