Signatureglobal India Ltd

SIGNATURE
Realty
โ‚น 1,096
Price
โ‚น 15,413
Market Cap
Mid Cap
119.72
P/E Ratio

๐Ÿ“Š Score Snapshot

9.06 / 25
Performance
11.22 / 25
Valuation
0.0 / 20
Growth
7.0 / 30
Profitability
27.28 / 100
Avoid

๐Ÿข Company Overview

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๐Ÿค– CARL Insights

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๐Ÿ“ˆ Net Profit (Yearly)

๐Ÿ“Š Sales (Yearly)

๐Ÿ“‰ Quarterly Sales Trend

๐Ÿ“‰ Quarterly Net Profit

๐Ÿ“ˆ Yearly Ratios

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Adj Cash EBITDA 701.00 214.00 -305.00 217.00 98.00 100.00
Adj Cash EBITDA Margin 28.40 17.33 -19.93 23.85 102.08 39.68
Adj Cash EBITDA To EBITDA 3.81 3.34 -8.03 -4.62 -12.25 -7.14
Adj Cash EPS 43.99 9.92 - - - -
Adj Cash PAT 618.00 138.00 -405.88 148.00 15.57 57.00
Adj Cash PAT To PAT 6.12 -11.50 6.45 -1.28 -0.17 -1.00
Adj Cash PE 24.47 187.33 - - - -
Adj EPS 7.19 -0.86 - - - -
Adj EV To Cash EBITDA 20.64 90.49 - - - -
Adj EV To EBITDA 78.63 302.57 - - - -
Adj Number Of Shares 14.05 13.91 - - - -
Adj PE 149.70 342.84 - - - -
Adj Peg 0.66 - - - - -
Bvps 51.96 45.29 - - - -
Cash Conversion Cycle 9.00 10.00 7.00 2.00 66.00 46.00
Cash ROCE 31.68 14.38 -24.56 15.22 5.00 -
Cash Roic 66.93 -0.59 -47.21 18.57 -2.60 -
Cash Revenue 2,468 1,235 1,530 910.00 96.00 252.00
Cash Revenue To Revenue 0.99 1.00 0.98 1.01 1.17 1.04
Dso 9.00 10.00 7.00 2.00 66.00 46.00
EV 14,468 19,365 - - - -
EV To EBITDA 78.63 272.74 - - - -
EV To Fcff 27.75 - - - - -
Fcfe 1,046 139.00 513.12 63.00 187.57 157.00
Fcfe Margin 42.38 11.26 33.54 6.92 195.39 62.30
Fcfe To Adj PAT 10.36 -11.58 -8.16 -0.54 -2.07 -2.75
Fcff 521.35 -8.00 -353.84 105.59 -17.45 72.42
Fcff Margin 21.12 -0.65 -23.13 11.60 -18.18 28.74
Fcff To NOPAT 31.89 0.05 21.01 -1.17 0.21 -2.29
Market Cap 15,120 18,171 - - - -
PB 20.71 28.84 - - - -
PE 149.67 1,136 - - - -
Peg 0.28 - - - - -
PS 6.05 14.64 - - - -
ROCE 7.29 7.75 1.38 -6.40 -1.88 -
ROE 14.85 -3.53 42.34 42.73 65.06 -
Roic 2.10 -11.29 -2.25 -15.90 -12.28 -
Share Price 1,076 1,306 - - - -

๐Ÿ“Š Quarterly Results

Metric Sep 2025 Jun 2025 Mar 2025 Dec 2024 Sep 2024 Jun 2024 Mar 2024 Dec 2023 Sep 2023 Jun 2023 Mar 2023 Dec 2022 Sep 2022 Jun 2022
Sales 338.00 866.00 520.00 828.00 749.00 401.00 694.00 282.00 99.00 166.00 705.00 183.00 124.00 542.00
Interest 13.00 13.00 13.00 14.00 17.00 7.00 8.00 5.00 11.00 6.00 11.00 18.00 23.00 21.00
Expenses - 413.00 832.00 477.00 814.00 761.00 402.00 674.00 289.00 129.00 176.00 672.00 196.00 194.00 496.00
Other Income - 34.02 32.68 50.00 34.46 28.14 27.37 28.38 19.95 22.64 13.04 5.23 8.63 12.00 16.93
Depreciation 8.00 8.00 8.00 8.00 7.00 5.00 6.00 6.00 5.00 5.00 5.00 6.00 6.00 5.00
Profit Before Tax -62.00 46.00 73.00 26.00 -7.00 13.00 35.00 2.00 -24.00 -8.00 22.00 -28.00 -88.00 37.00
Tax % 24.19 26.09 16.44 -11.54 157.14 46.15 -17.14 - 16.67 12.50 63.64 -60.71 32.95 10.81
Net Profit - -47.00 34.00 61.00 29.00 4.00 7.00 41.00 2.00 -20.00 -7.00 8.00 -45.00 -59.00 33.00
Profit Excl Exceptional -47.00 34.00 61.00 29.00 4.00 7.00 41.00 2.00 -20.00 -7.00 8.00 -45.00 -59.00 33.00
Profit For PE -47.00 34.00 61.00 29.00 4.00 7.00 41.00 2.00 -20.00 -7.00 8.00 -45.00 -59.00 33.00
Profit For EPS -47.00 34.00 61.00 29.00 4.00 7.00 41.00 2.00 -20.00 -7.00 8.00 -45.00 -59.00 33.00
EPS In Rs -3.33 2.45 4.35 2.07 0.29 0.48 2.93 0.15 -1.42 -0.58 0.61 -3.60 -5.21 2.88
PAT Margin % -13.91 3.93 11.73 3.50 0.53 1.75 5.91 0.71 -20.20 -4.22 1.13 -24.59 -47.58 6.09
PBT Margin -18.34 5.31 14.04 3.14 -0.93 3.24 5.04 0.71 -24.24 -4.82 3.12 -15.30 -70.97 6.83
Tax -15.00 12.00 12.00 -3.00 -11.00 6.00 -6.00 - -4.00 -1.00 14.00 17.00 -29.00 4.00
Yoy Profit Growth % -1,240 408.00 48.00 1,267 121.00 194.00 442.00 105.00 66.00 -122.00 - - - -
Adj Ebit -48.98 58.68 85.00 40.46 9.14 21.37 42.38 6.95 -12.36 -1.96 33.23 -10.37 -64.00 57.93
Adj EBITDA -40.98 66.68 93.00 48.46 16.14 26.37 48.38 12.95 -7.36 3.04 38.23 -4.37 -58.00 62.93
Adj EBITDA Margin -12.12 7.70 17.88 5.85 2.15 6.58 6.97 4.59 -7.43 1.83 5.42 -2.39 -46.77 11.61
Adj Ebit Margin -14.49 6.78 16.35 4.89 1.22 5.33 6.11 2.46 -12.48 -1.18 4.71 -5.67 -51.61 10.69
Adj PAT -47.00 34.00 61.00 29.00 4.00 7.00 41.00 2.00 -20.00 -7.00 8.00 -45.00 -59.00 33.00
Adj PAT Margin -13.91 3.93 11.73 3.50 0.53 1.75 5.91 0.71 -20.20 -4.22 1.13 -24.59 -47.58 6.09
Ebit -48.98 58.68 85.00 40.46 9.14 21.37 42.38 6.95 -12.36 -1.96 33.23 -10.37 -64.00 57.93
EBITDA -40.98 66.68 93.00 48.46 16.14 26.37 48.38 12.95 -7.36 3.04 38.23 -4.37 -58.00 62.93
EBITDA Margin -12.12 7.70 17.88 5.85 2.15 6.58 6.97 4.59 -7.43 1.83 5.42 -2.39 -46.77 11.61
Ebit Margin -14.49 6.78 16.35 4.89 1.22 5.33 6.11 2.46 -12.48 -1.18 4.71 -5.67 -51.61 10.69
NOPAT -62.92 19.22 29.25 6.69 10.86 -3.23 16.40 -13.00 -29.17 -13.12 10.18 -30.53 -50.96 36.57
NOPAT Margin -18.62 2.22 5.62 0.81 1.45 -0.81 2.36 -4.61 -29.46 -7.90 1.44 -16.68 -41.10 6.75
Operating Profit -83.00 26.00 35.00 6.00 -19.00 -6.00 14.00 -13.00 -35.00 -15.00 28.00 -19.00 -76.00 41.00
Operating Profit Margin -24.56 3.00 6.73 0.72 -2.54 -1.50 2.02 -4.61 -35.35 -9.04 3.97 -10.38 -61.29 7.56

๐Ÿ’ฐ Profit & Loss

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Sales 2,498 1,241 1,554 901.00 82.00 242.00
Interest 51.00 30.00 73.00 70.00 71.00 55.00
Expenses - 2,454 1,257 1,547 986.00 163.00 278.00
Other Income - 140.00 80.00 31.00 38.00 73.00 22.00
Exceptional Items - -7.00 1.00 - -5.00 -
Depreciation 27.00 22.00 22.00 21.00 12.00 5.00
Profit Before Tax 105.00 4.00 -57.00 -136.00 -97.00 -74.00
Tax % 3.81 -300.00 -12.28 14.71 11.34 22.97
Net Profit - 101.00 16.00 -64.00 -116.00 -86.00 -57.00
Minority Share - - - -1.00 - -1.00
Exceptional Items At - 41.00 1.00 - -5.00 -
Profit Excl Exceptional 101.00 -25.00 -65.00 -116.00 -81.00 -57.00
Profit For PE 101.00 -25.00 -65.00 -116.00 -81.00 -57.00
Profit For EPS 101.00 16.00 -64.00 -116.00 -86.00 -58.00
EPS In Rs 7.19 1.15 - - - -
PAT Margin % 4.04 1.29 -4.12 -12.87 -104.88 -23.55
PBT Margin 4.20 0.32 -3.67 -15.09 -118.29 -30.58
Tax 4.00 -12.00 7.00 -20.00 -11.00 -17.00
Adj Ebit 157.00 42.00 16.00 -68.00 -20.00 -19.00
Adj EBITDA 184.00 64.00 38.00 -47.00 -8.00 -14.00
Adj EBITDA Margin 7.37 5.16 2.45 -5.22 -9.76 -5.79
Adj Ebit Margin 6.29 3.38 1.03 -7.55 -24.39 -7.85
Adj PAT 101.00 -12.00 -62.88 -116.00 -90.43 -57.00
Adj PAT Margin 4.04 -0.97 -4.05 -12.87 -110.28 -23.55
Ebit 157.00 49.00 15.00 -68.00 -15.00 -19.00
EBITDA 184.00 71.00 37.00 -47.00 -3.00 -14.00
EBITDA Margin 7.37 5.72 2.38 -5.22 -3.66 -5.79
Ebit Margin 6.29 3.95 0.97 -7.55 -18.29 -7.85
NOPAT 16.35 -152.00 -16.84 -90.41 -82.45 -31.58
NOPAT Margin 0.65 -12.25 -1.08 -10.03 -100.55 -13.05
Operating Profit 17.00 -38.00 -15.00 -106.00 -93.00 -41.00
Operating Profit Margin 0.68 -3.06 -0.97 -11.76 -113.41 -16.94

๐Ÿฆ Balance Sheet

Metric Sep 2025 Mar 2025 Sep 2024 Mar 2024 Sep 2023 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Accumulated Depreciation - - - 125.75 - 110.79 86.54 61.94 45.49
Advance From Customers - - - 4,945 - 3,027 2,606 2,246 1,602
Average Capital Employed 3,132 2,070 2,335 2,169 - 1,299 906.50 945.00 -
Average Invested Capital 1,454 779.00 1,156 1,346 - 749.50 568.50 671.50 -
Average Total Assets 12,533 10,670 8,742 7,248 - 5,236 4,106 3,347 -
Average Total Equity 683.50 680.00 615.50 340.00 - -148.50 -271.50 -139.00 -
Cwip - - 6.00 15.00 - - - - 2.00
Capital Employed 3,317 1,578 2,947 2,563 1,723 1,775 823.00 990.00 900.00
Cash Equivalents 1,596 1,498 1,247 736.00 872.00 672.00 291.00 292.00 143.00
Fixed Assets 111.00 146.00 133.00 104.00 131.00 136.00 169.00 104.00 69.00
Gross Block - - - 229.29 - 246.45 255.18 165.78 114.93
Inventory 10,479 9,280 7,377 6,150 4,886 4,428 3,411 2,771 2,077
Invested Capital 1,463 -110.00 1,444 1,668 868.00 1,024 475.00 662.00 681.00
Investments - - - - - - 5.00 57.00 109.00
Lease Liabilities 28.00 28.00 25.00 15.00 14.00 15.00 12.00 10.00 11.00
Loans N Advances 258.00 190.00 256.00 328.00 - 146.00 60.00 110.00 171.00
Long Term Borrowings 1,558 - 1,551 1,298 851.00 1,299 779.00 841.00 471.00
Net Debt 993.00 -649.00 1,059 1,197 261.00 1,052 874.00 837.00 729.00
Net Working Capital 1,352 -256.00 1,305 1,549 737.00 888.00 306.00 558.00 610.00
Non Controlling Interest - 3.00 3.00 3.00 3.00 3.00 6.00 11.00 11.00
Other Asset Items 2,077 1,688 1,421 1,108 1,021 611.00 510.00 415.00 329.00
Other Liability Items 8,121 8,980 6,463 174.00 4,359 213.00 228.00 196.00 145.00
Reserves 713.00 713.00 623.00 613.00 574.00 35.00 -364.00 -213.00 -99.00
Share Capital 14.00 14.00 14.00 14.00 14.00 12.00 11.00 6.00 6.00
Short Term Borrowings 1,004 821.00 731.00 620.00 268.00 411.00 378.00 336.00 499.00
Short Term Loans And Advances - - - 168.00 68.00 40.00 3.00 115.00 175.00
Total Assets 14,574 12,866 10,492 8,474 6,993 6,022 4,449 3,763 2,931
Total Borrowings 2,589 849.00 2,306 1,933 1,133 1,724 1,170 1,186 981.00
Total Equity 727.00 730.00 640.00 630.00 591.00 50.00 -347.00 -196.00 -82.00
Total Equity And Liabilities 14,574 12,866 10,492 8,474 6,993 6,022 4,449 3,763 2,931
Total Liabilities 13,847 12,136 9,852 7,844 6,402 5,972 4,796 3,959 3,013
Trade Payables 3,136 2,308 1,082 792.00 911.00 1,007 792.00 331.00 284.00
Trade Receivables 53.00 64.00 52.00 34.00 32.00 56.00 8.00 30.00 60.00

๐Ÿ’ต Cash Flows

Metric Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Cash From Financing Activity 141.00 368.00 673.00 -269.00 97.00 8.00
Cash From Investing Activity 46.00 -488.00 8.00 54.00 -26.00 -72.00
Cash From Operating Activity 501.00 92.00 -278.00 205.00 36.00 73.00
Cash Paid For Purchase Of Fixed Assets -45.00 -36.00 -19.00 -89.00 -53.00 -15.00
Cash Paid For Purchase Of Investments -14.00 -265.00 - -53.00 -3.00 -6.00
Cash Paid For Repayment Of Borrowings -958.00 -1,548 -553.00 -416.00 -258.00 -176.00
Cash Received From Borrowings 1,398 1,555 1,466 399.00 471.00 286.00
Cash Received From Issue Of Shares - 603.00 - - - -
Cash Received From Sale Of Fixed Assets 6.00 8.00 3.00 - - -
Cash Received From Sale Of Investments 24.00 - 6.00 72.00 11.00 -
Change In Inventory -1,521 -1,197 -691.00 -158.00 -497.00 -390.00
Change In Other Working Capital Items 1,864 1,470 313.00 286.00 626.00 354.00
Change In Payables 205.00 -116.00 59.00 126.00 -37.00 141.00
Change In Receivables -30.00 -6.00 -24.00 9.00 14.00 10.00
Change In Working Capital 517.00 150.00 -343.00 264.00 106.00 114.00
Direct Taxes Paid -85.00 -59.00 -16.00 -3.00 7.00 -26.00
Dividends Received - - - 1.00 1.00 1.00
Interest Paid -296.00 -213.00 -237.00 -250.00 -114.00 -99.00
Interest Received 90.00 36.00 14.00 9.00 17.00 14.00
Net Cash Flow 687.00 -28.00 403.00 -10.00 107.00 9.00
Other Cash Financing Items Paid -4.00 -30.00 -2.00 -1.00 -3.00 -3.00
Other Cash Investing Items Paid -15.00 -232.00 4.00 115.00 - -67.00
Profit From Operations 68.00 1.00 81.00 -55.00 -77.00 -16.00

๐Ÿงพ Shareholding Pattern

Nse Code Date Promoters Fii Dii Public Others
Signature 2025-09-30 - 10.58 5.52 14.28 0.00
Signature 2025-06-30 - 10.60 5.25 14.54 0.00
Signature 2025-03-31 - 10.36 5.16 14.86 0.00
Signature 2024-12-31 - 12.04 4.82 13.50 0.00
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