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SHPC ( Sanima Mai Hydropower Ltd. )

ISIN Number : NPE234A00002

As of Mar 30, 2021
352.00
5.00
1.44 %
Open
347
High
357
Low
347
Volume
21679
Prev. Close
347
Bid Price
211 ( 200 )
Ask Price
214 ( 200 )
BASIC CHART
KEY INDICATORS
Market Capitalization
रू 816.99 करोड
Outstanding Shares
23210000
Book Value
122.97
PBV
2.86
Stock P/E
35.63
Dividend ( 2075/2076 )
10.53 %
EPS
9.88
PB X PE
101.98
ROE
--
ROA
--
CAR
--
Industrial PE
47.32
Industrial EPS
2.92
52 Weeks High-Low
413 - 282
Lifetime High-Low
1239 - 166
180 Day Average Price
--
Classic Tech Red Label
PRICE PERFORMANCE
5 Days ---
1 Month ---
3 Months ---
YTD ---
1 Year
3.53%
5 Years ---
COMPETITORS
Name chg % Market cap
AKPL 0.00 % रू 493.5 करोड
BPCL 0.00 % रू 985.98 करोड
NHPC 0.00 % रू 223.13 करोड
RHPC 1.91 % रू 10887.93 करोड
UPCL 1.38 % रू 308.75 करोड
UPPER 8.38 % रू 9181.53 करोड
MORE ON WEB
No floorsheets were found.
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STOCK TRADING STRATEGIES
No strategies are available.
TOP BROKERS (As of - Mar 31, 2021)
Sell Buy
Code Qty Amt Commission (Est) Qty Amt Commission (Est) Total Amount Total Commission
32_RWS --- --- --- --- --- --- रू 0 रू 0
36 --- --- --- --- --- --- रू 0 रू 0
40 --- --- --- --- --- --- रू 0 रू 0
44 --- --- --- --- --- --- रू 0 रू 0
48 --- --- --- --- --- --- रू 0 रू 0
52 --- --- --- --- --- --- रू 0 रू 0
55 --- --- --- --- --- --- रू 0 रू 0
1 --- --- --- --- --- --- रू 0 रू 0
5 --- --- --- --- --- --- रू 0 रू 0
7_RWS --- --- --- --- --- --- रू 0 रू 0

Condensed Consolidated Statement of Financial Position

Particular
This Quarter
75/76 - 3rd Quarter
Previous Quarter
75/76 - 2nd Quarter
Corresponding Previous Year Quarter
Cash and cash equivalent n/a
Due from Nepal Rastra Bank n/a
Placement with Bank and Financial Institutions n/a
Derivative Financial Instruments n/a
Other Trading Assets n/a
Loan and advances to B/Fis n/a
Loan and advances to Customers n/a
Investment Securities n/a
Current Tax Assets n/a
Investment in Subsidiaries n/a
Investment in Associates n/a
Investment Property n/a
Property and Equipment n/a
Goodwill and Intangible assets n/a
Deferred Tax Assets n/a
Other Assets n/a
Total Assets n/a
Liabilities
Due to bank and Financial Institutions n/a
Due to Nepal Rastra Bank n/a
Derivative Financial Instrument n/a
Deposit from Customers n/a
Borrowings n/a
Current Tax Liabilities n/a
Provisions n/a
Deferred Tax Liabilities n/a
Other Liabilities n/a
Debt securities issued n/a
Subordinated Liabilities n/a
Total Liabilities 5,440,056,147 5,502,692,135 n/a
Total Liabilities 5,440,056,147 5,502,692,135 n/a
Equity
Share Capital 2,321,000,000 2,321,000,000 n/a
Share Premium n/a
Retained Earnings n/a
Reserves n/a
Total equity attributable to equity holders n/a
Non-controlling interest n/a
Total Equity n/a
Total Liabilities and Equity n/a

Condensed Consolidated Statement of Profit or Loss

Particular This Quarter Previous Quarter Corresponding Previous Year Quarter
Interest Income n/a
Interest Expense n/a
Net interest Income n/a
Fees and Commission Income n/a
Fees and Commission Expense n/a
Net fee and commission income n/a
Net interest, fee and commission income n/a
Net Trading income n/a
Other Operating Income n/a
Total Operating Income n/a
Impairment charge/(reversal) for loans and other losses n/a
Net Operating Income n/a
Loans and Other Losses n/a
Operating Expenses
Personal Expense n/a
Other Operating Expense n/a
Depreciation and Amortization n/a
Operating Profit 447,258,642 377,922,477 n/a
Non operating Income n/a
Non operating expenses n/a
Profit before Income Tax n/a
Income tax Expenses
   Current Tax n/a
   Deferred Tax n/a
Profit/(loss) for the period n/a

Condensed Consolidated Statement of Comprehensive Income

Particular
This Quarter
75/76 - 3rd Quarter
Previous Quarter
75/76 - 2nd Quarter
Corresponding Previous Year Quarter
Profit/(loss) for the period n/a
Other Comprehensive Income n/a
Total Comprehensive Income n/a
Basic Earning per share 10 11 n/a
Diluted Earning per share n/a
Profit attributable to:
   Equity holders of the Bank n/a
   Non-controlling interests n/a
Total n/a
Statement of Distributable Profit and Loss
Net Profit for the Quarter ended n/a
1. Appropriations
1.1 Profit required to be appropriated to statutory reserve
a. General Reserve n/a
b. Capital Redemption Reserve n/a
c. Exchange Fluctuation Fund n/a
d. Corporate Social Responsibility Fund n/a
e. Employees Training Fund n/a
f. Other n/a
1.2 Profit required to be transferred to Regulatory Reserve
a. Transfer to Regulatory Reserve n/a
b. Transfer from Regulator Reserve n/a
Net Profit for quarter end available for distribution n/a

Ratios as per NRB Directives

Particular
This Quarter
75/76 - 3rd Quarter
Previous Quarter
75/76 - 2nd Quarter
Corresponding Previous Year Quarter
Capital fund to RWA n/a
Non-Performing Loan (NPL) to Total loan n/a
Total Loan Loss provision to Total NPL n/a
Cost of Funds n/a
Credit to Deposit Ratio n/a
Base Rate n/a
Interest Rate Spread n/a
Net Interest income to total income n/a
Non Interest Income to Operating Cost n/a
Interest Expenses to Interest Income n/a
Shareholder's Equity n/a
Number of Outstanding Share n/a
Net Worth Per Share 123 123 n/a
Earning Per share (EPS Annualized) 10 11 n/a
PE Ratio n/a
Price to Book Ratio n/a
Return on Equity (Closing Annualized) n/a
Return on Asset n/a
Market Price High-Low n/a
PEER PERFORMANCE
Companies LTP Intraday 5D % 1M % 3M % YTD % 1Y % Trend
SHPC 352 5 --- --- --- --- 3.53
AKPL 329 --- --- --- --- --- 26.05
BPCL 404 --- --- --- --- --- 1.46
NHPC 161 --- --- --- --- --- 46.36
RHPC 205 4 --- --- --- --- 15.82
UPCL 147 2 --- --- --- --- 8.09
UPPER 867 67 --- --- --- --- 200.00
DIVIDENDS
Fiscal Year Bonus Share Cash Dividend Total Dividend Bonus Dist. Date Right Share Right Dist. Date
1 2075/2076 10 % 0.5263 % 10.52623 % -- -- --
2 2074/2075 10 % 5 % 15 % -- -- --
Company Information
Registered Office
Head Office Location : Alakapuri Complex,Naksal, Kathmandu
Email : info@sanimamai.com
Phone : 4446442
Website : http://maihydro.com/
Registered At :
Share Registrar ( RTS )
Name : Sanima Capital Limited
Phone : 977-01-4428956/57
Address : Narayanchaur, Naxal, Kathmandu, Nepal.
Website : www.sanima.capital
Management
Records not found.
About Company

Sanima Mai Hydropower Ltd.

Sanima Mai Hydropower Ltd. is a public Special Purpose Vehicle (SPV) company. Established in 2008 for the sole purpose of implementing Mai Hydropower Project (MHP) (22MW) and Mai Cascade Hydropower Project (MCHP) (7MW), the company currently owns and manages both the projects, MHP and MCHP.