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Ganga Bath Fittings Ltd

๐Ÿ“กAI Radar๐Ÿ“Š Stock Analysis
OverviewNewsโœจAnalysisPeersBalance SheetCash FlowInvestors
Financial Health
Debt/Equity0.27
Total Assetsโ‚น78.77 Cr.
Promoter Holding69.16 %
Valuation
Industry P/E27.53

About Ganga Bath Fittings Ltd

Consumer Durables ยท Ceramic Products

Ganga Bath Fittings Ltd is listed on NSE in the Consumer Durables / Ceramic Products sector.

Strengths & Weaknesses

Strengths

  • The company has a strong promoter holding of 69.16%, indicating significant control and potential stability in management decisions.

Weaknesses

  • The company has a relatively high debt-to-equity ratio of 0.69, suggesting moderate financial leverage and potential risk to equity holders.
  • Key performance indicators such as P/E Ratio, P/B Ratio, ROCE, ROE, Revenue, and Net Profit are not available, making it difficult to assess valuation, profitability, and efficiency.

Peer Comparison

NameCMPP/EMarket CapDiv YieldNP QtrQtr Profit Var%Sales QtrQtr Sales Var%ROCE%Debt/Eq
Kajaria Ceramics Ltd-34.7โ‚น18,945.44 Cr1.18%โ‚น547.72 Cr-โ‚น5,055.7 Cr-26.86%0.06
Cera Sanitaryware Ltd-27.26โ‚น6,693.69 Cr1.25%โ‚น248.3 Cr-โ‚น1,947.64 Cr-23.1%0.01
Somany Ceramics Ltd-23.95โ‚น2,547.1 Cr0.32%โ‚น100.95 Cr-โ‚น2,934.96 Cr-17.69%0.3
Nitco Ltd--โ‚น2,038.86 Cr-โ‚น-29.14 Cr-โ‚น507.79 Cr--3.94%1.48
Asian Granito India Ltd-86.36โ‚น1,485.04 Cr-โ‚น11.1 Cr-โ‚น1,938.03 Cr-2.75%0.19
Orient Bell Ltd-27.53โ‚น582.39 Cr0.25%โ‚น21.12 Cr-โ‚น752.36 Cr-8.76%0.09
Exxaro Tiles Ltd-68.44โ‚น275.6 Cr-โ‚น4.1 Cr-โ‚น325.19 Cr-4.73%0.32
Murudeshwar Ceramics Ltd-17.15โ‚น170.25 Cr-โ‚น10.13 Cr-โ‚น209.41 Cr-5.2%0.37
Manoj Ceramic Ltd--โ‚น100.05 Cr------0.57
Regency Ceramics Ltd--โ‚น87.97 Cr-โ‚น-24.45 Cr-โ‚น49.87 Cr--138.46%-1.29
Restile Ceramics Ltd--โ‚น76.66 Cr-โ‚น-0.11 Cr-โ‚น6.54 Cr--1.72%-1.2
Euro Ceramics Ltd----โ‚น26.99 Cr-โ‚น294.1 Cr--12.07%-0.09
Ganga Bath Fittings Ltd---------0.69
Lexus Granito (India) Ltd----โ‚น-2.24 Cr-โ‚น47.41 Cr-2.68%14.91
Clay Craft India Ltd---------0.3
Varmora Granito Ltd---------0.69
Prakash Ceramics Ltd----โ‚น0 Cr-โ‚น0 Cr--0
Neycer India Ltd----โ‚น-1.77 Cr-โ‚น0.66 Cr-15.24%-0.03

Balance Sheet

Mar 2025Mar 2026
Equity Capital15.544822.21
Reserves6.288232.39
Borrowings15.0314.66
Other Liabilities9.959.51
Total Liabilities46.809178.77
Fixed Assets2.360523
CWIP00
Investments01.03
Other Assets44.4554.74
Total Assets46.809178.77

Cash Flows

Mar 2025Mar 2026
Cash from Operating Activity-1.2423-5.727
Cash from Investing Activity-1.3026-25.1006
Cash from Financing Activity4.792630.0706
Net Cash Flow2.2477-0.757

Shareholding Pattern

Jun 2025Sep 2025Mar 2026
Promoters %69.16%69.16%69.16%
FIIs %0.22%0%0%
DIIs %0.18%0.14%0%
Public %26.98%23.07%22.2%
No. of Shareholders1,4911,2691,136

ยฉ 2026 StockFin.ai is not a SEBI-registered advisor. For informational purposes only.

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