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Nano Miscellaneous
Market Cap
₹278 Cr.
P/E
0.00
  • Bijoy Hans
  • Shiv Texchem
  • Shankar Lal Rampal

FAQs on Bijoy Hans Ltd. Shareprice

Arvaya Healthcare has given better returns compared to its competitors.
Arvaya Healthcare has grown at ~128.7% over the last 1yrs while peers have grown at a median rate of -32.47%

There is insufficient historical data to gauge this.
Latest PE of Arvaya Healthcare is 0

Growth Table

  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Balance Sheet

  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Balance Sheet Snapshot

No data available.

Fund Flow Analysis

  • 1y
  • 3y
  • 5y
  • 10y
  • Increase
  • Decrease
  • Total
No data available.
*Data is as of latest FY end

Profit & Loss

  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Cash Flow

  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Cash Flow Analysis

  • 1y
  • 3y
  • 5y
  • 10y
  • Increase
  • Decrease
  • Total
No data available.

Ratios

= Dominant Factor
  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Quarterly Results

  • Bijoy Hans Ltd.
  • Shiv Texchem
  • Shankar Lal Rampal

Reverse DCF

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Cr
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5 YEAR
locked 5
10 YEAR
locked 10
20 YEAR
locked 20
Implied Growth Rate over a 5 year period*
Implied Growth Rate over a 10 year period*
Implied Growth Rate over a 20 year period*

FAQs on Bijoy Hans Ltd. Financials

Balance sheet of Arvaya Healthcare is strong.
It shouldn't have solvency or liquidity issues.

Yes, The net debt of Arvaya Healthcare is increasing.
Latest net debt of Arvaya Healthcare is -₹1.35 Crs as of Sep-25.
This is greater than Mar-25 when it was -₹5.37 Crs.

The profit is oscillating.
The profit of Arvaya Healthcare is -₹0.93 Crs for TTM, ₹0.14 Crs for Mar 2025 and -₹0.12 Crs for Mar 2024.

The company seems to be paying a very low dividend.
Investors need to see where the company is allocating its profits.
Arvaya Healthcare latest dividend payout ratio is 0% and 3yr average dividend payout ratio is 0%

Companies resources are allocated to majorly unproductive assets like Cash & Short Term Investments

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