Westlife Foodworld Ltd

WESTLIFE NSE Consumer Discretionary Restaurants
Microcap 250
₹569.60
+1.36%
Delayed · cached 15 min
Fair Value Analysis →

Price Chart

Price50-day avg200-day avg

How to read this: the line is the closing price over time. The two dashed lines are moving averages — the average price over the last 50 and 200 trading days — which smooth out daily noise to show the broader trend. Price above its moving averages reflects recent strength; below reflects recent weakness. Use the buttons to change the time range. Prices are end-of-day, not live.

Strengths

  • Profit has compounded about 12% a year over five years.
  • Sales have compounded about 22% a year over five years.
  • Pays a dividend (yield about 0.14%).
  • Has paid a dividend in 4 of the last 5 years.
  • Promoters hold a majority stake (56.39%).

!Watch-points

  • Higher leverage: debt-to-equity of 2.92 is above 1.
  • Return on equity is on the lower side at -3.8%.
  • Return on capital employed is on the lower side at 6.3%.
  • Net profit margin is slim at 1.2%.
  • Recent profit growth (-187%) is slower than the five-year pace (12%).

These points are generated automatically from the company’s reported figures to highlight what stands out. They are descriptive observations for educational purposes only — not advice or a recommendation to buy, sell, or hold.

Forensic Checks

Altman Z-ScoreSafe zone
3.38

In Altman’s original study, companies in this range showed a low incidence of financial distress.

Computed without the working-capital term (current-asset split not available for this stock).

Piotroski F-ScoreModerate
5 / 7

The F-Score adds one point for each of several year-on-year signs of improving profitability, lower leverage and better efficiency. Higher is generally stronger.

Based on 7 of the 9 signals — the rest need data not available for this stock.

These are well-known academic screening models, shown for educational context only. They describe historical financial patterns and are not predictions, advice, or a recommendation to buy, sell, or hold.

Key Ratios

Market Cap₹ 8,841 Cr
Current Price₹ 569.60
High / Low₹ 763.80 / 398.40
Stock P/E281.9802
Book Value₹ 39.70
Dividend Yield0.07%
ROCE6.34%
ROE-3.79%
Face Value₹ 2.00
Debt to Equity2.92
PEG Ratio
EV / EBITDA17.65
Industry PE35.90
P/B Ratio14.567401
EPS₹ 2.07
Debt₹ 1,805 Cr
PAT Margin1.22%
Cash PAT₹ 258 Cr
ICR2.38
Promoter Holding56.39%
FII Holding6.94%
DII Holding28.31%
Public Holding7.83%

Note on calculated ratios: where a value is not published in the source data, we compute it from the reported financials — Debt to Equity = total borrowings ÷ (equity capital + reserves); EV / EBITDA = (market cap + debt − cash) ÷ (operating profit + depreciation); PEG = P/E ÷ 3-year profit growth %. These may differ slightly from other sources that use different periods or TTM figures. Current Price, Market Cap and P/E reflect the live quote (cached 15 min).

Compounded Sales Growth
10 Years 12.00%
5 Years 22.00%
3 Years 5.00%
TTM 7.00%
Compounded Profit Growth
10 Years 0.00%
5 Years 12.00%
3 Years -64.00%
TTM -187.00%
Stock Price CAGR
10 Years 9.00%
5 Years 0.00%
3 Years -18.00%
1 Year -28.00%
Return on Equity
10 Years 2.00%
5 Years 6.00%
3 Years 3.00%
Last Year -4.00%
Educational data only. Not a recommendation to buy, sell or hold any security.