Smallcap Financial Insights
Smallcap Financial Insights
COMPANY NAME
                            Sales                                                 100%
                            Raw material Expenses                                   83%
                            Change in Inventory                                    (1%)
                            Power and Fuel Cost                                      5%
                            Other Mfr. Exp                                           4%
                            Employee Cost                                            1%
                            Selling and Admin Expenses                               4%
                            Other Expenses                                           0%
                            Operating Profit Margin (OPM) %                       4.4%
D P WIRES LTD
0 0 0 64 63 45 94 286 318
TREND ANALYSIS
4.6%
3.5%
                  1.5154845155
                  2.2966933167
Mar-17 FY17
Mar-18 FY18
Mar-19 FY19
Mar-20 FY20
Mar-21 FY21
Mar-22 FY22
Mar-23 FY23
Mar-18 FY18
Mar-19 FY19
Mar-20 FY20
Mar-21 FY21
Mar-22 FY22
Mar-23 FY23
                                                                             iNCOME sTA
Ratio Analysis
                            Operating Profit Margin (OPM) %                  7.6%
Info-graphics & Charts      Net Profit Margin (NPM) %                        5.4%
                            Tax Payout %                                    26.2%
DCF Valuation               Interest Coverage Ratio (x)                      52.9x
Investment Decission
Stock Watchlist
                                                      D P WIRES LTD
               Sep-21       Dec-21      Mar-22        Jun-22        Sep-22      Dec-22      Mar-23       Jun-23        Sep-23
                  132          160         178           200           284         344         387          266          273
                     9           12           9            11            12          12          20           16           10
                     1            1           1             1             1           2           3            1            3
                     9           13          11            11            13          14          22           17           14
                   (1)          (1)         (0)           (1)           (0)         (1)         (1)          (1)          (1)
                                                        Volatility ANALYSIS
                                                        LAST 3 MONTHS
                        TREND ANALYSIS
              QoQ (Sequential) QoQ (Yearly)
                        3%               (4%)
                         (33%)         (13%)
                          128%          202%
                     (19%)                 5%
(18%) 1%
(18%) 0%
s(3Q23), 273.14crores(4Q23)
 (3Q23), 10.45crores(4Q23)
 23), 13.8crores(4Q23)
Q23), 0.63crores(4Q23)
 12.16crores(4Q23)
crores(4Q23)
Income Statement
(Quarterly)                 Fixed Assets (Net Block)                  5
Balance Sheet               Capital Work in Progress (CWIP)           0
                            Investments                               0
Cash Flow Statement
                            Other Assets                             26
Ratio Analysis              Total Assets                             31
                                   D P WIRES LTD
Mar-15     Mar-16     Mar-17     Mar-18      Mar-19     Mar-20     Mar-21     Mar-22
     3          3          3         14          14         14         14         14
     18         20         25         51          68         85        109        138
       8        24         30           6         23           3          8        13
     22         22         23         26          17         24         23         31
    50         68         81         96         122        125        154        196
     6          8          8          8          16         23         23         28
       0          0          0          0           3          0          0          0
       0          0          0          0           0          0          0          0
     45         60         73         88         103        102        131        168
    50         68         81         96         122        125        154        196
    24         27         31         26          46         46         62         88
     11         16         26         25          30         25         25         47
       2          4          2          3           2        13           5          8
     23         38         50         63          86         79        108        137
     28         47         58         71         105        102        131        165
     21         23         28         65          82         99        123        152
                       Volatility ANALYSIS
  25.4x      22.8x     LAST
                       23.8x 3 MONTHS
                                    25.6x      27.9x      14.7x      20.3x      24.1x
     48         58         54         50          40         59         43         45
  16.2x      12.0x       9.3x       8.1x       12.0x      10.4x      18.7x      16.9x
   0.4x       1.0x       1.1x       0.1x        0.3x       0.0x       0.1x       0.1x
  8.5%      10.1%      19.8%      21.2%       23.8%      18.5%      21.8%      21.2%
 14.7%      14.1%      18.7%      25.1%       30.3%      22.9%      28.9%      27.7%
                          TREND ANALYSIS
Mar-23            9 YEARS        5 YEARS        3 YEARS
    14                    10            14             14
    178                   77           116            142
       2                  13            10              8
     58                   27            31             37
   251                  127           170             200
      31                    17             24          27
       0                    0             1             0
       0                    0             0             0
    220                  110           145            173
   251                  127           170             200
      87                   49            66            79
      50                   28            35            41
      33                    8            12            16
     162                   83           114           136
     194                  100           139           163
     191                   87           129           155
                            25             50
Mar-23
   5%
    71%
   1%
  23%
 100%
  12%
    0%
    0%
   88%
 100%
35%
20%
 13%
Mar-17 FY17
Mar-18 FY18
Mar-19 FY19
Mar-20 FY20
Mar-21 FY21
Mar-22 FY22
Mar-23 FY23
Mar-18 FY18
Mar-19 FY19
Mar-20 FY20
Mar-21 FY21
Mar-22 FY22
Mar-23 FY23
                            COMPANY NAME
                            INR (in crores)
                            Cash from Operating Activity (CFO)
                            Cash from Investing Activity (CFI)
                            Cash from Financing Activity (CFF)
Multibagger List            Net Cash Flow (CFO + CFI + CFF)
Income Statement (Yearly)
                            Cash & Equivalent at the end of year
Income Statement
                            Profit After Tax (PAT)
(Quarterly)
Balance Sheet
                            Cash from Operating Activity (CFO)
Cash Flow Statement
                            As a Equity Analyst, give me Cash Flow analysis of D P WIRES LTD based on the financi
                            here is the 6 Years Cash from Operating Activity numbers- -12.18crores(FY18), -5.08crore
                            here is the 6 Years Cash from Investing Activity numbers- -2.88crores(FY18), -8.9crores(F
                            here is the 6 Years Cash from Financing Activity numbers- 15crores(FY18), 13.9crores(F
                            here is the 6 Years Net Cash Flow numbers- -0.0599999999999987crores(FY18), -0.08000
                            here is the 6 Years Cash & Equivalent numbers- 2.76crores(FY18), 1.75crores(FY19), 12.
                            here is the 6 Capex numbers- 0.99crores(FY18), 12.71crores(FY19), 5.82crores(FY20), 2.
                            here is the 6 Years Free Cash Flow numbers- -13.17crores(FY18), -17.79crores(FY19), 32
                            All figures are in Indian currency and numbers are in crores. Please comment on th
Also, give me the historical growth of the company, and if it continues in the same
                                                        Cash Flow Statement
                                                                                           D P WIRES LTD
                             Mar-14         Mar-15   Mar-16              Mar-17      Mar-18          Mar-19         Mar-20          Mar-21
                                  6              1      (2)                   2        (12)             (5)             38            (12)
                                       1         (1)      (3)                      0      (3)             (9)           (17)             12
                                     (6)           1        6                    (2)       15              14           (21)               4
                                     0           2        1                    (0)      (0)             (0)              0               3
1 2 4 2 3 2 13 5
1 2 2 5 10 17 17 24
                                                    2             4              1            1             13              6             2
                                                  (1)           (5)              1         (13)           (18)             32          (14)
                                                             TREND ANALYSIS
                Mar-22          Mar-23 TOTAL        9 YEARS       5 YEARS           3 YEARS
                     4             46          66         25%          (255%)            (255%)
                   (5)            (6)        (31)
                     3           (15)         (1)
                     3             25          34
8 33
4 46 66 25% (230%) 6%
                        8              7
                      (3)             39       17      (257%)              (217%)        (239%)
                    168%             15%
                                             29%
61crores(FY22), 24.71crores(FY23)
Mar-17 FY17   Mar-17 FY17
Mar-18 FY18   Mar-18 FY18
Mar-19 FY19   Mar-19 FY19
Mar-20 FY20   Mar-20 FY20
Mar-21 FY21   Mar-21 FY21
Mar-22 FY22   Mar-22 FY22
Mar-23 FY23   Mar-23 FY23
                         COMPANY NAME
                         INR (in crores)
                         Operating Profit Margin (OPM) %
                         Net Profit Margin (NPM) %
                         Tax Payout %
Multibagger List         Dividend Payout %
                         Interest Coverage Ratio (x)
Income Statement         Earnings Per Share (EPS)
(Yearly)                 PE Ratio (x)
Income Statement
(Quarterly)
                         Net Fixed Asset Turnover
Balance Sheet            Receivables Days
                         Inventory Turnover
Cash Flow
                         Debt To Equity
Statement
                         Return on average Equity (RoAE)
Ratio Analysis
                         Return on average Capital Employed
Info-graphics & Charts
                         CFO/PAT (atleast 80%)
DCF Valuation
Investment Decission
Stock Watchlist
                                                                                                   D P WIRES LTD
                         Mar-14          Mar-15          Mar-16          Mar-17       Mar-18            Mar-19            Mar-20
                           4.4%            2.8%            3.7%            4.8%         7.9%              7.7%              8.2%
                           1.3%            1.2%            1.4%            2.6%         4.7%              5.3%              5.9%
                          26.0%           20.4%           23.7%           28.6%        34.2%             28.3%             25.1%
                            n/m             n/m             n/m             n/m          n/m               n/m               n/m
                            1.7x            2.1x            2.2x            3.6x        12.4x             11.4x             17.5x
                            4.31            5.79            7.55           17.34         6.34             11.24             10.76
                            0.0x            0.0x            0.0x            0.0x        10.1x              5.6x              4.2x
                                                                         Volatility ANALYSIS
                                                                         LAST 3 MONTHS
                                                     AVG 5
                                                     ROCE                   21.8%
                                                     ROE                    28.4%
3551(FY22), 0.0450913758629485(FY23)
1(FY22), 0.0337444767178744(FY23)
FY22), 28.5223880597014x(FY23)
4516129(FY23)
7756644721x(FY23)
9x(FY22), 40.926418588988x(FY23)
92697336482(FY23)
2), 25.1226873385013x(FY23)
920614x(FY22), 0.0111766856426594x(FY23)
751(FY22), 0.238944240517392(FY23)
277005311411076(FY22), 0.319761280606838(FY23)
15421686746988(FY22), 1.1104608632041(FY23)
Mar-17 FY17   FY17
Mar-18 FY18   FY18   Mar-18 FY18
Mar-19 FY19   FY19   Mar-19 FY19
Mar-20 FY20   FY20   Mar-20 FY20
Mar-21 FY21   FY21   Mar-21 FY21
Mar-22 FY22   FY22   Mar-22 FY22
Mar-23 FY23   FY23   Mar-23 FY23
                            COMPANY NAME >>
                               1400
Multibagger List               1200
                               1000                                   48.88%
                                800
Income Statement (Yearly)       600                                                     15.56%
                                400
Income Statement                200
                                  0
(Quarterly)                     Aug-13              93         Dec-14
                                                                        138               159
                                                                                          May-16
Balance Sheet
Ratio Analysis
                                            142                                          160
Info-graphics & Charts                                              132
DCF Valuation
                                           Jun-21                  Sep-21               Dec-21
Investment Decission
                            This chart isn't available in your version of Excel.
Stock Watchlist
                            Editing this shape or saving this workbook into a
                            different file format will permanently break the chart.
                                      8%                                      8% Margin (%)
                                                                          Operating
                                                         8%
                                                                                                7%
                                                                                   6%
                                                              5%                                     5%
                                           5%
                                            18.7% 1
  14.7%                   14.1%
                                  10.1%
          8.5%
D P WIRES LTD
REVENUE GROWTH
                                                                              60.06%                                              64.41%
.88%
                15.56%               22.56%
                                                           6.04%
                                                                                                        -14.40%
                                                                                                                                   467
                                                                               332                          284
138               159                    195                207
                  May-16                          Sep-17                   Feb-19                             Jun-20                            Oct
                                                                   REVENUE (QoQ)
                                                                                                                                                38
                                                                                                                   344
                                                                                        284
                                          178                     200
                 160
f Excel.
                                           Expenses                                                         NOCF
k into a                                                      Volatility ANALYSIS
ak the chart.                      00%
                                  3% %                        LAST 3 MONTHS Mar-23                                                         46
                                                            DC
                                                                                     Mar-22             4
                                                            OC
                                                            OI                 -12 Mar-21
                                                            NOC
                                                            NI
                                                                                     Mar-20                                          38
                                    93%
                                                                                     Mar-19
                                                                                      -5
    8% Margin (%)
Operating                     Net Profit Margin (%)
                        7%                                                                                                               Debt to
                                           7%
           6%
                             5%
                                                  5%        5%
                                                                                                0.28x
                                                                   3%
                                                                                                                         0.03x
                                                                                              Mar-19                     Mar-20
       Mar-20            Mar-21            Mar-22            Mar-23
                                                   3%
                                                         30.3%                              28.9%
                                                                                         ROCE
                               25.1%                             23.8%   22.9%                      21.8%
                                        21.2%
              18.7% 19.8%                                                        18.5%
%
    10.1%
                                  387
     344
                                                             266                       273
38
                                        0.06x                   0.09x
           0.03x                                                                         0.01x
           Mar-20                    Mar-21                     Mar-22                   Mar-23
                                                  32.0%
          28.9%
       ROCE               Polynomial 27.7%
                                     (ROCE)
                                                          23.9%
                  21.8%                   21.2%
8.5%
Particulars
REVENUE (YoY)
Revenue Growth (%)
Particulars
PRICE
Particulars
REVENUE (QoQ)
Particulars
Operating Margin (%)
Net Profit Margin (%)
Particulars
ROCE
ROE
                                                  COMPANY GRAPH
                                                                                   D P WIRES LTD
                                                              1.5                2.5
          Year              Mar-19               Mar-20             Mar-21             Mar-22
Debt to Equity Ratio          0.28x                0.03x              0.06x              0.09x
    2.5
          Mar-23
            0.01x
              93%
               3%
               0%
               0%
               0%
           Mar-23
              39
           Mar-23
              46
Sep-22    Dec-22    Mar-23    Jun-23    Sep-23
    284       344       387       266       273
Balance Sheet
Ratio Analysis
DCF Valuation
Investment Decission
Stock Watchlist
                                                                                         DCF Valuat
COMPANY NAME
Initial Cash Flow (Rs Cr)                                        ₹ 16
Estimated Growth Rate                                             NO
Years                                                            1-10
FCF Growth Rate                                               20.00%
Discount Rate                                                  9.50%
Terminal Growth Rate                                           5.00%
                                                              MANUAL
                                                     EPS%               DIVIDEND%
Investment return =                                  20.00%                0.49%
Total Investment return =                                      20.49%
                                               FUNDAMENTAL 🧩             MANUAL
                                                       ₹ 185.89              ₹ 109.69
Capital Gains + Dividends =                   ₹ 401,975        ₹ 401,791
Estimated 10th Year Market Cap =              ₹ 3,885.93       ₹ 3,885.93
Discounted Estimated 10th Year Market Cap =   ₹ 1,568.03       ₹ 1,568.03
Discounted Dividends =                         ₹ 133.84         ₹ 110.37
Discounted Value =                            ₹ 1,701.87       ₹ 1,678.40
Disounted Earnings Valuation =                ₹ 1,095.20       ₹ 1,080.10
                                                           `
DCF Valuation
                           D P WIRES LTD
 Year            FCF           Growth     Present Value
             1         ₹ 19.10     20.00%         ₹ 17.44
             2         ₹ 22.92     20.00%         ₹ 19.11
             3         ₹ 27.50     20.00%         ₹ 20.95
             4         ₹ 33.00     20.00%         ₹ 22.95
             5         ₹ 39.60     20.00%         ₹ 25.16
             6         ₹ 47.52     20.00%         ₹ 27.57
             7         ₹ 57.03     20.00%         ₹ 30.21
             8         ₹ 68.43     20.00%         ₹ 33.11
             9         ₹ 82.12     20.00%         ₹ 36.28
            10         ₹ 98.54     20.00%         ₹ 39.76
TD
     STOCK IS UNDERVALUED
                                                            C
     STOCK IS OVERVALUED                                    D
             EXPECTED DIVIDEND INCOME ANALYSIS (FUNDAMENTAL GROWTH)
     YEAR                                  EPS          DPR       Dividends
     CURRENT                                       26.5      4.0%        1.05
                                         1        32.53      4.0%        1.29
                                         2        39.99      4.0%        1.59
                                         3        49.17      4.0%        1.95
                                         4        60.45      4.0%        2.40
                                         5        74.32      4.0%        2.95
                                         6        88.71     18.2%       16.13
                                         7       102.69     32.4%       33.26
                                         8       115.20     46.6%       53.67
                                         9       125.09     60.8%       76.05
                                                       10       131.35       75.0%    98.51
     Expected Dividend Income From This Stock In Next The 10 Years                   288.86
              ₹ 1.18
              ₹ 1.33
              ₹ 1.49
              ₹ 1.67
              ₹ 1.88
              ₹ 9.36
             ₹ 17.62
             ₹ 25.97
             ₹ 33.60
             ₹ 39.75
            ₹ 133.84
WTH)
         Pr. Value
              ₹ 5.81
              ₹ 6.37
              ₹ 6.98
              ₹ 7.65
              ₹ 8.38
              ₹ 9.18
             ₹ 10.06
             ₹ 11.03
 ₹ 12.09
 ₹ 32.83
₹ 110.37
                                                                                      INVES
                             COMPANY NAME
                            Particulars
Multibagger List            Net Profit (Rs Crore)
                            Net Profit Margin
Income Statement (Yearly)   Return on Equity
                                               D P WIRES LTD
  Mar/13    Mar/14      Mar/15    Mar/16       Mar/17   Mar/18   Mar/19   Mar/20
       1         2           2         5          10       17       17       24
     1%        1%          1%        3%           5%       5%       6%       5%
     8%       10%         20%       21%          24%      18%      22%      21%
  20.00%
                     YOU CAN INVEST                                       C
     194
    21.7
    20.0
                     DON'T INVEST                                         D
    3,886                          Investment Signal
                                           C
      10%
    1,678
      968
  401,791
   20.49%
   -5.09%
   14.91%
    0.49%                Volatility ANALYSIS
   15.41%                LAST 3 MONTHS
         VERSION 7.001
Quarters
Report Date               Jun-21        Sep-21       Dec-21       Mar-22
Sales                         142.35        132.22       160.34      178.33
Expenses                      131.54        123.61       148.43      168.99
Other Income                      0.3         0.57         0.61         1.26
Depreciation                     0.53         0.57         0.64         0.74
Interest                          0.2         0.76         0.73         0.44
Profit before tax              10.38          7.85        11.15         9.42
Tax                              2.72         1.88         2.72         2.44
Net profit                       7.66         5.97         8.43         6.99
Operating Profit               10.81          8.61        11.91         9.34
BALANCE SHEET
Report Date                    Mar-14        Mar-15        Mar-16        Mar-17
Equity Share Capital                  2.5          2.5            2.5           2.5
Reserves                            16.49        18.16          20.34         25.39
Borrowings                           7.25         7.79           23.8         30.47
Other Liabilities                    4.49        21.82          21.85            23
Total                               30.73        50.27          68.49         81.36
Net Block                            5.16         5.72           8.27          8.18
Capital Work in Progress
Investments
Other Assets                       25.57         44.55         60.22         73.18
Total                              30.73         50.27         68.49         81.36
Receivables                        11.93         24.15         26.79          30.8
Inventory                           6.58          10.5         16.06          25.9
Cash & Bank                         0.99          2.49          3.51          1.65
No. of Equity Shares             2496000       2496000       2496000       2496000
New Bonus Shares
Face value                              10            10            10            10
CASH FLOW:
Report Date                    Mar-14        Mar-15        Mar-16        Mar-17
Cash from Operating Activity         5.96           0.9         -1.64          1.73
Cash from Investing Activity          0.9         -0.79         -3.46          0.31
Cash from Financing Activity        -6.44          1.39          6.12         -2.08
Net Cash Flow                        0.43           1.5          1.02         -0.04
PRICE:
DERIVED:
Adjusted Equity Shares in Cr            0             0             0             0
PLEASE DO NOT MAKE ANY CHANGES TO THIS SHEET
OVERVIEW
10 10 10 10 10 10
64 63 45 94 286 318
        2            2            2            2            2            2
How to use it?
                                      OVERVIEW
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                Hybrid Investing Excel Analysis - Version 7.001
                                             HOW TO USE THIS SPREADSHEET
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                                                 IMPORTANT INSTRUCTIONS
1. Ensure that the company whose data you are downloading has numbers at least starting from FY08 (March 2008). This is
if, for instance, the company has financials starting from, say, FY10, you will see incorrect data for FY08 and FY09 (which w
Ambuja Cement on whose financials I have created this Analysis sheet format)
2. All financial data of your chosen company will be automatically updated in the sheet you download, except "Cash and Ba
(Balance Sheet sheet) and Capex (Cash Flow sheet) figures, which you must update manually from the company's annual re
Don’t forget to make these changes as these numbers are key inputs in a few Intrinsic Value calculations.
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4. DON’T touch any cell except the black ones, where you are required to update the numbers manually from Annual Repo
Cash and Capex numbers) or where you may change the growth assumptions etc.
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on the sheet.
5. This sheet is not a replacement of the work required to read annual reports as part of the analysis process. So please do th
with working on this sheet. You may sometime find some discrepancy in numbers (though rare), but you will know this on
you read annual reports.
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8. This excel won't work for banking and financial services companies.
                                            Warren B
                              B ES
ST
               L
                                  T
   ECONOMIC MOAT
   INDICATOR
    Monopoly                    0.9          Increasing
    Oligopoly                   0.7          Gradually Decreasing
    Perfect Competition         0.2          Stable
    Monopolistic Competition    0.6          Sudden Decrease
    Monopsony                   0.8
    Oligopsony                  0.6          Decreasing DC
    Natural Monopoly            1.0          Decreasing OP
                                             Decreasing DC & OP
                                             Increasing DC
    Narrow Network              0.3          Increasing OP
    Wide Network                1.0          Increasing DC & OP
    Moderate Network            0.6
                                             Increasing R&D
    Highly Leverage             -1.0         Decreasing R&D
    Low Leverage                1.0          Stable R&D
    Moderately Leverage         0.7
    No Leverage                 0.8          Price Setter
                                             Price Follower
    Strong                        1          Average
    Moderate                    0.7
    Insignificant               0.4          Grater than 15%
                                             Less than 15%
 0% Worst                       10%    L
30% Bad                         30%    L
50% Average                     50%    K
75% Good                        70%    J
90% Best                        90%    J
    Bad
                          30%   1% 169.00%
 1    Strong            1              1   0.6
0.6   Moderate         0.7             2   0.6
0.8   Insignificant    0.4             3    1
 -4                                    4    -4
                                       5    1
0.7   Strongly Agree    1              6   0.4
0.8   Agree            0.6             7    1
 1    Disgree           -4             8    1
0.6                                    9    1
0.5                                   10    1
0.2                                   11    1
                             Score         4.6
 1
0.4                                  42%
0.6
 1
0.2
0.6
0.3
 1
L
                               benjamin graham Formu
                                                          D P WIRES LTD
Here, EPS is the trailing 12-month EPS, 10x is the P/E ratio of a stock with a growth rate (g%) is the
aham Formula
RES LTD
G)
ock with a growth rate (g%) is the growth rate for the next 7-10 years
*In case of
companies
earning
negative
FCF, where
this model
will not
                                                     Dhandho Intrinsic Value
work, you                                                                  D P WIRES LTD
must use a
normalized
positive                       Dhandho - Lower Range
FCF as the      Year                 FCF (Rs Cr) PV of FCF (Rs Cr)
starting
number.          0      Excess Cash (Latest)                         33
This number      1      FY23                   18                    16
is your
                 2      FY24                   21                    17
assumption
of FCF the       3      FY25                   24                    17
business will    4      FY26                   27                    17
earn in a
normal year,     5      FY27                   29                    17
without          6      FY28                   32                    16
capex.
Check the        7      FY29                   34                    15
history of       8      FY30                   36                    14
this business
while            9      FY31                   37                    13
arriving at      10     FY32                   39                    13
your
                 10                            392                   126
assumption,
and use your                       Intrinsic Value                   315
judgment                       Current Mkt. Cap.                     968
wisely
without                Premium/(Discount) to IV                  207%
twisting the
model to fit
your version
of reality.
o Intrinsic Value Calculation
         D P WIRES LTD
                3
                       ∆ ROA                            1
                         ACCRUAL                        1
                      Leverage, Liquidity, Source of Funds
                       ∆ LEVERAGE                       1
                       ∆ LIQUID                         0
                         EQ_OFFER                       0
                😓
                      Operating Efficiency
                       ∆ MARGIN                         0
                       ∆ TURN                           1
                      Total Score                       6
Fscore   67%   33%
 Other Current
    Assets
Mar-22        Mar-23
  41              71
         72.46%           FIXED Assets
          +             Mar-22
                           58
                                      Mar-23
                                          74
  INVENTORY                      27.86%
Mar-22
  12
              Mar-23
                   15
                                  +
         25.93%
          +
                          Current Assets
                        Mar-22        Mar-23
                           90             113
    Accounts
    Receivable                   25.12%
Mar-22        Mar-23
   25              18
         -28.70%
          +             Operating Income
     Cash &             Mar-22        Mar-23
    Equivalents           58              74
Mar-22        Mar-23
                                 27.86%
   12
         -24.45%
                   9
                                  -
                         Non-Operating
                           Expenses
                        Mar-22        Mar-23
                          14              16
                                 12.61%
               Du-Point Analysis
                  D P WIRES LTD
 D Assets                     Sales
     Mar-23         Mar-22         Mar-23
         74           115              149
                              29.71%
                               ÷
 7.86%
                                                    Net Profit
 ng Income                  Net Profit               Margin
                                               Mar-22
    Mar-23           Mar-22           Mar-23
                                                37.98%
         74            44               58
                                                         93 bps
7.86%                         32.90%
                               ÷
Operating                     Sales
penses
    Mar-23           Mar-22           Mar-23
16 115 149
2.61%                         29.71%
Assets Turnover
Mar-22         Mar-23
93.76%         89.56%
         -419 bps         RETURN ON
           X             INVESTMENT
                         Mar-22
                         35.61%
                                       Mar-23
                                       34.85%
     Net Profit                   -76 bps
      Margin
Mar-22         Mar-23
 37.98%         38.91%
          93 bps
      25        50
 101.81%
      47        50
   5.41%
       88       87
   -0.93%
       8        33
 301.33%
     196       251    -
  28.28%
     168       220
  30.95%
      41        55
  34.74%
     613     1,215
  98.18%
      29        41
  41.17%
 312.83%    483.28%
17045 bps
   4.74%      3.37%
 -136 bps
  14.82%     16.31%
  149 bps
      12        14
  18.67%