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ongc equity research report |
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ongc equity research report
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Re: ongc equity research report
Oil & Natural Gas Corporation Limited (“ONGC” or the “Company”) is the second largest oil and gas exploration and production Company in the world and ranks 23rd among leading global energy majors. Headquartered in Dehradun, the Company’s primary business includes exploration and production of crude oil, natural gas, LPG and other value-added petroleum products. Report on the Equity Share Research * Results Consolidated 12 Mar-16* EQUITY SHARE DATA High 342 Low 188 Sales per share (Unadj.) 153.7 Earnings per share (Unadj.) 16.5 Diluted earnings per share 11 Cash flow per share (Unadj.) 37.6 Dividends per share (Unadj.) 8.5 Adj. dividends per share 5.67 Dividend yield (eoy) 3.2 Book value per share (Unadj.) 215.9 Adj. book value per share 144 Shares outstanding (eoy) 8,555.49 Bonus/Rights/Conversions - Price / Sales ratio 1.7 Avg P/E ratio 16.1 P/CF ratio (eoy) 7.1 Price / Book Value ratio 1.2 Dividend payout 51.5 Avg Mkt Cap 2,267,205 No. of employees 33.6 Total wages/salary 123,781 Avg. sales/employee 39,182.90 Avg. wages/employee 3,688.30 Avg. net profit/employee 4,208.50 INCOME DATA Net Sales 1,314,979 Other income 70,228 Total revenues 1,385,206 Gross profit 420,505 Depreciation 180,087 Interest 21,573 Profit before tax 289,073 Minority Interest -1,897 Prior Period Items 126 Extraordinary Inc (Exp) -61,894 Tax 84,170 Profit after tax 141,238 Gross profit margin 32 Effective tax rate 29.1 Net profit margin 10.7 BALANCE SHEET DATA Current assets 587,673 Current liabilities 638,696 Net working cap to sales -3.9 Current ratio 0.9 Inventory Days 28 Debtors Days 27 Net fixed assets 2,365,291 Share capital 42,778 "Free" reserves 1,803,296 Net worth 1,847,443 Long term debt 462,719 Total assets 3,562,112 Interest coverage 14.4 Debt to equity ratio 0.3 Sales to assets ratio 0.4 Return on assets 4.6 Return on equity 7.6 Return on capital 10.7 Exports to sales 2.3 Imports to sales 1 Exports (fob) 30,281 Imports (cif) 13,252 Fx inflow 30,332 Fx outflow 230,241 Net fx - 199,909 CASH FLOW From Operations 527,758 From Investments -379,771 From Financial Activity -62,225 Net Cashflow 85,762 |
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