Rhetan TMT Ltd.
Rhetan TMT Ltd. Fundamental Analysis
Rhetan TMT Ltd. (RHETAN.NS) shows weak financial fundamentals with a PE ratio of 310.26, profit margin of 29.90%, and ROE of 7.09%. The company generates $0.2B in annual revenue with N/A year-over-year growth of N/A.
Key Strengths
Areas of Concern
The stock receives a Fundamental Health Score of 59.9/100 based on profitability, valuation, growth, and balance sheet metrics. The C grade reflects average fundamentals, with notable risks in certain areas.
Fundamental Health Score
We analyze RHETAN.NS's fundamental strength across five key dimensions:
Efficiency Score
WeakRHETAN.NS struggles to generate sufficient returns from assets.
Valuation Score
WeakRHETAN.NS trades at a premium to fair value.
Growth Score
ModerateRHETAN.NS shows steady but slowing expansion.
Financial Health Score
ExcellentRHETAN.NS maintains a strong and stable balance sheet.
Profitability Score
WeakRHETAN.NS struggles to sustain strong margins.
Key Financial Metrics
Is RHETAN.NS Expensive or Cheap?
P/E Ratio
RHETAN.NS trades at 310.26 times earnings. This suggests a premium valuation.
PEG Ratio
When adjusting for growth, RHETAN.NS's PEG of 5.43 indicates potential overvaluation.
Price to Book
The market values Rhetan TMT Ltd. at 21.32 times its book value. This suggests the stock is fully valued or overvalued on an asset basis.
EV/EBITDA
Enterprise value stands at 345.08 times EBITDA. This signals the market has high growth expectations.
How Well Does RHETAN.NS Make Money?
Net Profit Margin
For every $100 in sales, Rhetan TMT Ltd. keeps $29.90 as profit after all expenses.
Operating Margin
Core operations generate 3.62 in profit for every $100 in revenue, before interest and taxes.
ROE
Management delivers $7.09 in profit for every $100 of shareholder equity.
ROA
Rhetan TMT Ltd. generates $4.66 in profit for every $100 in assets, demonstrating efficient asset deployment.
Following the Money - Real Cash Generation
Operating Cash Flow
Rhetan TMT Ltd. generates limited operating cash flow of $0.00, signaling weaker underlying cash strength.
Free Cash Flow
Rhetan TMT Ltd. generates weak or negative free cash flow of $0.00, restricting financial flexibility.
FCF Per Share
Each share generates $0.00 in free cash annually.
FCF Yield
RHETAN.NS converts 0.00% of its market value into free cash.
Financial Ratios Analysis
Valuation Ratios
P/E Ratio
Price to earnings ratio
310.26
vs 25 benchmark
PEG Ratio
Price/earnings to growth ratio
5.43
vs 25 benchmark
P/B Ratio
Price to book value ratio
21.32
vs 25 benchmark
P/S Ratio
Price to sales ratio
92.76
vs 25 benchmark
Financial Health
Debt/Equity
Total debt to shareholders' equity
0.42
vs 25 benchmark
Current Ratio
Current assets to current liabilities
5.80
vs 25 benchmark
Efficiency Ratios
ROE
Return on equity percentage
0.07
vs 25 benchmark
ROA
Return on assets percentage
0.05
vs 25 benchmark
ROCE
Return on capital employed
0.007
vs 25 benchmark
How RHETAN.NS Stacks Against Its Sector Peers
| Metric | RHETAN.NS Value | Sector Average | Performance |
|---|---|---|---|
| P/E Ratio | 310.26 | 27.01 | Worse (Expensive) |
| ROE | 7.09% | 949.00% | Weak |
| Net Margin | 29.90% | -16159.00% (disorted) | Strong |
| Debt/Equity | 0.42 | 0.48 | Neutral |
| Current Ratio | 5.80 | 4.42 | Strong Liquidity |
| ROA | 4.66% | -6411.00% (disorted) | Weak |
RHETAN.NS outperforms its industry in 2 out of 6 key metrics, particularly excelling in Net Margin, but lagging in P/E Ratio.
Historical Growth Performance
5-Year Growth Trajectory
This section reviews Rhetan TMT Ltd.'s 5-year compound annual growth rate (CAGR) and compares its performance against the typical investment style of its industry.
Revenue CAGR
N/A
Industry Style: Cyclical, Commodity, Value
EPS CAGR
N/A
Industry Style: Cyclical, Commodity, Value
FCF CAGR
N/A
Industry Style: Cyclical, Commodity, Value